US Stock MarketDetailed Quotes

KHOLY KOC HOLDING UNSP ADR EACH REPR 5 ORD

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  • 25.415
  • +0.465+1.86%
15min DelayTrading Dec 23 12:33 ET
12.89BMarket Cap25.93P/E (TTM)

KOC HOLDING UNSP ADR EACH REPR 5 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
44.07%749.62B
75.36%656.53B
94.85%609.29B
19.22%486.29B
19.22%486.29B
81.64%520.31B
48.46%374.39B
42.87%312.7B
92.79%407.9B
92.79%407.9B
-Cash and cash equivalents
32.86%329.78B
40.21%287.97B
64.10%272.64B
15.84%289.41B
15.84%289.41B
90.87%248.21B
74.56%205.39B
55.54%166.14B
166.20%249.83B
166.20%249.83B
-Short-term investments
54.29%419.84B
118.08%368.55B
129.70%336.65B
24.55%196.89B
24.55%196.89B
73.97%272.1B
25.62%169B
30.79%146.56B
34.27%158.07B
34.27%158.07B
-Accounts receivable
44.99%190.6B
79.28%191.74B
95.35%150.75B
16.69%143.44B
16.69%143.44B
68.04%131.46B
42.98%106.95B
31.06%77.17B
161.65%122.92B
161.65%122.92B
-Taxes receivable
45.76%25.28B
34.17%18.15B
116.65%21.54B
12.83%21.93B
12.83%21.93B
23.85%17.35B
27.53%13.53B
24.24%9.94B
195.14%19.44B
195.14%19.44B
-Other receivables
67.24%978.86B
84.58%947.65B
85.32%845.96B
1.71%700.71B
1.71%700.71B
60.98%585.32B
62.58%513.41B
66.37%456.49B
197.14%688.92B
197.14%688.92B
Inventory
54.71%179.5B
81.56%173.2B
81.49%145.37B
-13.52%115.83B
-13.52%115.83B
43.94%116.02B
12.74%95.4B
24.08%80.1B
189.55%133.94B
189.55%133.94B
Prepaid assets
150.87%124.38B
133.52%114.92B
115.70%97.15B
8.10%78.77B
8.10%78.77B
123.47%49.58B
272.27%49.21B
306.56%45.04B
874.93%72.87B
874.93%72.87B
Restricted cash
-12.12%36.95B
-3.88%36.44B
26.44%35.3B
-16.88%117.79B
-16.88%117.79B
11.55%42.04B
-13.40%37.91B
-11.53%27.92B
382.19%141.7B
382.19%141.7B
Other current assets
205.09%40.77B
81.94%26.75B
128.12%19.82B
-5.14%17.64B
-5.14%17.64B
30.03%13.36B
72.59%14.7B
18.78%8.69B
212.40%18.6B
212.40%18.6B
Total current assets
57.24%2.36T
77.42%2.2T
89.50%1.96T
4.74%1.71T
4.74%1.71T
65.28%1.5T
51.52%1.24T
51.03%1.03T
169.79%1.63T
169.79%1.63T
Non current assets
Net PPE
281.19%397.66B
282.00%362.95B
296.16%313.86B
7.92%275.85B
7.92%275.85B
57.92%104.32B
58.61%95.01B
43.73%79.23B
399.55%255.61B
399.55%255.61B
-Gross PPE
351.83%697.07B
341.01%629.28B
372.45%558.14B
5.98%484.52B
5.98%484.52B
50.16%154.28B
53.32%142.69B
38.13%118.14B
479.24%457.18B
479.24%457.18B
-Accumulated depreciation
-499.34%-299.41B
-458.60%-266.33B
-527.78%-244.28B
-3.52%-208.67B
-3.52%-208.67B
-36.19%-49.96B
-43.76%-47.68B
-27.98%-38.91B
-626.14%-201.57B
-626.14%-201.57B
Goodwill and other intangible assets
366.06%143.32B
338.20%128.03B
354.88%110.62B
1.54%96.6B
1.54%96.6B
37.99%30.75B
35.53%29.22B
17.70%24.32B
415.86%95.14B
415.86%95.14B
-Goodwill
675.93%64.51B
643.81%59.52B
687.89%55.37B
-0.47%48.5B
-0.47%48.5B
29.12%8.31B
27.88%8B
16.96%7.03B
772.98%48.73B
772.98%48.73B
-Other intangible assets
251.23%78.81B
222.93%68.51B
219.56%55.26B
3.65%48.1B
3.65%48.1B
41.59%22.44B
38.65%21.22B
18.00%17.29B
260.86%46.41B
260.86%46.41B
Financial assets
-36.58%10B
-19.23%12.22B
18.89%14.39B
-37.42%13.69B
-37.42%13.69B
