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Koç Holding A.Ş.

Koç Holding A.Ş.KCHOL

Star MarketHoldings and Investment Companies
213.40−3.10 (−1.43%)
Volume
TRY 765.2M
Day range
213.20 – 216.80
Previous close
216.50
Market cap
TRY 541.2B

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

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

Ratio Analysis

P/E14.46
P/B0.69
EV/EBITDA22.31
Dividend yield3.68%
Beta—
Earnings per share15 TL
Book value per share312.6 TL
EBITDA49.2B TL
Net profit20.3B TL
Operating profit96B TL
Operating profit before finance costs96.7B TL
Net working capital−380.1B TL
Gross margin16.82%
Operating margin8.13%
Net margin1.72%
Return on assets0.67%
Return on equity5.29%
Current ratio0.90
Quick ratio0.84
Cash ratio—
Leverage ratio79.27
Debt to equity6.23
Debt to assets0.79
Fixed assets to equity3.30
Short-term debt share0.05
Interest coverage—
Receivables turnover0.69
Days sales outstanding529
Inventory turnover3.86
Days inventory outstanding95
Payables turnover2.33
Days payables outstanding157
Working capital turnover−3.11
Equity turnover0.91
Asset turnover0.19

Frequently asked questions

KCHOL has a P/E ratio of 14.46, a P/B ratio of 0.69 and an EV/EBITDA of 22.31.

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.