Tav Havalimanlari Holding AS (TAVHY)


TAV Havalimanlari Holding A.S. is a Turkey-based airport infrastructure and services group whose ordinary shares are represented in the U.S. through a depositary receipt listed on OTC Markets. The company and its subsidiaries are involved in airport and terminal development, operation, and related services across Turkey and a number of international locations, including Georgia, Kazakhstan, North Macedonia, Tunisia, Croatia, Oman, Latvia, Spain, Qatar, and Saudi Arabia. Its activities span terminal operations, catering, duty free retail, ground handling, and bus services, along with other support functions such as lounges, IT, security, education, airline taxi services, and software and systems services. Founded in 1997 and based in Istanbul, the company adopted its current name in 2006.


Jump between the core stock analysis sections, valuation data, fair value models, technical outlook, and FAQ.

Data update note: Fair value and stock analysis metrics are updated after regular market sessions when new data becomes available.
Ticker Fair Value Fair Value Upside/Downside Fair Value Rating Analyst Price Target Analyst Target Upside/Downside Analyst Target Rating Overall Financial Health Upcoming Dividend Ex-Date Dividend Payment Date Upcoming Dividend Dividend Yield Next Earnings Date P/E Ratio Price-to-Book Ratio Price-to-Sales Ratio Market Cap Enterprise Value Total Debt / Total Capital Free Float / Shares Outstanding Altman Z-Score Payout Ratio Free Cash Flow / Net Income
OTC-TAVH.Y
$30.25
31.0% Upside
Undervalued
Great
September 23, 2026
October 8, 2026
0.21
0.0%
July 24, 2026
62.4x
1.3x
1.1x
2.097 B
3.594 B
50.7%
49.8%
4.5
160.0%
Valuation • Fair Value

Tav Havalimanlari Holding AS (OTC-TAVH.Y) Fair Value by Valuation Model

Compare the primary fair value estimate for Tav Havalimanlari Holding AS (OTC-TAVH.Y) with model-based valuation references such as DCF, Ben Graham, DDM, EPV and comparable-company valuation.

Primary Valuation Read

Fair Value

$30.25

Estimated upside of 31.0% versus the current market price.

Fair Value Confidence

High

Confidence level for the primary fair value estimate.

DCF Fair Value

$37.77

Discounted cash flow valuation reference.

Ben Graham Formula Value

$4.22

Classic Ben Graham valuation formula reference.

DDM Fair Value

$35.20

Dividend discount model valuation reference.

EPV Fair Value

$21.44

Earnings power value estimate.

Comps Fair Value

$24.64

Comparable-company valuation reference.

Analyst Price Target

Not available

Data is currently unavailable.

How to read these valuation models

Use this section to compare the primary fair value estimate for Tav Havalimanlari Holding AS (OTC-TAVH.Y) with several model-based valuation references. Different models can produce different outputs because each method relies on a different set of assumptions, so the primary fair value estimate should be read alongside the model spread rather than in isolation.

Profitability • Growth

Profitability & Growth for Tav Havalimanlari Holding AS (OTC-TAVH.Y)

A compact read on revenue, forward revenue expectations, EBITDA and operating profitability trends.

Revenue

1.938 B

Current operating scale indicator.

Revenue Forecast

2.221 B

Forward revenue estimate.

EBITDA

543.5 M

Current operating profitability reference.

EBITDA Forecast

683.7 M

Forward operating profitability estimate.

How to read profitability and growth

This section helps investors review Tav Havalimanlari Holding AS (OTC-TAVH.Y) from an operating perspective by combining current scale, forward revenue expectations and EBITDA-related profitability measures.

Quality • Risk

Quality & Financial Risk for Tav Havalimanlari Holding AS (OTC-TAVH.Y)

Review financial health, earnings quality and balance-sheet risk through Piotroski, Beneish, Altman and cash conversion metrics.

Financial Health

Great

Positive financial-health read.

Piotroski Score

6

Mid-range quality score.

Beneish M-Score

-2.43

No elevated caution signal from this screen.

Altman Z-Score

4.5

Relatively strong balance-sheet zone.

FCF / Net Income

160.0%

Cash conversion quality indicator.

How to read quality and risk

This section combines quality, balance-sheet and accounting-risk indicators for Tav Havalimanlari Holding AS (OTC-TAVH.Y). Read the metrics together: no single score is a complete investment conclusion, but the combined view can highlight financial strength, earnings quality and areas that may deserve closer review.

Events • Dividends

Upcoming Events & Dividends for Tav Havalimanlari Holding AS (OTC-TAVH.Y)

Track the next earnings date, ex-dividend date, dividend payment date, dividend yield and upcoming distribution details where available.

Next Earnings Date

July 24, 2026

Days to Earnings

3

Dividend Payment Date

October 8, 2026

Ex-Dividend Date

September 23, 2026

Dividend Yield

0.0%

Income yield reference.

