Çemtas Çelik Makina Sanayi ve Ticaret A.S. (IST:CEMTS)
Turkey flag Turkey · Delayed Price · Currency is TRY
9.29
-0.01 (-0.11%)
At close: Jul 14, 2026

IST:CEMTS Balance Sheet

Millions TRY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
1,5491,7811,2461,015550.53158.3
Short-Term Investments
491.33582.98332.2---
Cash & Short-Term Investments
2,0402,3641,5781,015550.53158.3
Cash Growth
126.86%49.81%55.40%84.42%247.78%52.80%
Accounts Receivable
999.51818.4884.361,066797.43258.67
Other Receivables
33.1632.46168.9237.8122.230.8
Receivables
1,033850.871,0531,104819.66259.48
Inventory
1,5121,3641,3301,3511,411491.5
Prepaid Expenses
38.637.9242.4632.2516.675.64
Other Current Assets
535.45396.1450.08477.8572.7217.77
Total Current Assets
5,1595,0134,0543,9812,870932.68
Property, Plant & Equipment
4,0623,7673,8871,7491,204188.38
Long-Term Investments
206.52250.21346.96293.31285.7433.94
Other Intangible Assets
3.363.443.22.272.650.92
Long-Term Deferred Tax Assets
--16.5157.14-33.87
Long-Term Deferred Charges
25.2124.37.138.259.970.25
Other Long-Term Assets
0.080.080.0800.010
Total Assets
9,4579,0588,3156,0914,3731,190
Accounts Payable
235.09198.95335.12204.41172.3176.6
Accrued Expenses
173.51128.38179.0511925.722.97
Short-Term Debt
0.210.160.230.13336.140
Current Portion of Long-Term Debt
569.38576.82421.27109.11--
Current Income Taxes Payable
22.0320.54-101.7435.6673.18
Current Unearned Revenue
18.0824.5172.8728.5418.1920.7
Other Current Liabilities
150.980.992.811.191.480.84
Total Current Liabilities
1,169950.351,011564.12589.48194.3
Long-Term Debt
1,1791,315433.54114.75--
Pension & Post-Retirement Benefits
112.83110.4191.79127.7969.6620.25
Long-Term Deferred Tax Liabilities
231.3157.09--45.34-
Total Liabilities
2,6932,5331,537806.66704.48214.55
Common Stock
500500500500100.98100.98
Retained Earnings
2,6332,7753,0232,4342,249884.43
Comprehensive Income & Other
3,6313,2493,2552,3511,318-9.91
Shareholders' Equity
6,7646,5256,7785,2853,668975.49
Total Liabilities & Equity
9,4579,0588,3156,0914,3731,190
Total Debt
1,7491,892855.04224336.140
Net Cash (Debt)
291.65471.32722.75791.31214.39158.3
Net Cash Growth
-4.54%-34.79%-8.66%269.10%35.44%67.07%
Net Cash Per Share
0.580.941.451.580.430.32
Filing Date Shares Outstanding
500500500500500500
Total Common Shares Outstanding
500500500500500500
Working Capital
3,9904,0633,0433,4172,281738.38
Book Value Per Share
13.5313.0513.5610.577.341.95
Tangible Book Value
6,7616,5216,7755,2823,666974.57
Tangible Book Value Per Share
13.5213.0413.5510.567.331.95
Land
660.63600.35601.03413.61286.489.03
Buildings
1,3461,2241,221924.34626.4848.18
Machinery
14,44213,12312,6269,5796,464564.59
Construction In Progress
196.64164.681,65830.6849.517.89