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ИНН: 7453326003

E-disclosure page: 37277

Рост выручки +21.9%
Рост EBITDA -4.3%
Рост выручки hist +113.0%
Рост EBITDA hist +88.0%

Net Debt / EBITDA 6.6x
Net Debt / Total Equity 4.4x
EBIT / Interest Payment 2.7x

млн руб
LTM Выручка 22 718
LTM EBITDA 5 273
LTM Операционная прибыль 5 175
LTM Чистая прибыль 2 302

Чистый долг 34 862
Собственный капитал 7 835
Interest payment 1 952

Последний отчетный период 2025 q2

Выручка и EBITDA

Квартальные значения (млн руб)

Изменения (г/г)

Денежный поток

FCF (млн руб) до искл. курс. разниц

Чистый долг / денежные средства (млн руб)

Облигации
Название ISIN Тип Доходность Валюта Цена Объем торгов (млн р.) Купон Ставка купона Премия Дата погашения/оферты Дюрация, лет
АПРИ 05 RU000A103N19 плав c аморт. +112.1% RUB 99.7% 2.39 8.1 13.0% -11.3% 2025-09-02 -
АПРИ 2Р3 RU000A106WZ2 плав c аморт. +80.3% RUB 98.9% 3.78 59.8 24.0% +3.3% 2025-09-30 0.0
АПРИ 2Р2 RU000A106631 фикс c аморт. +30.7% RUB 102.4% 7.65 79.8 32.0% - 2026-05-08 0.6
АПРИ 2Р4 RU000A107FZ5 плав c аморт. +30.3% RUB 101.4% 5.00 79.8 32.0% +8.6% 2026-01-13 0.3
АПРИ 2Р1 RU000A105DS9 плав c аморт. +29.8% RUB 100.1% 2.64 69.8 28.0% +4.6% 2025-11-18 0.2
АПРИ 2Р9 RU000A10AZY5 фикс c аморт. +29.2% RUB 102.7% 23.72 26.3 32.0% - 2026-03-16 0.5
АПРИ 2Р7 RU000A10AUG3 фикс +27.6% RUB 104.0% 2.01 24.3 29.5% - 2026-08-20 0.9
АПРИ 2Р11 RU000A10CM06 плав +27.5% RUB 101.0% 33.67 20.6 25.0% - 2028-08-13 2.9
АПРИ 2Р10 RU000A10BM56 фикс c аморт. +27.3% RUB 105.1% 3.79 25.1 30.5% - 2026-08-28 0.9
АПРИ 2Р5 RU000A10A1P9 фикс c аморт. +25.3% RUB 101.1% 0.54 74.8 30.0% - 2025-11-25 0.2
АПРИ 2Р8 RU000A10AG48 фикс c аморт. +13.3% RUB 105.3% 10.40 28.0 34.0% - 2025-12-24 0.3
АПРИ 2Р6 RU000A10A554 фикс c аморт. 0.0% RUB 100.8% 0.14 0.0 0.0% - 2026-06-03 0.7
MSFO data *The values are shown in mln RUB The % change shows the difference from the same period last year

