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Evaluate the structure and quality of the data
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BİST Şirketleri Veri Bankası
BIST equities are presented with granular, stock‑ and sector‑level snapshots showing relative returns (1M/3M/1Y), dividend yields, valuation multiples (P/E, EV/EBITDA, P/B) alongside 2015–2023 medians, and balance‑sheet quality metrics (Net debt, Net debt/EBITDA, Altman Z). Operating performance is detailed via ROIC, EBITDA margin and working‑capital days, with foreign ownership levels and recent changes, enabling quick momentum and quality screening across autos, steel, energy, petrochemicals, cement, retail, telecoms, REITs and more.
Sector aggregates complement the company views, summarizing dispersion in returns, valuation vs history, profitability, leverage and foreign flow dynamics. The dataset focuses squarely on market structure—multiples, trends and risk flags—without forward guidance, supporting benchmarking and idea discovery across cyclical and defensives alike.