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General information

  • Dividend yield for the last twelve months 0.0%
  • Free cash flow yield 363.7% (LTM)
  • Share price is 687.5% higher than minimum and 17.1% lower than maximum for the last 3 years

Key Financials (Download financials)

Ticker: CCBN
Share price, KZT:  (-100.0%)4780.01
year average price 3231.6219  


year start price 1939.9800 2024-11-04

min close price 1934.0000 2024-11-11

max close price 5767.9500 2025-09-03

current price 0.0000 2025-11-01
Share price (preferred), KZT:  (0.0%)7250.01
Common stocks: 176 080 651

Dividend Yield:  0.0%
FCF Yield LTM: 363.7%
EV / LTM EBITDA:-5.8x
Target EV / EBITDA (hist percentile):
EV / LTM EBITDA mutiple calculation
Market Cap (m RUB): 173 039
Net Debt (m RUB): -2 398 925
EV (Enterprise Value): -2 225 886
EBITDA LTM (m RUB): 387 057
Net Income LTM (m RUB): 263 858
EV / LTM EBITDA: -5.8x
Net Debt / LTM EBITDA (if EBITDA > 0): -6.2x
EBITDA margin ann-d 104.5%
Net income margin ann-d 49.6%

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 130 332+39%   -165<-100% 64 633+62% 226 021+30% -121 546+39%
2025 q1 137 436+52%   -304<-100% 81 617+82% 214 649+33% -108 819+30%
2024 q4 136 200+62%   301 766+90% 58 160+84% 217 907 -117 577
2024 q3 117 999+57%   644<-100% 59 448+17% 196 577+50% -95 676+44%
2024 q2 93 707+35%   49 378+22% 39 875+6% 174 156 -87 648
2024 q1 90 124+65%   836-97% 44 936+79% 161 415+39% -83 575+30%
2023 q4 84 180+67%   158 980+136% 31 632+72%    
2023 q3 74 993+28%   -39 873<-100% 50 835+160% 131 031+54% -66 330+68%
2023 q2 69 559>+200%   40 482-56% 37 659-59%    
2023 q1 54 616+122%   28 202+149% 25 041+121% 116 014+183% -64 062>+200%
2022 q4 50 357+135%   67 240>+200% 18 390+123%    
2022 q3 58 526>+200%   106 623>+200% 19 559>+200% 85 296+141% -39 513+128%
2022 q2 22 519+39%   92 284>+200% 91 245>+200% 59 621+84% -29 755+71%
2022 q1 24 556+74%   11 316>+200% 11 312>+200% 41 037+26% -20 649+13%
2021 q4 21 446+10%   8 783>+200% 8 255<-100%    
2021 q3 16 358-16%   5 438+67% 5 438+67% 35 385+4% -17 335-4%
2021 q2 16 177-7%   4 547-46% 4 346-48% 32 445+7% -17 396+3%
2021 q1 14 083+28%   2 707+52% 2 606+139% 32 666+15% -18 323+14%
2020 q4 19 471   642 -164    
2020 q3 19 571   3 261 3 261 34 001 -18 105
2020 q2 17 474   8 474 8 320 30 317 -16 943
2020 q1 11 028   1 779 1 092 28 517 -16 132


Balance


Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 q2 723 066+43% 7 278 936+25% -2 398 925+34%   -6.20x
2025 q1 691 546+46% 6 907 071+24% -2 234 300+9%   -5.76x
2024 q4 637 887+52% 7 067 889+34% -2 488 419+35%   -6.40x
2024 q3 572 350+50% 6 069 242+24% -1 835 521+21%   -6.22x
2024 q2 505 089+49% 5 843 820+30% -1 796 646+12%   -5.92x
2024 q1 474 349+57% 5 568 449+26% -2 046 532+32%   -6.95x
2023 q4 419 366+53% 5 291 039+22% -1 839 416+2%   -6.25x
2023 q3 382 319+45% 4 878 806+36% -1 520 423+38%   -18.91x
2023 q2 339 498+40% 4 511 274+44% -1 610 843+92%   -12.58x
2023 q1 302 166+100% 4 422 594+93% -1 545 562+156%   -16.04x
2022 q4 273 851+82% 4 323 966+108% -1 797 501>+200%   -22.61x
2022 q3 263 090+82% 3 589 786+80% -1 098 465+163%   -7.45x
2022 q2 242 614+74% 3 122 352+61% -840 995+100%   -6.48x
2022 q1 151 201+11% 2 293 342+21% -602 817+19%   -14.37x
2021 q4 150 812 2 079 304 -533 271   -15.99x
2021 q3 144 307 1 990 063 -417 715   -16.57x
2021 q2 139 689 1 934 690 -420 746   -18.27x
2021 q1 135 987 1 894 703 -505 333   -26.76x
2020 q4          
2020 q3          
2020 q2          
2020 q1          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 187 126<-100% -151 772>+200% -39 168>+200%
2025 q1 -141 448<-100% -113 785-35% -84<-100%
2024 q4 545 213+113% -50 163<-100% 86 242<-100%
2024 q3 -75 072-69% -76 406-30% 1 241+10%
2024 q2 -113 600<-100% -44 911<-100% -3 960>+200%
2024 q1 140 952<-100% -173 817<-100% 3 467<-100%
2023 q4 256 367-58% 176 551<-100% -7 797<-100%
2023 q3 -238 736<-100% -109 416-31% 1 124-83%
2023 q2 55 615-89% 106 081<-100% -429<-100%
2023 q1 -37 580+56% 53 2480% -22 093-38%
2022 q4 612 618>+200% -294 606>+200% 919<-100%
2022 q3 712 094>+200% -157 474>+200% 6 719<-100%
2022 q2 497 087<-100% -79 855-25% 5 458-82%
2022 q1 -24 112<-100% 53 151<-100% -35 464<-100%
2021 q4 44 241-45% -45 466-34% -1 301-83%
2021 q3 976-99% -24 826+23% -261-82%
2021 q2 -62 709<-100% -107 148>+200% 30 304>+200%
2021 q1 78 544+89% -61 908>+200% 213<-100%
2020 q4 80 324 -68 939 -7 746
2020 q3 84 573 -20 128 -1 442
2020 q2 36 152 -29 602 4 200
2020 q1 41 570 -16 780 -79
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company