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General information

  • Dividend yield for the last twelve months 0.0%
  • Free cash flow yield 0.0% (LTM)
  • Share price is 5.7% higher than minimum and 66.3% lower than maximum for the last 3 years

Key Financials (Download financials)

Ticker: BAST
Share price, KZT:  (-100.0%)3880
year average price 5273.8378  


year start price 7097.0000 2024-11-04

max close price 7775.2000 2024-11-25

min close price 3670.0000 2025-10-06

current price 0.0000 2025-11-01
Common stocks: 1 878 615

Dividend Yield:  0.0%
FCF Yield LTM: 0.0%
EV / LTM EBITDA:0.0x
Target EV / EBITDA (hist percentile):
EBITDA margin ann-d 344 132 986.7%
Net income margin ann-d -4 111.4%

Revenue and EBITDA

Quarterly values ($m)

Change (y/y)

Cash Flow

FCF ($m)

Net Debt / Cash and Equivalents ($m)

Share price and dividends (Download history)

Share price

Payment KZT per share

Multiple and potential

EV / LTM EBITDA and 50% percentile

Potential dynamics

Daily trade volumes

Millions of KZT

P/B and P/E multipliers

P / B

P / E

MSFO data *The values are shown in mln. The % change shows the difference from the same period last year

View as Pivot Table       Export as Pivot Table (xlsx)



Income


Q Revenue Gross profit Operating income Net income PercentProfit PercentLoss
 
2025 q2 15<-100% 15<-100% -412-47% -622-33%    
2025 q1 14-94% 14<-100% -190-59% -145-68%    
2024 q4 -274<-100% -471 980-80% -1 158 927<-100% -3 097 950-27%    
2024 q3 -73 137<-100% -30<-100% -288<-100% -595<-100%    
2024 q2 -33<-100% -125<-100% -773<-100% -929<-100%    
2024 q1 241<-100% -321<-100% -467<-100% -456<-100%    
2023 q4 368 153<-100% -2 368 140>+200% 15 415-61% -4 237 765<-100%    
2023 q3 868 405<-100% -1 089 634<-100% -1 580 812<-100% -1 701 470-97%    
2023 q2 631 314<-100% -634 831<-100% -964 763<-100% -944 869<-100%    
2023 q1 528 978<-100% -430 659<-100% -576 213<-100% -511 723<-100%    
2022 q4 -1 341 856 920>+200% -305 605+35% 39 659-81% 7 449-99%    
2022 q3 -251 979 840<-100% 75 375 502>+200% 16 384 884<-100% -50 640 064-35%    
2022 q2 -348 204 897<-100% 449 171>+200% 308 274>+200% 88 547<-100%    
2022 q1 353 146 822>+200% 81 787 975<-100% 59 686 877>+200% 33 460 298>+200%    
2021 q4 -2 625 746>+200% -227 080<-100% 207 732-68% 787 458-55%    
2021 q3 1 241 230>+200% 22 618 649>+200% -20 713 155<-100% -78 252 849>+200%    
2021 q2 847 163+153% 133 979<-100% 92 851<-100% -164 617<-100%    
2021 q1 912 294 -35 759-86% 0+100% 0<-100%    
2020 q4 -385 451 347 568 659 336 1 754 841    
2020 q3 330 108 85 457 727 256 -1 755 273    
2020 q2 335 198 -173 629 -1 387 795 446 199    
2020 q1   -259 736 0 -448 447    


Balance


Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 q2 962-74% 12 830-8%     0.00x
2025 q1 1 979-61% 13 413-8%     0.00x
2024 q4 1 729 406-66% 13 224 506-8%     0.00x
2024 q3 2 839-63% 13 490-10%     0.00x
2024 q2 3 762-56% 13 907-10%     0.00x
2024 q1 5 126-44% 14 619-1%     0.00x
2023 q4 5 146 438-29% 14 303 223-3%     0.00x
2023 q3 7 726+59% 14 974+4%     0.00x
2023 q2 8 483+73% 15 371+13%     0.00x
2023 q1 9 091 14 758+1%     0.00x
2022 q4 7 208 989>+200% 14 734 716>+200%     0.00x
2022 q3 4 862 14 446<-100%     0.00x
2022 q2 4 908 13 643<-100%     0.00x
2022 q1   14 556+181% 11 707   0.00x
2021 q4 4 482 13 742      
2021 q3   10 941 872 5 759 357    
2021 q2   1 156 147 544 898 592 829    
2021 q1   5 176      
2020 q4          
2020 q3          
2020 q2          
2020 q1          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 -124-92% 0<-100%  
2025 q1 -182-88%    
2024 q4 -4 102 354+110% -130 995<-100% 1 481 869-41%
2024 q3 -704<-100% -91>+200% 1 343<-100%
2024 q2 -1 638>+200% -127<-100%  
2024 q1 -1 481<-100%    
2023 q4 -1 950 500-23% 221<-100% 2 503 966>+200%
2023 q3 -1 672 531<-100% -20<-100% 680 000-99%
2023 q2 -184<-100% -14 276 453<-100% 245 882<-100%
2023 q1 -819 014<-100% -1 067<-100% 899 605<-100%
2022 q4 -2 546 959<-100% 408 889 686>+200% 391 662<-100%
2022 q3 331 491 945<-100% -409 672 336>+200% 100 739 392>+200%
2022 q2 622 818<-100% 31 047 154<-100% -119 862<-100%
2022 q1 310 433<-100% -318 330<-100% -96<-100%
2021 q4 2 497 217>+200% 736 114 -3 522 954>+200%
2021 q3 -1 140 451>+200% -492 128 141 486-66%
2021 q2 -807 823>+200% -373 331 329 135 306<-100%
2021 q1 -538 793-22% 129 347<-100% 950 594-43%
2020 q4 779 551   -1 123 841
2020 q3 -63 646   410 696
2020 q2 -29 341   -955 482
2020 q1 -687 627 -977 721 1 670 096
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company