Upcoming Dividend

0.21

Upcoming distribution amount.

Payment Type

Cash

Distribution type as reported in the data.

Dividend Currency

USD

Currency used for the distribution.

Payout Ratio

Not available

Data is currently unavailable.

How to read events and dividends

This section helps investors track time-sensitive items for Tav Havalimanlari Holding AS (OTC-TAVH.Y), including the next earnings date and dividend-related milestones. These items can matter for short-term volatility, income planning and event-driven positioning.

Stock Forecast • Technical Outlook

Tav Havalimanlari Holding AS (OTC-TAVH.Y) Stock Forecast & Technical Outlook

Review Tav Havalimanlari Holding AS (OTC-TAVH.Y) across multiple technical time frames, alongside analyst recommendation data, to form a faster read on market positioning and near-term sentiment.

Technical Signals by Time Frame

Switch between time frames to review the current technical signal for the stock.

Strong Sell Sell Neutral Buy Strong Buy
Time frame: 15-minute • intraday
Strong Buy

The 15-minute technical read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is currently Strong Buy. Use it as a timing signal only, and compare it with valuation, fundamentals and upcoming events before drawing a broader view.

Strong Sell Sell Neutral Buy Strong Buy
Time frame: 1-hour • short-term
Neutral

The 1-hour technical read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is currently Neutral. Use it as a timing signal only, and compare it with valuation, fundamentals and upcoming events before drawing a broader view.

Strong Sell Sell Neutral Buy Strong Buy
Time frame: daily • daily
Strong Sell

The daily technical read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is currently Strong Sell. Use it as a timing signal only, and compare it with valuation, fundamentals and upcoming events before drawing a broader view.

Strong Sell Sell Neutral Buy Strong Buy
Time frame: weekly • weekly
Strong Sell

The weekly technical read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is currently Strong Sell. Use it as a timing signal only, and compare it with valuation, fundamentals and upcoming events before drawing a broader view.

Strong Sell Sell Neutral Buy Strong Buy
Time frame: monthly • monthly
Neutral

The monthly technical read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is currently Neutral. Use it as a timing signal only, and compare it with valuation, fundamentals and upcoming events before drawing a broader view.

Analyst Consensus for Tav Havalimanlari Holding AS (OTC-TAVH.Y)

A consolidated view of buy, hold and sell recommendations based on the currently available analyst data.

Strong Sell Sell Neutral Buy Strong Buy
Consolidated analyst recommendation mix
Hold

Based on the available recommendation mix, Tav Havalimanlari Holding AS (OTC-TAVH.Y) has a Hold consensus, with 0 buy, 1 hold and 0 sell recommendations in the current data set.

Buy 0
Hold 1
Sell 0
FAQ Fast Investor Answers

Tav Havalimanlari Holding AS (OTC-TAVH.Y) Stock FAQ

Quick answers about Tav Havalimanlari Holding AS (OTC-TAVH.Y) stock, including fair value, valuation rating, analyst price target, dividends, earnings dates, market capitalization, financial health and other key stock analysis metrics.

Fair Value
$30.25
Estimated upside 31.0%
Valuation Rating
Undervalued
Estimated upside of 31.0%
Analyst Target
Not available
Data is currently unavailable
Financial Health
Great
Current financial-health read

The current fair value estimate for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is $30.25. This implies an estimated upside of 31.0% versus the current market price.

Based on the current fair value estimate, the stock appears undervalued, with estimated upside of 31.0% versus the current market price.

An analyst price target for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is not currently available in the latest data file.

The current financial health read for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is Great. This should be reviewed alongside valuation, profitability, debt and cash-flow quality metrics.

The next earnings date currently listed for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is July 24, 2026.

Based on the current data, dividend yield is 0.0%, upcoming dividend amount is 0.21, ex-dividend date is September 23, 2026, payment date is October 8, 2026.

The current P/E ratio listed for Tav Havalimanlari Holding AS (OTC-TAVH.Y) is 62.4x. Use it together with growth, margins and sector comparisons rather than as a standalone valuation signal.

The current market capitalization listed for Tav Havalimanlari Holding AS is 2.097 B.

The current enterprise value listed for Tav Havalimanlari Holding AS is 3.594 B. Enterprise value can provide a broader valuation view than market capitalization alone because it also considers net debt.

The ticker symbol for Tav Havalimanlari Holding AS is OTC-TAVH.Y, and the stock is listed on OTC Markets.

Tav Havalimanlari Holding AS (OTC-TAVH.Y) is listed on OTC Markets.

The current debt-to-total-capital ratio listed for Tav Havalimanlari Holding AS is 50.7%, which helps investors evaluate the company’s financing structure and leverage profile.

The free float listed for Tav Havalimanlari Holding AS is 49.8%. Free float helps investors understand how much of the share base is available for public trading.