
Tanmiya for Real Estate Investment
TANMFiscal year starts in January · currency EGP · latest: Q2 2026
Net profit · 2025
34.82million
▼ 6.4% vs 2024
Total assets · 2025
297million
▲ 11.3% vs 2024
Shareholders' equity · 2025
257million
▲ 14.6% vs 2024
Operating cash flow · 2025
40.39million
▲ 77.3% vs 2024
Key facts
Source: annual statements 2025- Tanmiya for Real Estate Investment's net profit in 2025 was 34.82 million EGP, down 6.4% from 37.19 million EGP in 2024.
- Total assets at the end of 2025 were 297 million EGP, and shareholders' equity 257 million EGP.
- Operating cash flow in 2025 was positive at 40.39 million EGP.
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Annual net profit last 5 years
Net profit6.44million
26.3million
17.03million
37.19million
34.82million
20212022202320242025
Summarised financial statements
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Item · EGP20212022202320242025
Income statement
Net profit6.44 million26.3 million17.03 million37.19 million34.82 million
Gross profit13.69 million42.07 million19.68 million47.37 million42.17 million
Total assets161 million190 million208 million267 million297 million
Total liabilities13.5 million21.56 million20.92 million42.57 million39.85 million
Shareholders' equity148 million169 million187 million224 million257 million
Total liabilities and equity161 million190 million208 million267 million297 million
Operating cash flow68.58 million77.83 million603 thousand22.77 million40.39 million
Investing cash flow-27.93 million-66.31 million-5.12 million86.54 million-44.04 million
Financing cash flow————-3.56 million
Net change in cash40.65 million11.52 million-4.52 million109 million-7.22 million
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Figures in Egyptian pounds from the published statement summaries, after normalising reporting units across periods. The exact figure is in the attached report.
Financial reports (18)
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