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ИНН: 7841422483

E-disclosure page: 39006

РСБУ данные использованы для заполнения
истории финансовых показателей

Рост выручки -57.4%
Рост EBITDA -76.6%
Рост выручки hist +59.1%
Рост EBITDA hist +76.2%

Net Debt / EBITDA 5.7x

млн руб
LTM Выручка 8 315
LTM EBITDA 933

Чистый долг 5 320
Interest payment 0

Последний отчетный период 2025 q3

Revenue and EBITDA

Quarterly values (m RUB)

Change (y/y)

Cash Flow

FCF (m RUB), before FX effects elimination

Net Debt / Cash and Equivalents (m RUB)

Облигации
Название ISIN Тип Доходность Валюта Цена Объем торгов (млн р.) Купон Ставка купона Премия Дата погашения/оферты Дюрация, лет
ПИР 1P3 RU000A10BP87 фикс c аморт. +32.8% RUB 101.7% 3.39 24.7 30.0% - 2028-05-11 2.4
ПИР 1P4 RU000A10C5P8 фикс c аморт. +31.9% RUB 100.6% 2.01 23.4 28.5% - 2028-07-07 2.6
ПИР 1P1 RU000A107WF2 фикс c аморт. +31.2% RUB 94.4% 0.25 9.5 18.5% - 2027-02-18 1.2
ПИР 1P2 RU000A108C17 фикс c аморт. +30.1% RUB 95.5% 0.40 20.1 24.5% - 2029-03-30 3.3
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
 
2025 q3 776-57% 295-55% 225-61% 15-76% 21+65% -258+119%
2025 q2 1 457-38% 339-39% 148-56% 64-59% 26+88% -215+97%
2025 q1 2 618>+200% 631>+200% 390>+200% 138>+200% 20+138% -235+168%
2024 q4 3 464<-100% 1 287+166% 1 123>+200% 716>+200% 16-9% -141+73%
2024 q3 1 820-72% 663-41% 583-27% 64-84% 13-6% -118-14%
2024 q2 2 344<-100% 558+32% 337+18% 155+116% 14+120% -109+5%
2024 q1 796-16% 188-24% 103-26% 14-66% 9+46% -88+27%
2023 q4 -111<-100% 485>+200% 269>+200% 53>+200% 17+37% -81>+200%
2023 q3 6 608+187% 1 129 799 400 14 -138
2023 q2 -947+17% 423 287 72 6 -104
2023 q1 947+17% 248>+200% 139>+200% 40>+200% 6-80% -69+131%
2022 q4 730+46% 85+112% 15+72% 8+58% 13+144% -26+120%
2022 q3 2 304          
2022 q2 -807          
2022 q1 807 69 1 0 29 -30
2021 q4 500+83% 40+76% 9+11% 5>+200% 5>+200% -12-10%
2020 q4 273 23 8 1 1 -13
2019 q4            


Balance


Implied interest rate for 2025 q3:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (258 - 21) * 4 / (5 320 - 0)

Q Total equity Total assets Net debt
 
2025 q3 1 320+117% 10 017+55% 5 320+32%
2025 q2 1 305+97% 8 739+30% 4 564+41%
2025 q1 1 241+144% 8 845+34% 4 521+28%
2024 q4 1 162+135% 10 005+94% 5 507+124%
2024 q3 609+9% 6 443+23% 4 041+151%
2024 q2 663>+200% 6 719+33% 3 242+22%
2024 q1 508>+200% 6 580+73% 3 546+51%
2023 q4 494>+200% 5 164+65% 2 460+68%
2023 q3 559 5 258 1 611
2023 q2 159 5 051 2 665
2023 q1 87 3 807 2 355
2022 q4 47+86% 3 135+50% 1 465+130%
2022 q3      
2022 q2      
2022 q1      
2021 q4 25>+200% 2 092+29% 637-57%
2020 q4 5 1 622 1 481<-100%
2019 q4     -20

RAS reports