5.14%15.76B
14.17%15.13B
16.30%12.1B
147.70%21.87B
147.70%21.87B
Non current prepaid assets
109.59%12.83B
84.02%10.46B
251.74%10.09B
53.86%6.02B
53.86%6.02B
103.49%6.12B
169.57%5.68B
98.77%2.87B
76.62%3.91B
76.62%3.91B
Other non current assets
407.04%18.79B
423.85%16.56B
327.52%12.51B
15.99%10.3B
15.99%10.3B
52.79%3.71B
37.35%3.16B
40.47%2.93B
332.80%8.88B
332.80%8.88B
Total non current assets
79.63%1.49T
82.67%1.39T
103.36%1.29T
-3.03%1.15T
-3.03%1.15T
47.55%828.19B
43.91%760.51B
33.55%633.19B
185.22%1.18T
185.22%1.18T
Total assets
65.19%3.85T
79.42%3.59T
94.77%3.25T
1.48%2.86T
1.48%2.86T
58.51%2.33T
48.53%2T
43.88%1.67T
176.06%2.82T
176.06%2.82T
Liabilities
Current liabilities
Payables
76.78%407.77B
1,086.10%1.83T
77.29%1.63T
11.80%298.28B
11.80%298.28B
38.10%230.67B
-8.01%154.68B
571.42%917.69B
165.44%266.8B
165.44%266.8B
-accounts payable
36.04%244.85B
96.52%256.59B
101.44%194.44B
10.15%186.65B
10.15%186.65B
58.45%179.98B
2.80%130.56B
2.85%96.52B
136.70%169.45B
136.70%169.45B
-Total tax payable
25.16%44.62B
123.89%36.4B
90.35%37.39B
21.51%35.33B
21.51%35.33B
109.89%35.65B
73.43%16.26B
27.96%19.64B
328.64%29.08B
328.64%29.08B
-Dividends payable
57.74%10.78B
----
----
----
----
142,769.09%6.83B
1,433.31%888M
32.73%891M
----
----
-Other payable
1,209.23%107.53B
22,036.77%1.54T
74.25%1.4T
11.76%76.29B
11.76%76.29B
-77.47%8.21B
-78.03%6.96B
2,886.31%800.64B
209.01%68.26B
209.01%68.26B
Current provisions
85.10%19.62B
89.54%18.15B
70.62%13B
2.00%10.92B
2.00%10.92B
74.68%10.6B
57.66%9.58B
65.25%7.62B
189.37%10.7B
189.37%10.7B
Current debt and capital lease obligation
70.24%469.39B
93.32%454.05B
108.98%420.33B
-2.92%361.43B
-2.92%361.43B
32.15%275.73B
22.58%234.87B
22.55%201.13B
201.44%372.31B
201.44%372.31B
-Current debt
70.24%469.39B
91.59%449.98B
108.98%420.33B
-2.92%361.43B
-2.92%361.43B
32.15%275.73B
22.58%234.87B
22.55%201.13B
201.44%372.31B
201.44%372.31B
-Current capital lease obligation
----
--4.07B
----
----
----
----
----
----
----
----
Other current liabilities
-93.05%78.68B
-94.14%61.02B
-34.61%46.07B
-0.86%46.27B
-0.86%46.27B
3,672.09%1.13T
3,931.57%1.04T
281.30%70.46B
164.87%46.67B
164.87%46.67B
Current liabilities
52.27%2.56T
63.85%2.4T
75.94%2.13T
-1.18%1.87T
-1.18%1.87T
58.05%1.68T
46.51%1.47T
43.39%1.21T
166.06%1.89T
166.06%1.89T
Non current liabilities
Long term provisions
43.74%6.39B
55.69%6.42B
36.96%4.85B
-3.63%5.09B
-3.63%5.09B
39.37%4.44B
41.18%4.12B
35.95%3.54B
115.72%5.28B
115.72%5.28B
Long term debt and capital lease obligation
41.43%350.59B
56.08%302.95B
72.49%275.26B
-1.61%247.39B
-1.61%247.39B
49.70%247.89B
27.12%194.1B
7.66%159.58B
54.47%251.44B
54.47%251.44B
-Long term debt
39.74%338.43B
54.10%291.17B
72.37%267.62B
-1.73%240.93B
-1.73%240.93B
49.34%242.18B
26.35%188.95B
6.84%155.26B
53.11%245.17B
53.11%245.17B
-Long term capital lease obligation
112.96%12.16B
128.50%11.78B
76.97%7.65B
3.17%6.47B
3.17%6.47B
66.49%5.71B
63.90%5.15B
48.60%4.32B
136.62%6.27B
136.62%6.27B
Derivative product liabilities
-19.11%8.71B
-12.43%9.68B
40.73%10.92B
-26.56%9.7B
-26.56%9.7B