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Income


Q Revenue Gross profit Operating income Net income PercentProfit PercentLoss
 
2025 q2 4 434+22% 1 669-20% 993-35% 164-73% 33<-100% -956+60%
2025 q1 4 916-17% 2 521+18% 1 901+1% 816+14% 33-70% -750-25%
2024 q4 8 832>+200% 2 114+100% 996+100% 1 141+100% 36+100% 748+100%
2024 q3 4 536+37% 2 162-25% 1 285-35% 181-86% 29+19% -994+83%
2024 q2 3 638<-100% 2 092>+200% 1 526+114% 598+29% -61<-100% -596>+200%
2024 q1 5 950>+200% 2 138>+200% 1 879>+200% 718>+200% 111+199% -1 003>+200%
2023 q4 1 660>+200% 0<-100% 0<-100% 0<-100% 0<-100% 0+100%
2023 q3 3 320>+200% 2 877>+200% 1 976>+200% 1 268>+200% 24+97% -542>+200%
2023 q2 -1 574<-100% 8-95% 714>+200% 463 33+153% -174>+200%
2023 q1 70-73% 34-78% 233+3% 60 37+185% -154>+200%
2022 q4 477-71% 251-49% 334+76% 174>+200% 12+25% -92+43%
2022 q3 477-71% 251-49% 334+76% 174>+200% 12+25% -92+43%
2022 q2 255-77% 152-43% 227+82%   13+133% -50-32%
2022 q1 255-77% 152-43% 227+82%   13+133% -50-32%
2021 q4 1 621+133% 489+152% 190+115% 54+126% 10+66% -64+14%
2021 q3 1 621+133% 489+152% 190+115% 54+126% 10+66% -64+14%
2021 q2 1 099+55% 265+80% 125+51%   6>+200% -74+45%
2021 q1 1 099+55% 265+80% 125+51%   6>+200% -74+45%
2020 q4 695+67% 194+94% 88+4% 24-38% 6>+200% -56+94%
2020 q3 695+67% 194+94% 88+4% 24 6>+200% -56+94%
2020 q2 711+71% 147+105% 83+155%   2+71% -51+40%
2020 q1 711 147 83   2 -51
2019 q4 4170% 100+84% 85>+200% 39 1>+200% -29+43%
2019 q3 417 100 85   1 -29
2019 q2 416 72 32   1 -37
2018 q4 416 54 25   0 -20


Balance


Implied interest rate for 2025 q2:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (956 - 33) * 4 / (34 862 - 1 645)

Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 q2 7 835+20% 63 727+32% 34 862+36% 11.1% 6.61x
2025 q1 9 176+60% 63 258+52% 33 534+50% 9.0% 6.31x
2024 q4 8 360+66% 61 160+82% 32 430+93%   5.60x
2024 q3 7 568 54 636 27 057 15.2% 4.89x
2024 q2 6 506 48 171 25 654   5.22x
2024 q1 5 747 41 520 22 337 16.7% 4.83x
2023 q4 5 028+130% 33 637>+200% 16 822>+200%   5.64x
2023 q3         4.89x
2023 q2         3.92x
2023 q1         2.82x
2022 q4 2 183+47% 10 865+83% 1 082+80% 29.4% 0.85x
2022 q3         0.89x
2022 q2 1 766+33% 6 823+11% 871-19% 17.0% 0.94x
2022 q1         0.90x
2021 q4 1 486+16% 5 944-11% 600-81% 36.1% 0.84x
2021 q3         1.42x
2021 q2 1 329+8% 6 139+5% 1 077-62% 25.4% 2.33x
2021 q1         4.97x
2020 q4 1 278+9% 6 644+26% 3 078+40% 6.5% 8.23x
2020 q3         8.56x
2020 q2 1 230 5 848 2 864 6.9% 11.60x
2020 q1         15.82x
2019 q4 1 177 5 293 2 199 5.0% 30.12x
2019 q3          
2019 q2          
2018 q4          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 -1 807>+200% 748-69% 1 183<-100%
2025 q1 -2 140-67% -126-92% 1 841-59%
2024 q4 7 998>+200% -2 451<-100% -3 209<-100%
2024 q3 -6 917<-100% 50<-100% 3 699+31%
2024 q2 -251-83% 2 402<-100% -490<-100%
2024 q1 -6 492 -1 572 4 441
2023 q4 721<-100% 758>+200% 706
2023 q3 495<-100% -969 2 825
2023 q2 -1 441>+200% -533 3 453
2023 q1      
2022 q4 -34<-100% 0  
2022 q3 -34<-100%    
2022 q2 -45<-100%    
2022 q1 -45<-100%    
2021 q4 1 013<-100%    
2021 q3 1 013<-100%    
2021 q2 356<-100%    
2021 q1 356<-100%    
2020 q4 -723<-100%    
2020 q3 -723<-100%    
2020 q2 -305-14% -5-72% 131-77%
2020 q1 -305 -5 131
2019 q4 166>+200%    
2019 q3 166    
2019 q2 -352 -16 565
2018 q4 3    
RSBU data *The values are shown in mln RUB The % change shows the difference from the same period last year

