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İz Yatırım Holding A.Ş.

İz Yatırım Holding A.Ş.IZINV

Main MarketHoldings and Investment Companies
31.24−2.52 (−7.46%)
Volume
TRY 6.9M
Day range
30.98 – 33.72
Previous close
33.76
Market cap
TRY 547.1M

IZINV Ratio Analysis: P/E, P/B, EV/EBITDA

35 key ratios for İz Yatırım Holding A.Ş. (IZINV) computed from the latest financial statements and the current price: valuation, profitability, liquidity, leverage and efficiency.

Ratio Analysis

P/E—
P/B1.46
EV/EBITDA90.68
Dividend yield—
Beta—
Earnings per share−3.5 TL
Book value per share21.5 TL
EBITDA1.1M TL
Net profit−44.4M TL
Operating profit−9.8M TL
Operating profit before finance costs−9.8M TL
Net working capital124.5M TL
Gross margin20.16%
Operating margin−31.27%
Net margin−141.71%
Return on assets−11.26%
Return on equity−16.66%
Current ratio2.34
Quick ratio1.82
Cash ratio—
Leverage ratio38.02
Debt to equity0.61
Debt to assets0.38
Fixed assets to equity1.04
Short-term debt share—
Interest coverage—
Receivables turnover0.06
Days sales outstanding6,083
Inventory turnover0.52
Days inventory outstanding702
Payables turnover0.67
Days payables outstanding545
Working capital turnover0.25
Equity turnover0.08
Asset turnover0.05

Frequently Asked Questions

IZINV has a P/E ratio of —, a P/B ratio of 1.46 and an EV/EBITDA of 90.68.

Price-based ratios (P/E, P/B, EV/EBITDA, dividend yield) refresh daily; balance-sheet ratios refresh after the company publishes its KAP financial report.