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Eregli Demir ve Celik Fabrikalari TAS
IST:EREGL.E

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Eregli Demir ve Celik Fabrikalari TAS
IST:EREGL.E
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Price: 31.64 TRY 0.57% Market Closed
Market Cap: ₺221.5B

Cash Flow Statement

Cash Flow Statement
Eregli Demir ve Celik Fabrikalari TAS

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Cash Flow Statement
Currency: TRY
Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025 Dec-2025
Operating Cash Flow
Net Income
6 222
8 633
13 223
16 079
19 195
22 779
20 246
18 653
12 890
1 915
(604)
4 329
10 110
18 706
19 437
14 193
8 794
5 620
5 428
694
Depreciation & Amortization
1 935
1 766
1 802
2 052
2 424
2 830
3 368
3 494
3 722
4 129
4 469
5 373
6 351
7 180
8 071
8 837
9 217
9 709
10 473
11 296
Other Non-Cash Items
3 043
4 147
5 148
7 404
8 621
9 155
8 781
4 142
1 172
2 814
6 938
3 059
5 289
(2 313)
(6 064)
(2 974)
(4 997)
(703)
(1 694)
6 604
Cash Taxes Paid
2 374
2 616
4 027
5 228
8 957
11 426
12 694
12 984
8 759
6 146
3 493
2 922
2 911
2 887
2 406
460
414
(213)
123
611
Cash Interest Paid
384
264
265
294
276
351
513
801
1 513
2 688
3 292
4 201
5 590
6 108
7 617
8 276
11 870
11 342
12 181
12 658
Change in Working Capital
(1 489)
(5 745)
(12 262)
(19 817)
(23 381)
(33 115)
(32 247)
(17 348)
(8 375)
2 327
4 834
307
(10 128)
(5 501)
(2 791)
11 201
34 759
42 854
51 520
46 462
Cash from Operating Activities
9 712
N/A
8 801
-9%
7 911
-10%
5 717
-28%
6 860
+20%
1 648
-76%
149
-91%
8 940
+5 910%
9 409
+5%
11 186
+19%
15 637
+40%
13 068
-16%
11 623
-11%
18 071
+55%
18 653
+3%
31 258
+68%
47 773
+53%
57 479
+20%
65 727
+14%
65 056
-1%
Investing Cash Flow
Capital Expenditures
(2 741)
(2 840)
(3 021)
(3 862)
(4 447)
(5 708)
(7 550)
(11 388)
(13 236)
(17 687)
(20 016)
(23 166)
(25 300)
(26 919)
(30 436)
(35 113)
(41 182)
(29 513)
(24 172)
(15 347)
Other Items
(3 336)
(3 444)
(3 400)
(3 659)
(2 139)
(1 666)
(2 336)
(1 024)
(2 136)
(3 576)
(4 452)
(4 165)
(3 589)
(3 883)
(4 424)
105
7 614
3 773
5 288
(1 940)
Cash from Investing Activities
(6 077)
N/A
(6 284)
-3%
(6 421)
-2%
(7 521)
-17%
(6 586)
+12%
(7 374)
-12%
(9 886)
-34%
(12 412)
-26%
(15 373)
-24%
(21 263)
-38%
(24 468)
-15%
(27 330)
-12%
(28 889)
-6%
(30 802)
-7%
(34 859)
-13%
(35 008)
0%
(33 568)
+4%
(25 740)
+23%
(18 885)
+27%
(17 287)
+8%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
(524)
(524)
(524)
(1 199)
(675)
(675)
(675)
0
0
0
0
Net Issuance of Debt
(518)
(257)
1 834
3 149
6 738
4 299
3 064
5 403
6 969
10 361
15 273
17 585
18 241
23 648
41 665
34 396
29 703
19 058
783
9 467
Cash Paid for Dividends
(7 181)
(7 172)
(6 366)
(6 825)
(15 645)
(16 180)
(16 180)
(15 721)
(536)
(0)
(0)
0
0
(1 754)
(1 755)
(1 755)
0
(0)
(1 717)
(1 717)
Other
338
556
532
250
660
822
818
690
(75)
(708)
(1 251)
(2 051)
(3 436)
(3 921)
(4 277)
(3 590)
(6 103)
(5 013)
(6 250)
(7 162)
Cash from Financing Activities
(7 361)
N/A
(6 874)
+7%
(4 000)
+42%
(3 426)
+14%
(8 247)
-141%
(11 058)
-34%
(12 297)
-11%
(9 628)
+22%
6 358
N/A
9 128
+44%
13 497
+48%
15 009
+11%
13 606
-9%
17 298
+27%
34 958
+102%
28 377
-19%
21 846
-23%
14 045
-36%
(7 184)
N/A
587
N/A
Change in Cash
Effect of Foreign Exchange Rates
1 327
179
152
14 828
15 546
18 503
20 368
5 161
3 885
4 257
3 547
8 133
8 032
8 412
9 335
6 513
9 705
9 742
10 288
11 781
Net Change in Cash
(2 399)
N/A
(4 178)
-74%
(2 357)
+44%
9 598
N/A
7 573
-21%
1 719
-77%
(1 667)
N/A
(7 939)
-376%
4 280
N/A
3 307
-23%
8 213
+148%
8 880
+8%
4 372
-51%
12 979
+197%
28 088
+116%
31 139
+11%
45 756
+47%
55 525
+21%
49 947
-10%
60 137
+20%
Free Cash Flow
Free Cash Flow
6 970
N/A
5 961
-14%
4 890
-18%
1 855
-62%
2 413
+30%
(4 060)
N/A
(7 402)
-82%
(2 448)
+67%
(3 827)
-56%
(6 502)
-70%
(4 379)
+33%
(10 098)
-131%
(13 677)
-35%
(8 848)
+35%
(11 782)
-33%
(3 855)
+67%
6 592
N/A
27 966
+324%
41 555
+49%
49 709
+20%
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