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ИНН: 0278181110

E-disclosure page: 37307

Рост выручки +56.6%
Рост Net Income -52.1%
Рост выручки hist +14.7%
Рост Net Income hist +7.3%

млн руб
LTM Выручка 540
LTM Net Income 111
LTM Чистая прибыль 111

Последний отчетный период 2024 H2

Выручка и Net Income

Полугодовые значения (млн руб)

Изменения (г/г)

Облигации
Название ISIN Тип Доходность Валюта Цена Объем торгов (млн р.) Купон Ставка купона Премия Дата погашения/оферты Дюрация, лет
ПР-Лиз 2P2 RU000A106EP1 фикс +26.6% RUB 91.5% 0.39 10.3 12.5% - 2026-06-15 0.8
ПР-Лиз 2P1 RU000A1022E6 фикс +18.3% RUB 102.3% 0.44 18.1 22.0% - 2026-02-04 0.5
ПР-Лиз 1P3 RU000A100Q35 фикс +17.2% RUB 101.0% 0.06 16.4 20.0% - 2025-11-14 0.3
MSFO data *The values are shown in mln RUB The % change shows the difference from the same period last year

export to csv



Income (financial)


формула расчета Revenue = PercentIncomeNet + CommissionIncome
 
Q PercentIncome PercentExpense PercentIncomeNet ReserveForCreditLoss PercentIncomeNetAfterReserve CommissionIncome Revenue CommissionExpense CommissionIncomeNet OperationsWithFinancialInstruments OtherOperatingIncomeNet IncomeNonCoreNet AdministrativeExpense IncomeBeforeTax IncomeTax IncomeNet IncomeNetRegular IncomeNetIrregular
 
2024 H2 924+59% -650+61% 274+56% -10<-100% 260+39%   274+56%       78-46%   -161+21% 112-21% -55+146% 57-52%    
2024 H1 750+57% -485+66% 266+41%       266+41%       -4<-100%   -190+9% 70+112% -15+114% 54+111%    
2023 H2 580+51% -405+77% 175+7% 12 187   175+7%       145>+200%   -134+22% 141+134% -22>+200% 119+115%    
2023 H1 479+12% -291+16% 188+8% 6-71% 1940%   188+8%       14-69%   -175+40% 33-71% -7-77% 26-69%    
2022 H2 384-8% -229+3% 164-22%       164-22%       15-9%   -109-4% 60-30% -5-73% 55-17%    
2022 H1 426+36% -251+54% 175+33% 19 194   175+33%       44>+200%   -125+27% 114+74% -30+157% 84+56%    
2021 H2 416+45% -222+65% 212+39%       212+39%       16+74%   -114+43% 86+62% -19+58% 67+63%    
2021 H1 313+41% -163+63% 132+8%       132+8%       13<-100%   -98+88% 65+1% -12-16% 54+6%    
2020 H2 288+50% -135+78% 153+32%       153+32%       9-25%   -80+53% 53-1% -12+23% 41-26%    
2020 H1 222+85% -100+117% 122+65%       122+65%       -1+77%   -52+26% 65 -14 51+57%    
2019 H2 191+156% -76+182% 116+141%       116+141%       13>+200%   -52+69% 54+174% -10>+200% 55+191%    
2019 H1 120 -46 74       74       -1   -41     32    
2018 H2 75+17% -27+8% 48+22%       48+22%       3-77%   -31+22% 20-22% -1 19-32%    
2017 H2 64 -25 39       39       11   -25 25   28    