13.74%10.77B
25.10%11.05B
-6.05%7.76B
44.25%13.21B
44.25%13.21B
Other non current liabilities
-65.04%4.34B
-63.27%4.62B
63.72%5.25B
-14.64%4.74B
-14.64%4.74B
17.95%12.41B
158.94%12.57B
-26.43%3.21B
-15.84%5.55B
-15.84%5.55B
Total non current liabilities
49.33%444.72B
59.95%388.9B
79.90%355.81B
-0.11%318.88B
-0.11%318.88B
48.15%297.81B
34.41%243.13B
14.29%197.78B
68.22%319.24B
68.22%319.24B
Total liabilities
51.83%3.01T
63.30%2.79T
76.49%2.49T
-1.03%2.18T
-1.03%2.18T
56.48%1.98T
44.66%1.71T
38.45%1.41T
145.42%2.21T
145.42%2.21T
Shareholders'equity
Share capital
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
-common stock
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
0.00%2.54B
Retained earnings
133.62%441.6B
157.04%408.99B
183.75%393.38B
18.37%340.74B
18.37%340.74B
86.97%189.02B
95.93%159.11B
127.49%138.64B
427.28%287.87B
427.28%287.87B
Paid-in capital
3,355.56%311M
3,066.67%285M
2,822.22%263M
0.00%229M
0.00%229M
-3.08%9M
-3.08%9M
-3.08%9M
2,444.44%229M
2,444.44%229M
Less: Treasury stock
342.11%84M
305.26%77M
273.68%71M
0.00%62M
0.00%62M
-0.35%19M
-0.35%19M
-0.35%19M
226.32%62M
226.32%62M
Other equity interest
6,591.42%64.71B
6,021.92%59.2B
5,526.99%54.41B
0.00%46.96B
0.00%46.96B
-0.03%967M
-0.03%967M
-0.03%967M
4,755.95%46.96B
4,755.95%46.96B
Total stockholders'equity
138.04%509.74B
163.18%475.06B
190.23%460.27B
10.66%404.73B
10.66%404.73B
73.56%214.14B
80.92%180.51B
114.57%158.59B
474.70%365.75B
474.70%365.75B
Noncontrolling interests
145.81%332.06B
193.64%319.84B
204.87%294.68B
10.38%269.54B
10.38%269.54B
67.45%135.09B
69.54%108.92B
48.56%96.66B
324.94%244.19B
324.94%244.19B
Total equity
141.05%841.8B
174.64%794.9B
195.77%754.95B
10.55%674.27B
10.55%674.27B
71.15%349.23B
76.46%289.43B
83.67%255.25B
403.64%609.93B
403.64%609.93B
Currency Unit
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
TRY
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 44.07%749.62B75.36%656.53B94.85%609.29B19.22%486.29B19.22%486.29B81.64%520.31B48.46%374.39B42.87%312.7B92.79%407.9B92.79%407.9B
-Cash and cash equivalents 32.86%329.78B40.21%287.97B64.10%272.64B15.84%289.41B15.84%289.41B90.87%248.21B74.56%205.39B55.54%166.14B166.20%249.83B166.20%249.83B
-Short-term investments 54.29%419.84B118.08%368.55B129.70%336.65B24.55%196.89B24.55%196.89B73.97%272.1B25.62%169B30.79%146.56B34.27%158.07B34.27%158.07B
-Accounts receivable 44.99%190.6B79.28%191.74B95.35%150.75B16.69%143.44B16.69%143.44B68.04%131.46B42.98%106.95B31.06%77.17B161.65%122.92B161.65%122.92B
-Taxes receivable 45.76%25.28B34.17%18.15B116.65%21.54B12.83%21.93B12.83%21.93B23.85%17.35B27.53%13.53B24.24%9.94B195.14%19.44B195.14%19.44B
-Other receivables 67.24%978.86B84.58%947.65B85.32%845.96B1.71%700.71B1.71%700.71B60.98%585.32B62.58%513.41B66.37%456.49B197.14%688.92B197.14%688.92B
Inventory 54.71%179.5B81.56%173.2B81.49%145.37B-13.52%115.83B-13.52%115.83B43.94%116.02B12.74%95.4B24.08%80.1B189.55%133.94B189.55%133.94B
Prepaid assets 150.87%124.38B133.52%114.92B115.70%97.15B8.10%78.77B8.10%78.77B123.47%49.58B272.27%49.21B306.56%45.04B874.93%72.87B874.93%72.87B
