FROTO Hisse Analizi

Ford Otomotiv Sanayi A.S. · Consumer Cyclical / Auto Manufacturers · Borsa Istanbul

83,00 TRY +0,24% Scorecard: 1 / 8

Revenue is contracting, which may signal trouble in the story. The technical picture is weak.

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FROTO fundamental and technical indicators

The indicators below summarise both the balance sheet and the price behaviour of the stock. The assessment on each row shows whether the indicator sits in a good, fair or weak zone relative to its own usual range.

IndicatorValueRatingNe anlama geliyor
P/E (Price/Earnings) 10.72 fair Within a reasonable range.
P/B (Price/Book) 1.62 fair Reasonable.
Return on equity (ROE) 17.00% fair Moderate profitability.
Net profit margin 3.50% weak Thin margin, sensitive to cost pressure.
Revenue growth (yearly) -14.10% weak Revenue is contracting.
Debt/Equity 94.75% fair Manageable debt.
Trend (200-day avg.) BELOW weak Price is below its long-term average; the trend is weak.
Dividend yield 11.70% good Pays a cash dividend to shareholders.
52-week position from peak -38.2% n/a 52-week range: 75.65 – 134.30

Profile and valuation ratios

CompanyFord Otomotiv Sanayi A.S.
SectorConsumer Cyclical / Auto Manufacturers
Market cap291.08 billion TRY
P/E (trailing 12 months)10.72
Forward P/E (estimate)0.45
P/B1.62
EV/EBITDA9.36
Beta (volatility)0.30
Analyst target (avg.)134.22 TRY
Number of analysts12

Analyst expectations

12 analist FROTO have issued an opinion. The target price is the analysts' 12-month expectation, not a guarantee; the width of the range shows how far expectations diverge.

Hedef fiyat: lowest 90,00, ortalama 134,22, en yüksek 208,00 TRY

Recommendation breakdown: Güçlü al 3 · Al 5 · Tut 4 · Sat 0 · Güçlü sat 0

52-week range

FROTO over the past year traded as low as 75,05 and as high as 135,40 TRY . Where the price sits within this range shows whether the stock is trading closer to its peak or its floor.

Dividend history

TarihGross per share
2026-03-163,6400 TRY
2025-12-036,0500 TRY

Upcoming dates

How to read the ratios on this page

The P/E ratio is the share price divided by earnings per share over the trailing twelve months. Roughly, it answers the question "if the company sustains this profit, how many years until the investment pays back". A low P/E does not by itself mean cheap: if profit was inflated by a one-off item, or the market expects earnings to fall, the ratio naturally looks low.

P/B is market capitalisation divided by shareholders' equity. Values below one show the company is priced below its book value. This is common in banks and capital-intensive sectors and is not on its own a reason to buy.

The 200-day moving average is the most widely used gauge of the long-term trend. A price above the average points to an uptrend, below it to a downtrend. Crossings of the average are not on their own buy or sell signals.

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