Ihlas Gayrimenkul Proje Geliştirme A.Ş. Logo

Ihlas Gayrimenkul Proje Geliştirme A.Ş. (IHLGM)

BIST

Currency in TRY
1.59
+0.01 (+0.63%)

Closed

Aug 21, 2026

Day's Range

1.57
1.60

52 wk Range

1.52
3.58

Financial Statements - IHLGM - Ihlas Gayrimenkul Proje Geliştirme A.Ş.

Revenue

1.72B 257.8%

Net Income

654.04M 238.8%Net Margin 38.0%

EBITDA

792.87M 357.6%

Free Cash Flow

10.04M 113.2%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales1.72B481.43M455.15M1.14B953.11M337.97M
Cost of Goods2.25B367.22M333.86M1.50B828.52M285.71M
Gross Profit-528.88M114.20M121.28M-361.17M124.59M52.25M
ExpandOperating Expense
------
Operating Income-889.09M10.27M-300.36M-736.18M63.88M21.74M
ExpandNon-Operating Interest
------
Other Income Expense------
Pre Tax Income463.55M-421M-1.12B-1.01B102.26M-2.40M
Income Tax-190.49M50.34M46.50M116.76M-6.52M-6.01M
Net Income654.04M-471.34M-1.16B-1.13B108.78M3.61M
EPS Basic0.654-0.4713-1.161247-1.0892770.10880.005281
EPS Diluted0.654-0.4713-1.161247-1.0892770.10880.005281
Basic Shares Outstanding1B1B1B1B1B703.10M
Diluted Shares Outstanding1B1B1B1B1B703.10M
Ebit721.56M-321.67M-1.06B-976.55M109.42M44.58M
Ebitda792.87M-307.81M-918.03M-928.01M132.01M47.58M
Net Income Continuous Operations654.04M-471.34M-1.16B-1.13B108.78M3.61M
Minority Interests719.69K1.31M7.83M44.03M-1.18M102.38K
Preferred Stock Dividends000000

The information on this page is provided for general informational purposes only and is not investment advice.

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