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Income


Q Revenue Gross profit Operating income Net income PercentProfit PercentLoss
 
2025 q2 711-48% 112-89% 64-93% -54<-100%   -31-94%
2025 q1 1 214+141% 818+109% 766+115% 504>+200%   -5-98%
2024 q4 1 801>+200% 1 008>+200% 1 024<-100% 211+33%   369<-100%
2024 q3 -1 020<-100% -31<-100% -112>+200% 1-99% 274>+200% -898>+200%
2024 q2 ( 11178 , 11180 ) 1 375>+200% 1 054>+200% 934<-100% 328>+200% 170+129% -525>+200%
2024 q1 504>+200% 392>+200% 356<-100% 3-95% 130+178% -244+172%
2023 q4 106+22% 4-95% -40<-100% 159+19% 105>+200% -207+162%
2023 q3 65-48% 31-75% -4<-100% 108>+200% 71+178% -135+83%
2023 q2 ( 11170 , 11171 ) 23-9% 8+2% -22-11% 50>+200% 74>+200% -130>+200%
2023 q1 2-97% 1-98% -24<-100% 64>+200% 47+96% -89+67%
2022 q4 ( 11165 , 11167 ) 87>+200% 86<-100% 30<-100% 134-42% 31+4% -79-14%
2022 q3 125>+200% 124<-100% 98<-100% 1-62% 25-15% -74+34%
2022 q2 25-72% 7-76% -25>+200% 2-84% 25+28% -43-19%
2022 q1 780% 70+17% 47+18% 1-56% 24+43% -53+46%
2021 q4 ( 11159 , 11166 ) 12<-100% -4<-100% -61<-100% 231>+200% 29+101% -92+91%
2021 q3 31-68% -3<-100% -34<-100% 2-67% 30+108% -55+41%
2021 q2 90-30% 31-5% -1<-100% 11+172% 19+43% -53+45%
2021 q1 78+100% 60 40 3 17 -37
2020 q4 ( 11151 , 11152 , 11153 ) -226<-100% 89>+200% 60<-100% 0-99% 15+62% -48+82%
2020 q3 97-61% 62-43% 35-57% 5-81% 14+49% -39+34%
2020 q2 129-24% 32-31% 6-68% 4-63% 13+96% -37+41%
2020 q1 0          
2019 q4 77 24 -33 27 9 -26
2019 q3 245 110 81 24 10 -29
2019 q2 169 47 18 11 7 -26


Balance


Implied interest rate for 2025 q2:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (31 - 0) * 4 / (1 990 - 0)

Q Total equity Total assets Net debt
 
2025 q2 3 915+65% 15 290+14% 1 990-66%
2025 q1 3 969+46% 14 114+51% 2 147-54%
2024 q4 3 465+60% 11 907+15% 3 207-32%
2024 q3 3 254+70% 12 178+47% 2 625-22%
2024 q2 ( 11178 , 11180 ) 2 373+31% 13 402+93% 5 871+121%
2024 q1 2 723+55% 9 351+71% 4 667+160%
2023 q4 2 170+28% 10 330+115% 4 738>+200%
2023 q3 1 915+23% 8 284+100% 3 352+159%
2023 q2 ( 11170 , 11171 ) 1 806+16% 6 957+75% 2 651+148%
2023 q1 1 756+13% 5 469+40% 1 797+54%
2022 q4 ( 11165 , 11167 ) 1 692+9% 4 811+22% 1 258-4%
2022 q3 1 558+17% 4 1420% 1 295<-100%
2022 q2 1 557+17% 3 976+5% 1 071<-100%
2022 q1 1 555+18% 3 895+1% 1 163-16%
2021 q4 ( 11159 , 11166 ) 1 556+18% 3 9330% 1 309+12%
2021 q3 1 330+1% 4 150+11% -625+84%
2021 q2 1 329+1% 3 773+2% -732-19%
2021 q1 1 318 3 848 1 380
2020 q4 ( 11151 , 11152 , 11153 ) 1 316 3 926 1 165+17%
2020 q3 1 319 3 723 -339
2020 q2 1 314 3 713 -907
2020 q1      
2019 q4     996
2019 q3      
2019 q2      

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