Restricted cash -12.12%36.95B-3.88%36.44B26.44%35.3B-16.88%117.79B-16.88%117.79B11.55%42.04B-13.40%37.91B-11.53%27.92B382.19%141.7B382.19%141.7B
Other current assets 205.09%40.77B81.94%26.75B128.12%19.82B-5.14%17.64B-5.14%17.64B30.03%13.36B72.59%14.7B18.78%8.69B212.40%18.6B212.40%18.6B
Total current assets 57.24%2.36T77.42%2.2T89.50%1.96T4.74%1.71T4.74%1.71T65.28%1.5T51.52%1.24T51.03%1.03T169.79%1.63T169.79%1.63T
Non current assets
Net PPE 281.19%397.66B282.00%362.95B296.16%313.86B7.92%275.85B7.92%275.85B57.92%104.32B58.61%95.01B43.73%79.23B399.55%255.61B399.55%255.61B
-Gross PPE 351.83%697.07B341.01%629.28B372.45%558.14B5.98%484.52B5.98%484.52B50.16%154.28B53.32%142.69B38.13%118.14B479.24%457.18B479.24%457.18B
-Accumulated depreciation -499.34%-299.41B-458.60%-266.33B-527.78%-244.28B-3.52%-208.67B-3.52%-208.67B-36.19%-49.96B-43.76%-47.68B-27.98%-38.91B-626.14%-201.57B-626.14%-201.57B
Goodwill and other intangible assets 366.06%143.32B338.20%128.03B354.88%110.62B1.54%96.6B1.54%96.6B37.99%30.75B35.53%29.22B17.70%24.32B415.86%95.14B415.86%95.14B
-Goodwill 675.93%64.51B643.81%59.52B687.89%55.37B-0.47%48.5B-0.47%48.5B29.12%8.31B27.88%8B16.96%7.03B772.98%48.73B772.98%48.73B
-Other intangible assets 251.23%78.81B222.93%68.51B219.56%55.26B3.65%48.1B3.65%48.1B41.59%22.44B38.65%21.22B18.00%17.29B260.86%46.41B260.86%46.41B
Financial assets -36.58%10B-19.23%12.22B18.89%14.39B-37.42%13.69B-37.42%13.69B5.14%15.76B14.17%15.13B16.30%12.1B147.70%21.87B147.70%21.87B
Non current prepaid assets 109.59%12.83B84.02%10.46B251.74%10.09B53.86%6.02B53.86%6.02B103.49%6.12B169.57%5.68B98.77%2.87B76.62%3.91B76.62%3.91B
Other non current assets 407.04%18.79B423.85%16.56B327.52%12.51B15.99%10.3B15.99%10.3B52.79%3.71B37.35%3.16B40.47%2.93B332.80%8.88B332.80%8.88B
Total non current assets 79.63%1.49T82.67%1.39T103.36%1.29T-3.03%1.15T-3.03%1.15T47.55%828.19B43.91%760.51B33.55%633.19B185.22%1.18T185.22%1.18T
Total assets 65.19%3.85T79.42%3.59T94.77%3.25T1.48%2.86T1.48%2.86T58.51%2.33T48.53%2T43.88%1.67T176.06%2.82T176.06%2.82T
Liabilities
Current liabilities
Payables 76.78%407.77B1,086.10%1.83T77.29%1.63T11.80%298.28B11.80%298.28B38.10%230.67B-8.01%154.68B571.42%917.69B165.44%266.8B165.44%266.8B
-accounts payable 36.04%244.85B96.52%256.59B101.44%194.44B10.15%186.65B10.15%186.65B58.45%179.98B2.80%130.56B2.85%96.52B136.70%169.45B136.70%169.45B
-Total tax payable 25.16%44.62B123.89%36.4B90.35%37.39B21.51%35.33B21.51%35.33B109.89%35.65B73.43%16.26B27.96%19.64B328.64%29.08B328.64%29.08B
-Dividends payable 57.74%10.78B----------------142,769.09%6.83B1,433.31%888M32.73%891M--------
-Other payable 1,209.23%107.53B22,036.77%1.54T74.25%1.4T11.76%76.29B11.76%76.29B-77.47%8.21B-78.03%6.96B2,886.31%800.64B209.01%68.26B209.01%68.26B
Current provisions 85.10%19.62B89.54%18.15B70.62%13B2.00%10.92B2.00%10.92B74.68%10.6B57.66%9.58B65.25%7.62B189.37%10.7B189.37%10.7B
Current debt and capital lease obligation 70.24%469.39B93.32%454.05B108.98%420.33B-2.92%361.43B-2.92%361.43B32.15%275.73B22.58%234.87B22.55%201.13B201.44%372.31B201.44%372.31B
