TAVHL vs GARAN Comparison
Price, market cap, valuation, profitability and leverage metrics of TAVHL and GARAN side by side.
If You Had Invested TRY 10,000
Metric Comparison
| Metric | TAVHL | GARAN | Sector median |
|---|---|---|---|
| Last price (TL) | 267.50 | 129.20 | 26.13 |
| Daily change | −0.09% | −0.15% | −2.40% |
| Market cap | TRY 97.2B | TRY 542.6B | TRY 7.2B |
| P/E | 18.44 | 4.52 | 10.04 |
| P/B | 1.19 | 1.11 | 1.21 |
| Dividend yield | 0.65% | 4.04% | 0.65% |
| Return on equity | 6.51% | 26.68% | 6.37% |
| Free float | 49.65% | 13.97% | 27.92% |
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About the TAVHL vs GARAN Comparison
Price, market cap, valuation multiples, profitability and leverage of TAVHL (Tav Havalimanlari) and GARAN (Garanti Bankasi) side by side as of Sep 29, 2026, 17:48. Of the 8 metrics compared, TAVHL leads in 1 and GARAN leads in 7.
Highlights: Daily change: TAVHL leads (−0.09% vs −0.15%). Market cap: GARAN leads (TRY 542.6B vs TRY 97.2B). P/E: GARAN leads (4.52 vs 18.44). P/B: GARAN leads (1.11 vs 1.19). Dividend yield: GARAN leads (4.04% vs 0.65%). Net margin (annual): GARAN leads (859.36% vs 5.65%). Return on assets: GARAN leads (2.55% vs 2.05%). Return on equity: GARAN leads (26.68% vs 6.51%).
Frequently Asked Questions
Is TAVHL or GARAN cheaper?
By P/E, GARAN is cheaper (18.44 vs 4.52); by P/B, GARAN trades at the lower multiple (1.19 vs 1.11).
Which is more profitable, TAVHL or GARAN?
Annual net margin is 5.65% for TAVHL and 859.36% for GARAN; return on equity is 6.51% for TAVHL and 26.68% for GARAN.
Which is more leveraged, TAVHL or GARAN?
The leverage ratio is 68.91 for TAVHL and — for GARAN; net debt/EBITDA is 3.18 for TAVHL and — for GARAN. Lower values mean less leverage.
Where does the comparison data come from?
Prices and market caps come from 15-minute delayed Borsa Istanbul data; ratios are calculated from the latest financial statements filed with KAP. Some ratios are not defined for banks and insurers.