EFORC-Efor Çay Sanayi Tic. A.Ş. Ipo
EFORC-Efor Çay Sanayi Tic. A.Ş. Announces IPO! The details of Efor Çay Sanayi Tic. A.Ş. public offering, which is planned to be publicly offered in the coming days, are as follows;
Yerli ve yeni üretim teknolojileri kullanarak çay filizlerini toprağa ekiyoruz. Hasat vakti gelince Karadeniz’in rayihası, yani aroması zengin bölgelerinden en kaliteli yaprakları topluyoruz. Topladığımız kaliteli yaprakları, AB standartlarındaki hijyenik ve gelişmiş teknolojilerle donatılmış tesislerimizde Türkiye'ye özgü geleneksel yöntemle yüksek kaliteli çaylara dönüştürüyoruz. Gerçekleştirdiğimiz Ar-Ge çalışmaları sayesinde muhteşem lezzet, yoğun dem ve kendine özgü kokusuyla yüksek standarttaki ürünlerimizi 12 ay boyunca tüketicilerimizle buluşturuyoruz.
EFORC-Efor Çay Sanayi Tic. A.Ş. Ipo
EFORC-Efor Çay Sanayi Tic. A.Ş. Announces IPO! The details of Efor Çay Sanayi Tic. A.Ş. public offering, which is planned to be publicly offered in the coming days, are as follows;

Efor Çay Sanayi Tic. A.Ş. The IPO Table
- Stock Code : EFORCEFORC
- Distribution Method : Eşit Dağıtım **
- Request Collection Date : 26 Haziran 2024-28 Haziran 2024
- Public Offering Price: 14.5 TL
- Total Lot To Be Released To The Market : 90000000 lots are planned to be released to the market.
- IPO Size: ₺1.305.000.015,95
- Additional Sale:
- Intermediary Institution: Halk Yatırım Menkul Değerler A.Ş.
- Market :
Yıldız Pazar
EFORC Last Year's Financial Statement is as follows;
| 31.12.2021 | 31.12.2022 | 31.12.2023 | |
|---|---|---|---|
| Current Assets | ₺1.090.749.153,00 | ₺1.751.609.814,00 | ₺1.973.176.153,00 |
| Fixed Assets | ₺517.872.770,00 | ₺1.141.672.296,00 | ₺1.848.991.250,00 |
| Short Term Liabilities | ₺1.020.560.578,00 | ₺1.604.999.949,00 | ₺1.576.382.453,00 |
| Long Term Liabilities | ₺89.405.090,00 | ₺261.531.346,00 | ₺448.810.350,00 |
| Equities | ₺498.656.255,00 | ₺1.026.720.815,00 | ₺1.796.975.312,00 |
| Net Profit/Loss | ₺155.691.050,00 | ₺143.766.776,00 | ₺488.744.174,00 |

EFORC Cash Ratio
The cash ratio, sometimes referred to as the cash-to-asset ratio, is a measure of liquidity that indicates a company's capacity to pay off its short-term debt obligations with cash and cash equivalents. Compared to other liquidity ratios such as the current ratio and the quick ratio, the cash ratio is a stricter, more conservative measure because it is used in the calculation. only cash and cash equivalents - a company's most liquid assets - are used. Ratio above 1.00 is required.Cash Ratio Calculator
| 31.12.2021 | 31.12.2022 | 31.12.2023 |
|---|---|---|
| 0 | 0 | 0 |
Efor Çay Sanayi Tic. A.Ş. Acid-Test Ratio
The Acid Test ratio is a financial index that shows the liquidity ratio of a company by measuring the ratio between liquid or more easily liquid current assets and short-term liabilities. In essence, it refers to a company's ability to meet its obligations in the short term using liquid resources even if inventories are excluded. The ratio is required to be above the 1.00.Acid-Test Ratio Calculator
| 31.12.2021 | 31.12.2022 | 31.12.2023 |
|---|---|---|
| 1.0688 | 1.0913 | 1.2517 |
EFORC Current Ratio
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
| 31.12.2021 | 31.12.2022 | 31.12.2023 |
|---|---|---|
| 1.0688 | 1.0913 | 1.2517 |
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