Turkiye Garanti Bankasi A.S. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €10.98B +5.4% €3.65B +3.8% 33.2% -0.0049 pp N/A N/A
    (estimated) €10.43B +35.5% €3.51B +43.8% 33.7% +0.019 pp N/A N/A
    (estimated) €7.69B +31.3% €2.44B +31.2% 31.8% -0.00011 pp N/A N/A
    €5.86B +44.1% €1.86B +5.6% 31.8% -0.12 pp -€2.78B -169.4% -47.5% -1.5 pp
    €4.07B +49.9% €1.76B +48.2% 43.3% -0.0049 pp €4.01B +310.1% 98.5% +0.63 pp
    €2.71B +116.0% €1.19B +332.8% 43.8% +0.22 pp €977.42M +42.6% 36.0% -0.19 pp
    €1.26B +57.1% €274.83M +113.6% 21.9% +0.058 pp €685.52M +208.4% 54.6% +0.27 pp
    €799.85M +27.2% €128.67M +2.3% 16.1% -0.039 pp €222.31M -27.6% 27.8% -0.21 pp
    €628.81M +8.8% €125.81M -7.2% 20.0% -0.034 pp €307.05M -11.9% 48.8% -0.12 pp
    €577.93M +44.1% €135.54M +4.9% 23.5% -0.088 pp €348.68M -521.5% 60.3% +0.81 pp
    €401.12M +27.8% €129.22M +24.0% 32.2% -0.0099 pp -€82.72M -34.4% -20.6% +0.20 pp
    €313.77M +10.6% €104.19M +42.6% 33.2% +0.075 pp -€126.02M -294.7% -40.2% -0.63 pp
    €283.81M +12.8% €73.08M -1.8% 25.7% -0.038 pp €64.74M +37.1% 22.8% +0.040 pp
    €251.52M +10.1% €74.44M +10.0% 29.6% -0.00027 pp €47.21M +241.3% 18.8% +0.13 pp
    €228.35M +14.6% €67.64M -0.5% 29.6% -0.045 pp €13.83M -130.5% 6.1% +0.29 pp
    €199.20M +9.7% €67.98M +0.1% 34.1% -0.032 pp -€45.37M -56.7% -22.8% +0.35 pp
    €181.63M +6.3% €67.88M -1.1% 37.4% -0.028 pp -€104.84M -753.7% -57.7% -0.67 pp
    €170.83M -1.2% €68.65M +9.0% 40.2% +0.037 pp €16.04M -93.1% 9.4% -1.2 pp
    €172.82M +47.8% €62.97M +64.2% 36.4% +0.036 pp €231.63M +11.8% 134.0% -0.43 pp
    €116.93M +6.6% €38.35M -22.1% 32.8% -0.12 pp €207.24M +168.3% 177.2% +1.1 pp
    €109.65M +49.2% €49.26M +107.1% 44.9% +0.13 pp €77.25M +8.4% 70.5% -0.27 pp
    €73.47M +18.4% €23.78M +55.6% 32.4% +0.077 pp €71.27M +15.2% 97.0% -0.027 pp
    €62.07M €15.28M 24.6% €61.88M 99.7%

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