-Current debt 70.24%469.39B91.59%449.98B108.98%420.33B-2.92%361.43B-2.92%361.43B32.15%275.73B22.58%234.87B22.55%201.13B201.44%372.31B201.44%372.31B
-Current capital lease obligation ------4.07B--------------------------------
Other current liabilities -93.05%78.68B-94.14%61.02B-34.61%46.07B-0.86%46.27B-0.86%46.27B3,672.09%1.13T3,931.57%1.04T281.30%70.46B164.87%46.67B164.87%46.67B
Current liabilities 52.27%2.56T63.85%2.4T75.94%2.13T-1.18%1.87T-1.18%1.87T58.05%1.68T46.51%1.47T43.39%1.21T166.06%1.89T166.06%1.89T
Non current liabilities
Long term provisions 43.74%6.39B55.69%6.42B36.96%4.85B-3.63%5.09B-3.63%5.09B39.37%4.44B41.18%4.12B35.95%3.54B115.72%5.28B115.72%5.28B
Long term debt and capital lease obligation 41.43%350.59B56.08%302.95B72.49%275.26B-1.61%247.39B-1.61%247.39B49.70%247.89B27.12%194.1B7.66%159.58B54.47%251.44B54.47%251.44B
-Long term debt 39.74%338.43B54.10%291.17B72.37%267.62B-1.73%240.93B-1.73%240.93B49.34%242.18B26.35%188.95B6.84%155.26B53.11%245.17B53.11%245.17B
-Long term capital lease obligation 112.96%12.16B128.50%11.78B76.97%7.65B3.17%6.47B3.17%6.47B66.49%5.71B63.90%5.15B48.60%4.32B136.62%6.27B136.62%6.27B
Derivative product liabilities -19.11%8.71B-12.43%9.68B40.73%10.92B-26.56%9.7B-26.56%9.7B13.74%10.77B25.10%11.05B-6.05%7.76B44.25%13.21B44.25%13.21B
Other non current liabilities -65.04%4.34B-63.27%4.62B63.72%5.25B-14.64%4.74B-14.64%4.74B17.95%12.41B158.94%12.57B-26.43%3.21B-15.84%5.55B-15.84%5.55B
Total non current liabilities 49.33%444.72B59.95%388.9B79.90%355.81B-0.11%318.88B-0.11%318.88B48.15%297.81B34.41%243.13B14.29%197.78B68.22%319.24B68.22%319.24B
Total liabilities 51.83%3.01T63.30%2.79T76.49%2.49T-1.03%2.18T-1.03%2.18T56.48%1.98T44.66%1.71T38.45%1.41T145.42%2.21T145.42%2.21T
Shareholders'equity
Share capital 0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B
-common stock 0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B0.00%2.54B
Retained earnings 133.62%441.6B157.04%408.99B183.75%393.38B18.37%340.74B18.37%340.74B86.97%189.02B95.93%159.11B127.49%138.64B427.28%287.87B427.28%287.87B
Paid-in capital 3,355.56%311M3,066.67%285M2,822.22%263M0.00%229M0.00%229M-3.08%9M-3.08%9M-3.08%9M2,444.44%229M2,444.44%229M
Less: Treasury stock 342.11%84M305.26%77M273.68%71M0.00%62M0.00%62M-0.35%19M-0.35%19M-0.35%19M226.32%62M226.32%62M
Other equity interest 6,591.42%64.71B6,021.92%59.2B5,526.99%54.41B0.00%46.96B0.00%46.96B-0.03%967M-0.03%967M-0.03%967M4,755.95%46.96B4,755.95%46.96B
Total stockholders'equity 138.04%509.74B163.18%475.06B190.23%460.27B10.66%404.73B10.66%404.73B73.56%214.14B80.92%180.51B114.57%158.59B474.70%365.75B474.70%365.75B
Noncontrolling interests 145.81%332.06B193.64%319.84B204.87%294.68B10.38%269.54B10.38%269.54B67.45%135.09B69.54%108.92B48.56%96.66B324.94%244.19B324.94%244.19B
Total equity 141.05%841.8B174.64%794.9B195.77%754.95B10.55%674.27B10.55%674.27B71.15%349.23B76.46%289.43B83.67%255.25B403.64%609.93B403.64%609.93B
Currency Unit TRYTRYTRYTRYTRYTRYTRYTRYTRYTRY
Trending US Stocks
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.