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General information

  • Bad financial results growth rate -11.9% (average between last period year over year growth for revenue and EBITDA), there is slowdown compared to average historical growth rates (-3.3%)
  • Dividend yield for the last twelve months 20.8%
  • Free cash flow yield 36.2% (LTM)
  • Share price is 0.0% higher than minimum and 81.4% lower than maximum for the last 3 years
  • The company is undervalued by EV / LTM EBITDA multiple compared to target level (1.7x vs
    )
  • Fundamental value created in LTM (estimate)

Key Financials (Download financials)

Ticker: FIXR
Share price, RUB:  (0.0%)0.5286
year average price 0.7076  


year start price 0.9380 2025-05-22

max close price 0.9513 2025-06-03

min close price 0.5284 2026-05-20

current price 0.5291 2026-05-21
Common stocks: 100 000 000 000

Dividend Yield:  20.8%
FCF Yield LTM: 36.2%
EV / LTM EBITDA:1.7x
EV / EBITDA annualized: 1.4x
Last revenue growth (y/y):  3.9%
Last growth of EBITDA (y/y):  -27.6%
Historical revenue growth:  5.7%
Historical growth of EBITDA:  -12.3%
Target EV / EBITDA (hist percentile):
Fundamental value created in LTM:
Fundamental value created in LTM:
 Mult Upside+131.5%
 FCF Creation+36.2%
 Growth-11.9%
 Growth Corr-8.6%
 
 Sum+147.2%
EV / LTM EBITDA mutiple calculation
Market Cap (m RUB): 52 860
Net Debt (m RUB): -5 103
EV (Enterprise Value): 47 757
EBITDA LTM (m RUB): 28 782
Net Income LTM (m RUB): 11 176
EV / LTM EBITDA: 1.7x
Net Debt / LTM EBITDA (if EBITDA > 0): -0.2x
Average daily trading volume for the week, RUB mln: 344
P / E 4.7x
P / E ann-d3.6x
P / B 0.9x
EBITDA margin ann-d 9.6%
Net income margin ann-d 4.6%

Revenue and EBITDA

Semi-Annual values (m RUB)

Change (y/y)

Cash Flow

FCF (m RUB), before FX effects elimination

Net Debt / Cash and Equivalents (m RUB)

Share price and dividends (Download history)

Share price

Payment RUB per share

Multiple and potential

EV / LTM EBITDA and 50% percentile

Potential dynamics

Daily trade volumes

Millions of RUB

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 H2 158 813+5% 53 112+5% 12 682-29% 7 276-42% 73-96% -2 747-1%
2025 H1 148 216+5% 46 307+5% 7 325-37% 3 900-56% 32-98% -2 769+40%
2024 H2 151 920+5% 50 653+12% 17 885+9% 12 528-16% 1 747+62% -2 763+95%
2024 H1 141 795 44 143 11 545 8 869 1 757 -1 972
2023 H2 145 201+4% 45 243+4% 16 425-14% 14 927+52% 1 079>+200% -1 416-12%
2022 H2 139 848+17% 43 429+26% 19 003+30% 9 805-3% 132>+200% -1 614+95%
2021 H2 119 532 34 486 14 612 10 137 37 -826


Balance


Implied interest rate for 2025 H2:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (2 747 - 73) * 2 / (26 621 - 0)

Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 H2 60 847+22% 142 611+15% 26 621+5% 20.1% -0.18x
2025 H1 53 531 123 469 27 004 20.3% 0.14x
2024 H2 49 679-25% 123 559-8% 25 402<-100% 8.0% 0.18x
2024 H1         -0.51x
2023 H2 65 990+80% 134 876+15% -3 841<-100%   -0.56x
2022 H2 36 682 117 480 13 705 21.6% -0.04x
2021 H2         0.37x


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 H2 24 365-8% -5 674-4% -6 403-82%
2025 H1 17 413-17% -4 346+93% -12 100+29%
2024 H2 26 465+51% -5 930+112% -36 025>+200%
2024 H1 20 918 -2 251 -9 389
2023 H2 17 584-35% -2 797-51% -8 989+98%
2022 H2 26 930+24% -5 694+90% -4 539-21%
2021 H2 21 681 -3 002 -5 754
RSBU 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
 
2026 q1            
2025 q4            
2025 q3 0   -14 -12   -2
2025 q2 ( 11463 , 13407 ) 0   -15 -12   -1
2025 q1 00%   -1 -1   0
2024 q4            
2024 q1 0          


Balance


Implied interest rate for 2025 q3:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (2 - 0) * 4 / (38 - 0)

Q Total equity Total assets Net debt
 
2026 q1 183 238+6%    
2025 q4      
2025 q3 172 189 172 230 38
2025 q2 ( 11463 , 13407 ) 172 202 172 222 19
2025 q1 172 214 172 215 1
2024 q4      
2024 q1      
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company