Turkcell Iletisim Hizmetleri A.S.
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
0.220.14
Price/Sales ratio
0.020.02
Earnings per Share (EPS)
$26.62$41.11

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
19.9210.5314.2517.4612.8512.037.749.567.0424.2624.2312.85
Price/Sales ratio
2.421.701.481.951.221.191.191.151.442.841.371.22
Price/Book Value ratio
1.811.511.322.301.631.671.671.832.522.492.901.63
Price/Cash Flow ratio
16.6611.4535.0311.144.453.332.662.073.097.308.734.45
Price/Free Cash Flow ratio
-58.76-8.07-7.02-34.2565.0310.016.564.117.0324.9212.9812.98
Price/Earnings Growth ratio
-0.490.32-0.510.533.850.500.114.630.04-0.440.050.50
Dividend Yield
0.02%18.48%0.24%8.65%7.31%3.32%2.30%6.19%3.07%0.81%0.08%3.32%
Profitability Indicator Ratios
Gross Profit Margin
38.77%39.15%35.34%35.62%33.56%32.03%30.12%29.76%31.71%21.19%22.19%32.03%
Operating Profit Margin
26.68%26.26%21.44%16.63%20.47%20.02%19.83%20.46%26.24%7.29%11.67%20.02%
Pretax Profit Margin
18.23%20.13%14.06%14.79%12.55%13.08%15.89%12.64%13.98%5.49%1.66%13.08%
Net Profit Margin
12.16%16.19%10.44%11.22%9.49%9.96%15.47%12.05%20.51%11.72%14.12%9.49%
Effective Tax Rate
33.28%25.95%21.06%21.91%18.53%23.88%8.36%-10.79%-46.65%-79.43%-106.04%23.88%
Return on Assets
6.56%7.88%4.72%5.82%4.72%5.47%8.74%6.12%10.91%5.08%6.40%4.72%
Return On Equity
9.09%14.40%9.31%13.20%12.69%13.87%21.66%19.19%35.78%10.26%14.12%12.69%
Return on Capital Employed
18.23%16.85%12.63%11.84%14.05%15.22%14.45%13.71%19.63%4.12%6.68%15.22%
Liquidity Ratios
Current Ratio
2.661.391.811.521.561.521.77N/AN/AN/A1.811.56
Quick Ratio
2.651.381.791.511.541.511.761.711.591.761.801.54
Cash ratio
1.800.460.820.510.630.801.021.080.890.861.180.63
Days of Sales Outstanding
107.34141.16129.44126.67123.93107.6783.7082.95146.3373.4469.54107.67
Days of Inventory outstanding
3.323.545.213.344.653.813.653.762.752.332.363.81
Operating Cycle
110.67144.71134.66130.02128.58111.4887.3686.72149.0975.7871.90111.48
Days of Payables Outstanding
53.8373.0867.9281.2661.2158.2962.2336.31112.7761.2875.8961.21
Cash Conversion Cycle
56.8371.6266.7448.7567.3653.1925.1250.4036.3114.49-3.9953.19
Debt Ratios
Debt Ratio
0.150.150.300.360.430.410.370.470.820.330.310.41
Debt Equity Ratio
0.210.290.600.821.171.040.931.502.700.660.581.04
Long-term Debt to Capitalization
0.060.190.300.350.430.390.410.530.650.310.280.39
Total Debt to Capitalization
0.170.220.370.450.540.500.480.600.730.400.370.50
Interest Coverage Ratio
16.527.675.484.505.836.217.54N/AN/AN/A1.516.21
Cash Flow to Debt Ratio
0.510.450.060.240.310.480.670.580.300.510.560.31
Company Equity Multiplier
1.381.821.972.262.682.532.473.133.272.021.872.53
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.140.040.170.270.350.440.550.460.380.390.27
Free Cash Flow / Operating Cash Flow Ratio
-0.28-1.41-4.99-0.320.060.330.400.500.430.290.260.06
Cash Flow Coverage Ratio
0.510.450.060.240.310.480.670.580.300.510.560.31
Short Term Coverage Ratio
0.762.630.210.720.871.252.812.500.961.641.680.87
Dividend Payout Ratio
0.56%194.69%3.44%151.11%94.00%40.03%17.88%59.25%21.63%19.79%11.88%40.03%