Koroplast Temizlik Ambalaj Ürünleri Sanayi ve Dis Ticaret A.S. (IST:KRPLS)
Turkey flag Turkey · Delayed Price · Currency is TRY
9.11
+0.09 (1.00%)
At close: Jun 12, 2026

IST:KRPLS 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
6.4412.7234.3652.648.1427.15
Cash & Short-Term Investments
6.4412.7234.3652.648.1427.15
Cash Growth
-83.90%-62.98%-34.74%546.38%-70.01%-
Accounts Receivable
785.93614.46681.4552.75447.68163.37
Other Receivables
-0.060.060.123.591.57
Receivables
785.93614.52681.46552.87451.27164.94
Inventory
258.24199.56253.41213.99215.1294.41
Prepaid Expenses
16.385.031.955.182.640.96
Other Current Assets
3.8631.3545.220.432.7717.04
Total Current Assets
1,071863.181,016845.08709.95304.51
Property, Plant & Equipment
499.52463.27778.46636.83310.0691.87
Other Intangible Assets
80.1375.6485.8772.7755.89.18
Long-Term Deferred Tax Assets
--14.7733.7322.990.42
Other Long-Term Assets
2.992.921.513.740.570.02
Total Assets
1,6531,4051,8971,5921,099406
Accounts Payable
315.56213.86267.47164.55149.3580.27
Accrued Expenses
75.6954.0673.9241.9122.066.23
Short-Term Debt
108.3986.2199.03188.17105.5325
Current Portion of Long-Term Debt
-----49.35
Current Portion of Leases
48.936.158.4148.9312.435.28
Current Income Taxes Payable
811.3510.234.57-1.59
Current Unearned Revenue
2.219.6712.756.5413.291.27
Other Current Liabilities
22.742.632.336.020.130.02
Total Current Liabilities
581.47423.87624.15460.68302.8169.01
Long-Term Debt
-----62.08
Long-Term Leases
70.4462.22244.59233.418.7811.02
Pension & Post-Retirement Benefits
42.7933.5837.1429.3125.744.95
Long-Term Deferred Tax Liabilities
25.9915.91----
Total Liabilities
720.68535.58905.88723.4347.32247.06
Common Stock
174.6174.6174.6174.6174.6150
Additional Paid-In Capital
297.03269.92269.92206.22154.14-
Retained Earnings
-370.05-317.8-190.91-35.68120.348.91
Comprehensive Income & Other
831.24742.7737.5523.63302.990.03
Shareholders' Equity
932.81869.42991.11868.76752.07158.94
Total Liabilities & Equity
1,6531,4051,8971,5921,099406
Total Debt
227.72184.53502.03470.5136.74152.73
Net Cash (Debt)
-221.28-171.81-467.68-417.86-128.6-125.57
Net Cash Per Share
--0.98-2.68-2.39-0.80-2.69
Filing Date Shares Outstanding
-174.6174.6174.6174.646.6
Total Common Shares Outstanding
-174.6174.6174.6174.646.6
Working Capital
489.39439.31392.22384.39407.15135.5
Book Value Per Share
-4.985.684.984.313.41
Tangible Book Value
852.69793.79905.24795.98696.27149.75
Tangible Book Value Per Share
-4.555.184.563.993.21
Machinery
-683.2633.29464.23311.368.96
Construction In Progress
-1.3130.690.776.790.72
Leasehold Improvements
-157.58155.67118.7881.1520.31