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General information

Surgutneftegas PJSC explores, extracts, transports, refines, and markets oil and natural gas from fields in Western Siberia. The Company operates oil and gas fields, distributes dehydrates gas, extracts liquid hydrocarbons, and produces propane. Surgutneftegas produces fuel oil, engine fuel, and main grades of petroleum bitumen.
  • Dividend yield for the last twelve months 3.9%
  • Free cash flow yield -104.9% (LTM)
  • Share price is 29.0% higher than minimum and 38.2% lower than maximum for the last 3 years
  • The company is undervalued by EV / LTM EBITDA multiple compared to target level (1.0x vs
    )

Key Financials (Download financials)

Ticker: SNGS
Share price, RUB:  (+3.4%)22.85
year average price 24.17  


year start price 24.42 2024-09-18

max close price 29.44 2025-02-17

min close price 21.47 2025-05-26

current price 22.01 2025-09-17
Share price (preferred), RUB:  (-0.5%)44.115
Common stocks: 35 725 990 000

Dividend Yield:  3.9%
FCF Yield LTM: -104.9%
EV / LTM EBITDA:1.0x
EV / EBITDA annualized: 0.8x
Target EV / EBITDA (hist percentile):
EV / LTM EBITDA mutiple calculation
Market Cap (m RUB): 1 156 113
Net Debt (m RUB): -196 474
EV (Enterprise Value): 959 639
EBITDA LTM (m RUB): 920 101
Net Income LTM (m RUB): 1 322 113
EV / LTM EBITDA: 1.0x
Net Debt / LTM EBITDA (if EBITDA > 0): -0.2x
Average daily trading volume for the week, RUB mln: 436
P / E 0.9x
P / E ann-d1.2x
P / B 0.2x
EBITDA margin ann-d 46.4%
Net income margin ann-d 35.2%

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 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
 
2023 H2 1 363 390-14%   297 853-55% 480 215+50% 256 032+40% -8 864-7%
2023 H1 939 132+100%   236 208+100% 841 898+100% 00% -8 244<-100%
2022 H2 1 584 453   654 623 320 560 182 364 -9 554
2022 H1 0<-100%   0<-100% 0<-100% 0<-100% 0+100%
2021 H1 915 204+63%   202 108>+200% 153 037-65% 65 745-4% -6 549-42%
2020 H2 575 767-25%   116 284-32% 304 130+150% 65 659-4% -9 671-3%
2020 H1 561 538-40%   48 779-78% 438 779<-100% 68 460-7% -11 265-2%
2019 H2 763 508-8%   170 570-18% 121 717-71% 68 2470% -9 963+18%
2019 H1 933 668   222 437 -15 520 73 495 -11 514
2018 H2 825 765   207 597 425 181 68 112 -8 408


Balance


Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2023 H2 7 086 741+22% 8 039 888+24% -196 474   -0.21x
2023 H1 6 607 001 7 409 024 -68 463   -2.50x
2022 H2 5 799 891 6 488 679     -2.60x
2022 H1         -2.72x
2021 H1 5 237 090+8% 6 103 230+8% -1 097 927+46%   -3.52x
2020 H2 5 160 408+16% 5 875 687+12% -967+9%   -5.21x
2020 H1 4 856 989+9% 5 659 490+7% -750 477   -3.38x
2019 H2 4 449 378+1% 5 267 896+3% -885   -2.01x
2019 H1 4 449 378 5 267 896     -1.89x
2018 H2 4 426 344 5 135 791     -1.77x


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2023 H2 595 130-14% -552 756-16% -37 561-42%
2023 H1 150 375+100% -255 305<-100% -2 667<-100%
2022 H2 692 151 -657 449 -65 079
2022 H1 0<-100% 0+100% 0<-100%
2021 H1 256 701<-100% -84 982-4% 1 192-82%
2020 H2 149 477-36% -52 870+44% -212 094>+200%
2020 H1 -20 047<-100% -88 503-51% 6 501<-100%
2019 H2 234 236+34% -36 711-75% -58 517>+200%
2019 H1 185 044 -181 601 -5 265
2018 H2 175 257 -144 609 -9 783
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 0+100%          
2025 q1 0<-100%     -439 668<-100%    
2024 q4 0<-100%     391 694<-100%    
2024 q2 -649 722<-100% -159 822<-100% -123 275<-100% -128 658<-100% -90 799<-100%  
2024 q1 649 722+57% 159 822+29% 123 275+40% 268 545-30% 90 799+73%  
2023 q4 636 681+9% 109 781-35% 69 347-47% -101 650<-100% 74 115+77%  
2023 q3 680 095 167 334 128 506 589 205 65 013  
2023 q2 ( 6918 , 7636 ) 488 359 124 517 87 407 463 759 57 137  
2023 q1 413 636 124 051 88 142 382 810 52 364  
2022 q4 583 272+21% 169 781+27% 130 991+30% 15 182-89% 41 759+30%  
2022 q3            
2022 q2            
2021 q4 480 864+81% 134 151+99% 100 852+177% 138 025-24% 32 170+7%  
2021 q3 445 715 124 066 92 441 99 145    
2020 q4 265 558 67 341 36 362 182 395 30 132  
2020 q3            


Balance


Q Total equity Total assets Net debt
 
2025 q2 7 769 786+4% 8 981 332+8% -26 288<-100%
2025 q1 7 877 766+2% 9 053 452+7% -13 838-35%
2024 q4 8 314 127+11% 9 562 023+15% -31 187-73%
2024 q2 7 490 676+7% 8 333 250+10% 0+100%
2024 q1 7 742 814+4% 8 487 785+2% -21 183-82%
2023 q4 7 473 480+21% 8 306 126+24% -117 322-95%
2023 q3 7 557 526+23% 8 384 247+26% -116 194-97%
2023 q2 ( 6918 , 7636 ) 6 968 167+13% 7 592 138+14% -5 495<-100%
2023 q1 7 473 480 8 306 126 -117 322
2022 q4 6 156 292+13% 6 676 851+14% -2 277 179+61%
2022 q3 6 156 292 6 676 851 -4 424 738+12%
2022 q2 6 156 292 6 676 851 -4 424 738
2021 q4 5 435 156+9% 5 841 193+11% -1 410 885+12%
2021 q3     -3 949 586+7%
2020 q4 4 989 038 5 253 865 -1 263 658
2020 q3     -3 703 586
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company