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ИНН: 7708813750

E-disclosure page: 35670

Рост выручки hist 0.0%
Рост Net Income hist 0.0%

млн руб
LTM Выручка 0
LTM Net Income 0
LTM Чистая прибыль 329

Revenue and Net Income

Quarterly values (m RUB)

Change (y/y)

Облигации
Название ISIN Тип Доходность Валюта Цена Объем торгов (млн р.) Купон Ставка купона Премия Дата погашения/оферты Дюрация, лет
АВТОБФ БП7 RU000A10DC15 плав +21.3% RUB 100.0% 0.22 16.4 20.0% - 2027-12-15 2.0
АВТОБФ БП3 RU000A103PC2 фикс +17.5% RUB 95.3% 0.03 49.9 10.0% - 2026-09-08 0.7
АВТОБФ БП6 RU000A108JD2 фикс +14.7% RUB 100.9% 0.00 74.8 15.0% - 2027-06-24 1.5
АВТОБФ БП5 RU000A108JC4 фикс +14.7% RUB 100.6% 0.01 74.8 15.0% - 2026-12-11 1.0
АВТОБФ БП4 RU000A106K35 фикс +13.0% RUB 102.5% 0.01 37.4 15.0% - 2027-01-22 1.1
MSFO data *The values are shown in mln. The % change shows the difference from the same period last year

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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
 
2025 q2                     -10%     429>+200% -107>+200% 322    
2025 q1                     -10%     429 -107 322    
2024 q4                     2<-100%     145>+200% -37>+200% 82>+200%    
2024 q3                     2<-100%     145>+200% -37>+200% 82>+200%    
2024 q2                     -1-50%     4<-100% -1      
2024 q1                     -1-50%              
2023 q4                     -1>+200%     6<-100% 0 1    
2023 q3                     -1>+200%     6<-100% 0 1    
2023 q2                     -1-33%   -10% -130%        
2023 q1                     -1-33%   -10% -130%        
2022 q4                     0<-100%   -10% -1-79%        
2022 q3                     0<-100%   -10% -1-79%        
2022 q2                     -2<-100%   -10% -13+47%        
2022 q1                     -2   -1 -13        
2021 q4                     1-33%   -1+100% -6<-100%        
2021 q3                     1   -1 -6        
2021 q2                     1   -1 -9        
2020 q4                     1   0 17 -4 13    


Balance


Implied interest rate for 2024 q4:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (438 - 553) * 4 / (18 111 - 0)

Q Total equity Total assets PortfolioCredit PortfolioBonds Deposits
 
2025 q2          
2025 q1          
2024 q4 -875<-100% 17 267+21%      
2024 q3          
2024 q2 66-33% 18 232+96%      
2024 q1          
2023 q4 100+3% 14 299+56%      
2023 q3          
2023 q2 98+11% 9 283+2%      
2023 q1          
2022 q4 97-11% 9 146-1%      
2022 q3          
2022 q2 88 9 125      
2022 q1          
2021 q4 109 9 236      
2021 q3          
2021 q2          
2020 q4          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 q2 -4<-100%   2<-100%
2025 q1 -4<-100%   2<-100%
2024 q4   -664-60% 655-61%
2024 q3   -664-60% 655-61%
2024 q2 5-44% -1 991>+200% 2 003>+200%
2024 q1 5 -1 991>+200% 2 003>+200%
2023 q4 -1<-100% -1 663<-100% 1 660<-100%
2023 q3 -1<-100% -1 663<-100% 1 660<-100%
2023 q2 8-33% -66<-100% 65<-100%
2023 q1   -66<-100% 65<-100%
2022 q4 8-10% 22-97% -21-97%
2022 q3 8-10% 22-97% -21-97%
2022 q2 12+14% 64-69% -64-72%
2022 q1 12 64 -64
2021 q4 9-53% 736<-100% -758<-100%
2021 q3 9 736 -758
2021 q2 11 208 -230
2020 q4 18 -11 0
RSBU data *The values are shown in mln. The % change shows the difference from the same period last year

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Income


Q Revenue Net income
 
2025 q3 638+9% 0-59%
2025 q2 583+118% 2<-100%
2025 q1 ( 10323 , 10324 ) 576+71% 2-66%
2024 q4 586+70% -3<-100%
2024 q3 586+92% 1<-100%
2024 q2 267+30% 0<-100%
2024 q1 337+65% 6>+200%
2023 q4 345+64% 2-46%
2023 q3 306+47% 0<-100%
2023 q2 2060% 0-88%
2023 q1 204-6% 1-89%
2022 q4 210-19% 4+91%
2022 q3 209-24% 2-27%
2022 q2 206 2
2022 q1 217 9
2021 q4 259-18% 2-84%
2021 q3 275-14% 3-76%
2021 q2    
2020 q4 314+17% 12>+200%
2020 q3 319 11
2019 q4 269 4


Balance


Q Total equity Total assets PortfolioCredit PortfolioBonds Deposits
 
2025 q3 68+3% 18 5620%      
2025 q2 68+4% 18 2160%      
2025 q1 ( 10323 , 10324 ) 66-38% 18 515+64%      
2024 q4 64-36% 18 218+27%      
2024 q3 66-32% 18 512+30%      
2024 q2 65-33% 18 244+96%      
2024 q1 106+8% 11 262+23%      
2023 q4 100+3% 14 319+56%      
2023 q3 98 14 261      
2023 q2 98+8% 9 306+1%      
2023 q1 98 9 128      
2022 q4 97+20% 9 178-1%      
2022 q3          
2022 q2 91 9 169      
2022 q1          
2021 q4 80+7% 9 291-20%      
2021 q3 83 9 225      
2021 q2          
2020 q4 75 11 654      
2020 q3          
2019 q4          

Financial reports

RAS reports