Ulaslar Turizm Enerji Tarim Gida ve Insaat Yatirimlari AS
Ulaslar Turizm Enerji Tarım Gıda ve İnşaat Yatırımları AŞ operates in the hotels, motels, and cruise lines industry, generating revenue primarily through hospitality and tourism-related services.
Business. Ulaslar Turizm Enerji Tarim Gida ve Insaat Yatirimlari AS (ULAS.IS) is a Turkish company primarily engaged in the hotels, motels, and cruise lines industry within the Consumer Cyclicals sector. The firm is headquartered in Turkey and is listed on the Borsa Istanbul. Specific details regarding its operating segments and geographic revenue mix are not disclosed.
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- Rate decisionEuropean Central Bank rate decision (press conf.)2026-09-10 · EU
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- ElectionSE Swedish Election2026-09-14 · SE
- ElectionUS U.S. Midterms2026-11-03 · US
- ElectionFR French Legislative2027-06-01 · FR
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Ulaslar Turizm Enerji Tarim Gida ve Insaat Yatirimlari AS (ULAS.IS) is a Turkish company primarily engaged in the hotels, motels, and cruise lines industry within the Consumer Cyclicals sector. The firm is headquartered in Turkey and is listed on the Borsa Istanbul. Specific details regarding its operating segments and geographic revenue mix are not disclosed.
Ulaslar Turizm Enerji Tarım Gıda ve İnşaat Yatırımları AŞ has a capital structure with no long-term debt and a debt-to-equity ratio of 0.0, indicating a fully equity-funded operation. The company's liquidity position is weak, with a current ratio of 1.1, suggesting limited short-term liquidity to cover obligations. Free cash flow is negative at -7.4 million TRY, and operating cash flow is also negative at -36.5 million TRY, indicating ongoing cash outflows from operations.
Profitability metrics are negative, with a return on equity of -3.11% and a return on assets of -1.52%, both significantly below the industry median for hotels and motels. The company reported a net loss of 7.5 million TRY and an operating loss of 2.05 million TRY in the latest period. These results suggest the company is not currently generating returns for shareholders or effectively utilizing its asset base.
The company's revenue is not segmented by geographic region or business line in the available data, but given its industry classification, it is likely concentrated in Turkey, where it is listed. No specific revenue concentration metrics are available to assess geographic or product diversification.
The company's growth trajectory is not clearly defined in the available data, as no forward-looking revenue guidance or historical growth rates are provided. The absence of long-term debt and the negative operating cash flow suggest the company may be in a restructuring or stabilization phase.
Risk factors include low liquidity and the potential for operational losses to continue, which could pressure the company to seek external financing. However, no immediate dilution or liquidity flags were detected in the latest filings. The company has not issued any recent equity or debt offerings, and no dilution sources were identified in the available data.
No recent filings, transcripts, or material events were identified in the available data to suggest a change in the company's strategic direction or operational performance.
- The company is operating at a loss with negative returns on equity and assets.
- It is fully equity-funded with no long-term debt, but liquidity is weak.
- No immediate dilution or liquidity risks were identified in the latest filings.
- The company's growth trajectory and future profitability are unclear based on current data.
- No recent material events or strategic changes were reported.
Bull / Bear case
Generated · model-assistedFree cash flow surged 666.5% year-over-year to 18.4 million TRY, demonstrating exceptional cash generation capabilities.
The company maintains a zero debt-to-equity ratio, ranking in the top quartile compared to the 0.37 cohort median.
Cash conversion of 4.87 is best-in-class, significantly outperforming the 0.99 median for the hotels and motels cohort.
Net income increased 43.2% year-over-year to 21.9 million TRY, indicating improved bottom-line profitability despite revenue fluctuations.
Dilution and liquidity risks are assessed as low, suggesting a stable capital structure and adequate market trading conditions.
Return on equity of -3.11% places the company in the bottom quartile, underperforming the 2.85% cohort median significantly.
The company faces high credit risk, which may impair its ability to secure favorable financing or maintain supplier relationships.
Net income CAGR of -5.2% over four years reflects a long-term downward trend in profitability despite recent spikes.
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- No immediate filing-based liquidity or dilution flags were detected.
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- Ulaslar Turizm Enerji Tarim Gida ve Insaat Yatirimlari AS Market data — financials · 2026-05-29