Golden Bazaar company screen

GSDDE

GSD Denizcilik Gayrimenkul Insaat Sanayi ve Ticaret AS

2026/3
Total assets4.3B TRY
Equity2.9B TRY
Net profit-64.4B TRY
1M TRY-4.51%
1Y TRY+51.52%
Latest period read

2026/3

Golden Bazaar
Income statement157.8M TRYRevenue
Margin read54.7B TRYGross profit
Operating strength61.6M TRYOperating profit
Cash-profit proxy96.4M TRYFAVÖK
Debt load87.1M TRYNet debt
Balance-sheet risk1.4B TRYFinancial debt
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GOLDEN BAZAARBIST Company Financial Report

GSDDE

GSD Denizcilik Gayrimenkul Insaat Sanayi ve Ticaret AS

Total assets4.3B TRY
Equity2.9B TRY
F/K8.39
PD/DD0.64
Net profit-64.4B TRY

Company information

Legal nameGSD Denizcilik Gayrimenkul Insaat Sanayi ve Ticaret AS
SectorULAŞTIRMA VE DEPOLAMA
MarketBIST
Cityİstanbul
Foundation / registry dateNot listed in the registry record
IPO dateNot listed in the official record
First trading dateNot listed in the official record
Websitewww.gsdmarin.com.tr

Return intelligence

Processed date: 02 Jun 2026
1M TRY-4.51%
1Y TRY+51.52%
SAME SECTOR COMPARISON

Same sector peers

Comparison basis: Accounting group / ulaştirma ve depolamaPeer universe: 10With market data: 10
Market date: 02 Jun 2026

Swipe horizontally to see the full peer table.

Metric
GSDDEARMGDASUZUASGYOATAKPAGROTARSANAGYOAKYHOATAGY
Avg
Market cap
1.9B TRY
32.8B TRY
15.6B TRY
8.0B TRY
7.8B TRY
7.2B TRY
6.3B TRY
2.4B TRY
699.9M TRY
611.3M TRY
8.3B TRY
F/K
8.39
30.18
38.36
1.39
19.58
PD/DD
0.64
4.61
0.98
0.30
1.15
0.90
0.51
0.38
1.06
0.77
1.13
Period ratio matrix

Margin, liquidity, and profitability heatmap

Green marks stronger readings; red marks weak or riskier readings. A full historical valuation multiple matrix needs market cap and enterprise value for each period.

Ratio2024/122025/62025/92025/122026/3
Gross profit marginGross profit divided by revenue.+35.7%Not calculableNot calculable+32.9%Not calculable
EBITDA marginEBITDA divided by revenue.+66.9%Not calculableNot calculable+56.7%+61.0%
Net profit marginNet period profit divided by revenue.-6.3%Not calculableNot calculable+35.2%Not calculable
Operating profit marginOperating profit divided by revenue.+44.9%Not calculableNot calculable+34.0%+39.0%
Current ratioCurrent assets divided by current liabilities.3.114.555.304.334.84
Leverage ratioTotal liabilities divided by total assets.+27.6%+76.9%+65.2%+34.1%+32.6%
Return on equityNet period profit divided by equity.-1.6%-12.9%-9.0%+6.7%-2210.0%
Return on assetsNet period profit divided by total assets.-1.1%-3.0%-3.1%+4.4%-1489.7%
Debt / equityTotal liabilities divided by equity.+38.1%+333.4%+187.6%+51.7%+48.3%
Balance periods

All Balance Sheets

Current assets, non-current assets, liabilities, and equity are shown together by reporting period.

Line item2026/32025/122025/92025/62024/12
Current assets1.4B1.5B1.8B1.1B1.1B
Non-current assets2.9B3.1B2.8B2.4B2.9B
Total assets4.3B4.6B4.5B3.6B4.0B
Current liabilities292.3M351.9M335.2M244.2M355.8M
Non-current liabilities1.1B1.2B1.6B821.2M751.4M
Total liabilities1.4B1.6B1.9B1.1B1.1B
Equity2.9B3.1B1.6B821.2M2.9B
Net debt87.1M67.2M16.7B8.9B-31.5M
Cash flow periods

Cash Flow Summary

Operating, investing, and financing cash flows are shown by reporting period. Free cash flow is shown when available.

Line item2026/32025/122025/92025/62025/32024/12
Operating cash flow-96.8M392.0M237.4M159.5M58.3M415.5M
Investing cash flow-573,000-263.6M-246.8M-2.4M-5.1M-338.0M
Financing cash flow-46.7M250.5M798.9M54.9M-100.2M213.5M

Income statement

Revenue, margin, operating profit, and net profit trend.

4 lines6 periods shown
Financial line2026/32025/122025/92025/62025/32024/12Last period change
Net Income-64.4B205.9M-143.0M-105.9M-81.9B-45.2MN/A
Gross Profit54.7B192.4M104.6M47.7M22.0B257.2MN/A
Revenue157.8M584.8M24,00024,000132.2M719.8M-73.01%
Operating Profit61.6M198.6M98.4M45.3M26.9M323.4M-68.98%

Cash flow

Cash movements from operating, investing, and financing activities.

3 lines6 periods shown
Financial line2026/32025/122025/92025/62025/32024/12Last period change
Financing Cash Flow-46.7M250.5M798.9M54.9M-100.2M213.5M-118.66%
Operating Cash Flow-96.8M392.0M237.4M159.5M58.3M415.5M-124.70%
Investing Cash Flow-573,000-263.6M-246.8M-2.4M-5.1M-338.0M+99.78%

Financial trends

2024/12No data
2025/3132.2M TL
2025/6-132.1M TL
2025/90 TL
2025/12584.8M TL
2026/3157.8M TL