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Financial data sourced from official regulatory filings and verified market data providers. Metrics calculated using GAAP/IFRS standards.

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Last updated: April 2026

PKART FINANCIAL STATEMENTS

Plastikkart Akilli Kart Iletisim Sistemleri Sanayi ve Ticaret A.S. — balance sheet, income statement and cash flow trends

PKARTPlastikkart Akilli Kart Iletisim Sistemleri Sanayi ve Ticaret A.S.

🇹🇷 Turkey · IS · Industrials · Business Equipment & Supplies

Value itDuel
PriceFinancialsPeers

Income Statement

Quarterly progression — trailing-twelve-month values
RevenueNet Income
01 B2 B202120222023202420252026

Profit Funnel

Q1 2026 · TTM
Revenue2.7 B ₺Gross Profit269.8 M ₺ · 10%Operating Income153.5 M ₺ · 6%Pre-tax Income145.9 M ₺ · 6%Net Income87.8 M ₺ · 3%

Percentages are relative to revenue.

Key Figures

YoY change
Revenue2.7 B ₺+16.3%
Gross Profit269.8 M ₺+112.4%
Operating Income153.5 M ₺+99.2%
EBITDA194.2 M ₺+64.6%
Net Income87.8 M ₺+56.8%

Peer Comparison· Business Equipment & Supplies

CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
PKART16.3%10.2%7.3%3.3%
XRX20.0%25.7%2.4%-14.1%
ACCO-4.5%30.7%12.8%4.8%
ACTG-3.3%97.8%14.7%-8.5%
EBF1.3%30.8%18.2%10.8%
Industry median-1.0%30.7%10.0%-2.6%
CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
PKART16.3%10.2%7.3%3.3%
ADEL-9.1%37.9%4.8%-12.7%
Industry median-1.0%30.7%10.0%-2.6%

Balance Sheet

Quarterly period-end values
Total AssetsTotal LiabilitiesEquity
0250 M500 M750 M202120222023202420252026

Capital Structure

Q1 2026
Total Assets860.6 M
  • Equity549.8 M ₺64%
  • Current Liabilities270.5 M ₺31%
  • Long-term Liabilities40.3 M ₺5%

Key Figures

YoY change
Total Assets860.6 M ₺+31.2%
Total Liabilities310.7 M ₺+14.0%
Total Equity549.8 M ₺+43.4%
Cash & ST Investments62.2 M ₺+6.1%
Total Debt0 ₺—
Net Debt-62.2 M ₺—

Peer Comparison· Business Equipment & Supplies

CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
PKART2.050.0%-0.3263.9%
XRX1.18866.7%21.775.2%
ACCO1.77143.9%4.3429.8%
ACTG8.5619.5%-7.0969.9%
EBF3.531.2%-0.6385.5%
Industry median1.9181.7%2.0150.0%
CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
PKART2.050.0%-0.3263.9%
ADEL0.95147.9%12.8536.1%
Industry median1.9181.7%2.0150.0%

Cash Flow Statement

Quarterly progression — trailing-twelve-month values
Operating Cash FlowCapital ExpendituresFree Cash Flow
-200 M0200 M400 M202120222023202420252026

Cash Flow Bridge

Q1 2026 · TTM
010 M20 M27.3 M ₺Operating-18.3 M ₺Investing0 ₺Financing9 M ₺Net Change

Key Figures

YoY change
Operating Cash Flow27.3 M ₺—
Capital Expenditures-24 M ₺—
Free Cash Flow9 M ₺-97.7%
Dividends Paid0 ₺—

Peer Comparison· Business Equipment & Supplies

CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
PKART1.0%0.3%0.9%31.1%
XRX4.6%3.3%1.2%-32.4%
ACCO4.3%3.2%1.1%90.3%
ACTG35.4%24.4%11.1%-415.5%
EBF16.8%14.0%2.7%154.6%
Industry median4.4%3.2%2.0%57.3%
CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
PKART1.0%0.3%0.9%31.1%
ADEL-10.6%-13.6%3.0%83.4%
Industry median4.4%3.2%2.0%57.3%

Amounts are in the company’s reporting currency. Peer comparison tables use ratio-based metrics so currency differences do not distort the picture.

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Data on this page refreshes once per day. Price data as of Jul 3, 26. This content is for informational purposes only and is not investment advice.