Direct Finance of Direct Group (2006) Ltd (TLV:DIFI)
Israel flag Israel · Delayed Price · Currency is ILS · Price in ILA
62,200
-2,420 (-3.74%)
Aug 19, 2026, 5:24 PM IDT

TLV:DIFI Income Statement

Millions ILS. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Interest and Dividend Income
-537.29---1,181740.43
Total Interest Expense
462.86454.89434.62336.5233.8797.88
Net Interest Income
-1,000-454.89-434.62-336.5947.08642.55
Other Revenue
2,3911,5081,4941,341164.484.4
Revenue Before Loan Losses
1,3911,0531,0591,0051,111726.95
Provision for Loan Losses
282.07259.64224.32243.09110.8653.9
1,109793.76834.77761.641,001673.05
Revenue Growth
52.46%-4.91%9.60%-23.88%48.67%102.93%
Cost of Services Provided
623.64606.69618.74587.94633.53410.88
Other Operating Expenses
132.89-24.8-18.33-37.27-22.05-28.47
Total Operating Expenses
756.53581.89600.41550.67611.48382.41
Operating Income
352.04211.87234.36210.97389.14290.64
EBT Excluding Unusual Items
354.81211.77234.55211.06389.14290.62
Pretax Income
354.81211.77234.55211.06389.14290.62
Income Tax Expense
134.2780.785.6578.34144.69109.3
Earnings From Continuing Ops.
220.54131.07148.9132.72244.46181.32
Minority Interest in Earnings
-19.07-11.01-7.8-0.25--
Net Income
201.46120.06141.1132.47244.46181.32
Net Income to Common
201.46120.06141.1132.47244.46181.32
Net Income Growth
91.78%-14.91%6.52%-45.81%34.82%155.62%
Shares Outstanding (Basic)
333333
Shares Outstanding (Diluted)
333333
Shares Change
4.54%0.44%-0.14%12.37%13.03%
EPS (Basic)
66.6940.6047.7244.8083.4371.27
EPS (Diluted)
66.4340.4347.7244.8082.7969.00
EPS Growth
83.45%-15.27%6.52%-45.89%19.99%126.23%
Free Cash Flow
56.26-223.17-587.15-882.83-1,064-1,511
Free Cash Flow Per Share
18.55-75.14-198.56-298.55-360.26-575.03
Dividend Per Share
20.02728.41529.32621.63141.34033.911
Dividend Growth
-19.43%-3.10%35.57%-47.67%21.91%243.58%
Operating Margin
31.76%26.69%28.07%27.70%38.89%43.18%
Profit Margin
18.17%15.13%16.90%17.39%24.43%26.94%
Free Cash Flow Margin
5.08%-28.12%-70.34%-115.91%-106.32%-224.53%
Effective Tax Rate
37.84%38.11%36.52%37.12%37.18%37.61%