BIENY-Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. Ipo

BIENY-Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. public offering news has been published! One of the expected public offerings, the company, the public offering analysis of the share that will be offered to the public with the code #BIENY is as follows;

Published: May 06, 2023 1 min read

Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. enerji, turizm, sigorta ve yapı malzemeleri sektörlerinde faaliyet gösteren Ercan Şirketler Topluluğu’nun bir kuruluşudur.

BIENY-Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. Ipo

BIENY-Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. public offering news has been published! One of the expected public offerings, the company, the public offering analysis of the share that will be offered to the public with the code #BIENY is as follows;

BIENY-Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. Ipo

Bien Yapı Ürünleri San. Turizm ve Tic. A.Ş. The IPO Table

  • Stock Code : BIENYBIENY
  • Distribution Method : Eşit Dağıtım **
  • Request Collection Date : Kesinleşmedi
  • Public Offering Price: 42,8 TL
  • Total Lot To Be Released To The Market : 72326119 lots are planned to be released to the market.
  • IPO Size: ₺3.714.669.437,60
  • Additional Sale: 14465223 Ek satış planlanmaktadır.
  • Intermediary Institution: Ak Yatırım Menkul Değerler A.Ş.
  • Market :

    Yıldız Pazar

BIENY Last Year's Financial Statement is as follows;

31.12.202031.12.202130.09.2022
Current Assets ₺1.054.746.324,00₺2.041.132.350,00₺3.617.665.460,00
Fixed Assets ₺812.387.727,00₺896.572.556,00₺1.022.595.204,00
Short Term Liabilities ₺711.717.859,00₺1.118.673.646,00₺2.261.225.324,00
Long Term Liabilities ₺639.714.369,00₺724.975.355,00₺506.703.647,00
Equities ₺515.701.823,00₺1.094.055.905,00₺1.872.331.693,00
Net Profit For The Period ₺66.639.396,00₺579.783.143,00₺820.460.415,00

BIENY Ipo

Nakit Oranı

The cash ratio, or cash ratio, is a financial indicator that measures the company's ability to quickly meet its short-term obligations. This is without the need to sell any assets. To calculate the cash ratio, only liquidity and its equivalents are considered in the denominator. Also in the denominator, current liabilities, close are all commitments that must be fulfilled in the future. For example, we mean short-term bank loans (less than one year) and payables to suppliers. Ratio is required to be over 1.00.Cash Ratio Calculator

31.12.202031.12.202130.09.2022
0,09510,01650,0963

Asit Test Oranı

The acid-test ratio (or quick ratio) is a formula used to determine a company's ability to pay its bills on time by comparing its shortest-term assets to its shortest-term liabilities and seeing if it has enough cash to pay for those emergencies. The ratio is required to be above the 1.00.Acid-Test Ratio Calculator

31.12.202031.12.202130.09.2022
1,02391,43211,0962
Cari Oran

It is a ratio that shows whether the company will be able to pay its short-term debts if it ceases operations today. It is desired that the ratio be above 1.00.Current Ratio Calculation

31.12.202031.12.202130.09.2022
1,4821,82461,5999

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