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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 49.6% higher than minimum and 0.0% lower than maximum for the last 3 years

Key Financials (Download financials)

Ticker: BSUL
Share price, KZT:  (-100.0%)441.52
year average price 441.5200  


year start price 441.5200 2024-11-04

max close price 441.5200 2024-11-04

min close price 441.5200 2024-11-04

current price 0.0000 2025-11-01
Common stocks: 80 000 000

Dividend Yield:  0.0%
FCF Yield LTM: 0.0%
EV / LTM EBITDA:1 000.0x
Target EV / EBITDA (hist percentile):
EBITDA margin ann-d 0.0%
Net income margin ann-d 0.0%

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 2 236 057 919>+200% 3 340+21% 1 218+86% 1 033>+200%   -103-59%
2025 q1 9 932-12% 2 402-15% 427-56% 158-21%   -96-83%
2024 q4 13 477+7% 1 805-3% 2 711+68% 2 863>+200%   -51-95%
2024 q3 11 716-18% 2 690+5% 663-13% 144-14%   -360-3%
2024 q2 10 741-19% 2 754+5% 656-47% 250-70%   -254+31%
2024 q1 11 346-26% 2 825-18% 971-38% 201-77%   -562+11%
2023 q4 12 606-35% 1 866-55% 1 611-31% 941-20%   -1 081+88%
2023 q3 14 352+13% 2 554-18% 760-59% 167-90%   -371+116%
2023 q2 13 252+31% 2 628+24% 1 227-40% 822-54%   -194-9%
2023 q1 15 271+128% 3 456>+200% 1 554>+200% 877>+200%   -507+70%
2022 q4 19 293+134% 4 165>+200% 2 333+134% 1 181+52%   -576+42%
2022 q3 12 741+94% 3 117>+200% 1 871>+200% 1 624>+200%   -171-27%
2022 q2 10 111+44% 2 123+136% 2 043+105% 1 775+136%   -213+38%
2022 q1 6 686+15% 597-42% 399-16% 12>+200%   -298+29%
2021 q4 8 262-53% 1 046-52% 998-33% 775-3%   -405
2021 q3 6 558-40% 836-51% 611-51% 282-69%   -233
2021 q2 7 014-32% 899-50% 996+42% 751-19%   -154-34%
2021 q1 5 791-43% 1 025-16% 473-51% 0<-100%   -232
2020 q4 17 588 2 174 1 500 802    
2020 q3 10 887 1 691 1 239 920    
2020 q2 10 321 1 799 703 925   -233
2020 q1 10 197 1 224 959 154    


Balance


Implied interest rate for 2025 q2:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (103 - 0) * 4 / (1 254 936 898 - 0)

Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 q2 43 672+47% 623 583 918>+200% 1 254 936 898>+200% 0.0% 229,841.92x
2025 q1 42 137+40% 57 596+6% -5 897<-100%   -1.20x
2024 q4 42 482+45% 59 801+13% -7 336<-100%   -1.35x
2024 q3 35 281+24% 52 243-3% -4 771<-100%   -1.10x
2024 q2 29 757+5% 51 788-8% 3 119-15% 32.6% 0.70x
2024 q1 30 165+10% 54 295-3% 3 552-25% 63.3% 0.71x
2023 q4 29 307+11% 52 953-7% 2 526-56% 171.2% 0.45x
2023 q3 28 380+4% 53 8820% 1 534<-100% 96.7% 0.24x
2023 q2 28 212+10% 56 286+18% 3 681<-100% 21.1% 0.50x
2023 q1 27 390+14% 55 764+26% 4 749>+200% 42.7% 0.58x
2022 q4 26 513+10% 56 640+25% 5 749>+200% 40.0% 0.82x
2022 q3 27 173+16% 53 620+23% -1 256<-100%   -0.22x
2022 q2 25 550+11% 47 702+6% -4 401+100%   -1.00x
2022 q1 24 132+11% 44 245 1 058<-100% 112.5% 0.32x
2021 q4 24 120 45 398 511 316.5% 0.15x
2021 q3 23 344 43 619 1 051 88.7% 0.36x
2021 q2 23 062 44 974 -2 200   -0.75x
2021 q1 21 727   -1 696   -0.65x
2020 q4          
2020 q3          
2020 q2          
2020 q1          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 1 740>+200% -585>+200% 2 253<-100%
2025 q1 -1 865+81% -14-21% -234-83%
2024 q4 -1 028>+200% -40-7% 6 408<-100%
2024 q3 2 166+6% -19-60% -250<-100%
2024 q2 320-67% -117>+200% -3 146>+200%
2024 q1 -1 028<-100% -18+88% -1 348-2%
2023 q4 -167-95% -43-97% -2 205<-100%
2023 q3 2 037<-100% -47-85% 420<-100%
2023 q2 971-82% -33-44% -717>+200%
2023 q1 949<-100% -9-95% -1 372>+200%
2022 q4 -3 612<-100% -1 304>+200% 2 562<-100%
2022 q3 -1 373-58% -315>+200% -1 074<-100%
2022 q2 5 310>+200% -58+107% -118-74%
2022 q1 -319<-100% -199>+200% -156+4%
2021 q4 2 262+88% -271-85% -620+52%
2021 q3 -3 281>+200% -40+15% 624>+200%
2021 q2 576-66% -28-16% -459+41%
2021 q1 52-97% -46>+200% -149+34%
2020 q4 1 203 -1 747 -408
2020 q3 -332 -34 91
2020 q2 1 688 -33 -326
2020 q1 1 755 -13 -111
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company