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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 65.1% higher than minimum and 0.0% lower than maximum for the last 3 years

Key Financials (Download financials)

Ticker: CSEC
Share price, KZT:  (-100.0%)2898
Common stocks: 3 242 600

Dividend Yield:  0.0%
FCF Yield LTM: 0.0%
EV / LTM EBITDA:-1.3x
Target EV / EBITDA (hist percentile):
EBITDA margin ann-d 179.2%
Net income margin ann-d 100.0%

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 751-26%   1 298-4% 751-26%    
2025 q1 248+100%   527>+200% 248>+200%    
2024 q4 -766-11%   -2 171>+200% -1 999>+200%    
2024 q3 1 273+143%   1 864+65% 1 273+143%    
2024 q2 1 020+75%   1 357+45% 1 020+75%    
2024 q1 124 1 270>+200% 3-98% 35<-100%    
2023 q4 -863>+200%   -570+132% -419<-100%    
2023 q3 524>+200%   1 129+63% 524>+200%    
2023 q2 582>+200%   938+105% 582>+200%    
2023 q1   5 140+36% -17-66%    
2022 q4 -208>+200%   -246-91% 26<-100%    
2022 q3 169-41%   694<-100% 169<-100%    
2022 q2 133-63%   458+6% 133-51%    
2022 q1 -50<-100%   103-71% -50<-100%    
2021 q4 -28   -2 743>+200% -1 014<-100% 71+86% -2-69%
2021 q3 285+16%   -41<-100% -115<-100%    
2021 q2 359+156%   431-10% 273>+200%    
2021 q1 356   351>+200% 356+73%    
2020 q4     -906 11 38 -8
2020 q3 247   500 354    
2020 q2 140   479 74    
2020 q1     35 206    


Balance


Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 q2 7 765+22% 7 853+21% -6 660+18%   -1.32x
2025 q1 7 262+8% 7 470+10% -7 004+12%   -1.38x
2024 q4 7 014+31% 7 179+31% -6 305+26%   -1.42x
2024 q3 6 632+28% 6 712+28% -5 872+30%   -1.50x
2024 q2 6 379+21% 6 482+22% -5 667+17%   -1.78x
2024 q1 6 716+44% 6 818+44% -6 274+41%   -2.27x
2023 q4 5 362+15% 5 486+15% -5 013+15%   -1.49x
2023 q3 5 198+14% 5 252+13% -4 529+5%   -1.18x
2023 q2 5 256+16% 5 324+15% -4 860+13%   -1.45x
2023 q1 4 664+7% 4 736+6% -4 463+5%   -1.63x
2022 q4 4 681 4 784>+200% -4 356+12%   -1.83x
2022 q3 4 572+9% 4 661+11% -4 295+5%   -2.03x
2022 q2 4 536+15% 4 639+17% -4 287+13%   -2.30x
2022 q1 4 358+29% 4 460+11% -4 235>+200%   -2.17x
2021 q4   21 -3 893   -2.05x
2021 q3 4 183 4 213 -4 073   -1.96x
2021 q2 3 942 3 978 -3 779   -1.77x
2021 q1 3 368 4 020 -117    
2020 q4          
2020 q3          
2020 q2          
2020 q1          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 472+157% -7+164%  
2025 q1 470% -2  
2024 q4 -264<-100% -2<-100% -11-7%
2024 q3 21<-100% -4-94%  
2024 q2 184<-100% -3-96%  
2024 q1 47<-100%   -13+25%
2023 q4 670+124% 100<-100% -12-97%
2023 q3 -121-55% -65+117%  
2023 q2 -134-41% -65+159%  
2023 q1 -221<-100% -2-77% -10+152%
2022 q4 299<-100% -11-31% -353<-100%
2022 q3 -269<-100% -30>+200% 280>+200%
2022 q2 -226<-100% -25>+200% 280>+200%
2022 q1 125<-100% -7 -40%
2021 q4 -132 -16>+200% 266<-100%
2021 q3 62 0 9
2021 q2 61 -1 4
2021 q1 -239-9%   -4
2020 q4   -2 -9
2020 q3      
2020 q2      
2020 q1 -262    
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company