Balance


Q Total equity Total assets PortfolioCredit PortfolioBonds Deposits
 
2024 H2 1 399+23% 11 244+19% 9 640+25% 2 210-8%  
2024 H1 1 339+54% 9 438+16% 8 000+56% 2 366+53%  
2023 H2 1 134+43% 9 420+42% 7 708+45% 2 404+79%  
2023 H1 871+48% 8 150+31% 5 125+11% 1 545+15%  
2022 H2 796+59% 6 639-1% 5 307+12% 1 344-30%  
2022 H1 587+35% 6 199+29% 4 623+27% 1 344-35%  
2021 H2 502+61% 6 692+99% 4 726+81% 1 923+22%  
2021 H1 435+81% 4 819+92% 3 651+40% 2 057+30%  
2020 H2 312+64% 3 355+62% 2 612+57% 1 580+179%  
2020 H1 241 2 510 2 612+57% 1 580+179%  
2019 H2 191+85% 2 070+153% 1 664+162% 567>+200%  
2019 H1     1 664 567  
2018 H2 103 819 634+80% 142  
2017 H2     351    


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2024 H2 -1 786+99% 40-40% 1 917+127%
2024 H1 -369-71% -116-19% 235-82%
2023 H2 -897<-100% 66>+200% 846<-100%
2023 H1 -1 258<-100% -142-71% 1 306<-100%
2022 H2 164<-100% 17<-100% -58<-100%
2022 H1 530<-100% -495>+200% -233<-100%
2021 H2 -1 090+56% -58+195% 1 288+58%
2021 H1 -1 086>+200% -55>+200% 1 288>+200%
2020 H2 -699+48% -20>+200% 815+56%
2020 H1 -355-21% -7>+200% 320-34%
2019 H2 -471>+200% -1-75% 522>+200%
2019 H1 -451 -2 483
2018 H2 -156+22% -6<-100% 161+31%
2017 H2 -128 5 124
RSBU data *The values are shown in mln RUB The % change shows the difference from the same period last year

export to csv



Income


Q Revenue Net income
 
2025 q2 505+37% 48+97%
2025 q1 506+37% 43+38%
2024 q4 415+13% 29-69%
2024 q3 425+24% 26>+200%
2024 q2 369+11% 24+48%
2024 q1 369+21% 31+193%
2023 q4 366-18% 93<-100%
2023 q3 344+34% 6-96%
2023 q2 333-18% 16-51%
2023 q1 304-30% 11-36%
2022 q4 444-63% -65<-100%
2022 q3 257-74% 133+39%
2022 q2 404-60% 33-49%
2022 q1 433-27% 17-71%
2021 q4 ( 10408 , 10414 ) 1 197+78% 62+34%
2021 q3 990+98% 96+107%
2021 q2 1 000+177% 65+53%
2021 q1 596+71% 58+47%
2020 q4 674+85% 46-11%
2020 q3 500+74% 46+141%
2020 q2 361 43
2020 q1 348 39
2019 q4 364 52
2019 q3 288 19
2019 q2    


Balance


Implied interest rate for 2023 q3:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (204 - 16) * 4 / (6 829 - 0)

Q Total equity Total assets PortfolioCredit PortfolioBonds Deposits
 
2025 q2 1 354+14% 11 474+25%      
2025 q1 1 306+28% 11 637+33%      
2024 q4 1 263+28% 10 811+17%      
2024 q3 1 218+63% 10 660+26%      
2024 q2 1 193+60% 9 176+17%      
2024 q1 1 018+50% 8 720+37%      
2023 q4 987+48% 9 215+42%      
2023 q3 749+23% 8 456+41%      
2023 q2 744+38% 7 830+25%      
2023 q1 678+31% 6 377-7%      
2022 q4 667-21% 6 475-8%      
2022 q3 608-22% 6 017-5%      
2022 q2 538-22% 6 279+13%      
2022 q1 518-17% 6 867+54%      
2021 q4 ( 10408 , 10414 ) 845+50% 7 035+82%      
2021 q3 783+87% 6 339+89%      
2021 q2 686+85% 5 560+101%      
2021 q1 621 4 464      
2020 q4 564 3 876      
2020 q3 418 3 356      
2020 q2 371 2 761      
2020 q1          
2019 q4          
2019 q3          
2019 q2          

Financial reports

RAS reports