₺7.44
+ ₺0.35 (4.70%)
End-of-day quote: 05/15/2024
IBSE:AKGRT

Aksigorta A.S. Annual Report

Year Year 2023 2022 2021 2020 2019 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
₺9.79B ₺6.09B ₺3.99B ₺3.16B ₺2.68B ₺1.46B ₺1.21B ₺1.26B ₺1.28B ₺1.07B ₺970.26M ₺818.02M ₺694.75M ₺678.92M ₺548.83M ₺568.28M ₺472.04M ₺380.52M ₺294.23M
GM % Gross Margin %
33.03% 13.02% 22.95% 43.56% 41.77% 41.69% 40.17% 17.30% 32.20% 37.41% 36.71% 33.56% 35.07% 33.73% 28.98% 48.54% 50.01% 57.41% 36.04%
OM Operating Margin
2.63% -12.67% -0.06% 16.52% 15.04% 10.12% 5.23% -14.43% 1.94% 4.75% 6.45% 4.92% -0.51% 6.05% 1.08% 17.67% 17.25% 23.01% 24.13%
EPS Earnings Per Share
₺0.00 ₺0.74 ₺-0.08 ₺0.31 ₺0.71 ₺0.60 ₺0.23 ₺0.08 ₺-0.22 ₺0.05 ₺0.10 ₺0.08 ₺0.04 ₺0.00 ₺0.08 ₺0.09 ₺0.19 ₺0.12 ₺0.12 ₺0.11
Div. Dividends
₺0.00 ₺0.00 ₺0.34 ₺0.00 ₺0.33 ₺0.00 ₺0.00 ₺0.00 ₺0.10 ₺0.08 ₺0.05 ₺0.00 ₺0.00 ₺0.05 ₺0.00 ₺0.00 ₺0.11 ₺0.04 ₺0.03
PR % Payout Ratio %
0.00% -0.00% 109.68% 0 55.00% 0.00% 0.00% -0.00% 200.00% 80.00% 62.50% 0.00% 0 62.50% 0.00% 0.00% 91.67% 33.33% 27.27%
Sha. Shares
1,612m 1,612m 612m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306m 306.36m
OCF Operating Cash Flow
₺3.49B ₺1.26B ₺498.25M ₺407.53M ₺548.53M ₺336.94M ₺2.46M ₺173.65M ₺91.48M ₺180.70M ₺67.27M ₺75.18M ₺16.86M ₺62.17M ₺118.64M ₺0.00M ₺0.00M ₺0.00M ₺29.17M
FCF Free Cash Flow
₺3.21B ₺1.23B ₺484.54M ₺403.69M ₺543.53M ₺333.45M ₺-3.24M ₺167.38M ₺74.29M ₺180.53M ₺0.00M ₺0.00M ₺15.99M ₺61.53M ₺117.30M ₺0.00M ₺0.00M ₺0.00M ₺26.88M
FCFS Free Cash Flow Per Share
₺1.99 ₺0.71 ₺0.66 ₺1.21 ₺1.70 ₺1.03 ₺-0.01 ₺0.55 ₺0.24 ₺0.59 ₺0.22 ₺0.25 ₺0.05 ₺0.20 ₺0.38 ₺0.00 ₺0.00 ₺0.00 ₺0.09