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General information

  • Dividend yield for the last twelve months 0.3%
  • Free cash flow yield 35.9% (LTM)
  • Share price is 466.7% higher than minimum and 39.2% lower than maximum for the last 3 years
  • The company is overvalued by EV / LTM EBITDA multiple compared to target level (1.6x vs
    )

Key Financials (Download financials)

Ticker: TNSE
Share price, RUB:  (-0.2%)3060
year average price 2442  


year start price 2280 2024-10-09

min close price 680 2024-12-18

max close price 3485 2025-09-10

current price 3060 2025-10-08
Common stocks: 13 670 000

Dividend Yield:  0.3%
FCF Yield LTM: 35.9%
EV / LTM EBITDA:1.6x
EV / EBITDA annualized: 0.9x
Target EV / EBITDA (hist percentile):
EV / LTM EBITDA mutiple calculation
Market Cap (m RUB): 41 830
Net Debt (m RUB): -18 556
EV (Enterprise Value): 23 274
EBITDA LTM (m RUB): 14 615
Net Income LTM (m RUB): 12 519
EV / LTM EBITDA: 1.6x
Net Debt / LTM EBITDA (if EBITDA > 0): -1.3x
Average daily trading volume for the week, RUB mln: 1
P / E 3.3x
P / E ann-d2.0x
P / B 1.3x
EBITDA margin ann-d 7.8%
Net income margin ann-d 6.4%

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

View as Pivot Table       Export as Pivot Table (xlsx)



Income


Q Revenue Gross profit Operating income Net income PercentProfit PercentLoss
 
2025 H1 163 368+11%   12 340+7% 10 430<-100% 2 378>+200% -618-49%
2024 H2 160 478+14%   1 552-63% 2 089-25% 1 284<-100% -1 178-9%
2024 H1 147 397+4%   11 524+58% -9 244<-100% 451-49% -1 219+37%
2023 H2 140 807+7%   4 252-18% 2 799-10% -412<-100% -1 287-24%
2023 H1 141 416+8%   7 317+45% 6 575>+200% 883+119% -888-71%
2022 H2 131 017+1%   5 195+7% 3 110-7% 290+10% -1 701>+200%
2022 H1 130 459+3%   5 039+64% 1 903>+200% 403+132% -3 067+11%
2021 H2 130 326+12%   4 841<-100% 3 351<-100% 263-52% -492-60%
2021 H1 126 310+10%   3 072+16% 196-81% 173-72% -2 774+143%
2020 H2 116 200-1%   -4 939-98% -5 271<-100% 548-11% -1 234-66%
2020 H1 114 7430%   2 643+4% 1 043+163% 609+99% -1 141-31%
2019 H2 117 027+4%   -254 811<-100% 1 503<-100% 619+166% -3 649+62%
2019 H1 114 735+4%   2 541-33% 397-62% 306+82% -1 646-33%
2018 H2 112 289+1%   1 880-8% -698>+200% 233-5% -2 257+26%
2018 H1 ( 2555 , 2556 ) 110 164+9%   3 792>+200% 1 036<-100% 168-63% -2 470+128%
2017 H2 110 965+10%   2 046+148% -31-90% 246-39% -1 796+67%
2017 H1 101 315+7%   620-77% -470<-100% 459+7% -1 082+1%
2016 H2 100 832+8%   826-71% -311<-100% 403-10% -1 078-12%
2016 H1 ( 2560 , 2561 ) 94 431+10%   2 683+2% 1 074+22% 431-5% -1 069-22%
2015 H2 92 957   2 801-42% 1 079-70% 449-23% -1 224+38%
2015 H1 86 012+34%   2 632-37% 883-2% 4510% -1 376-56%
2014 H2     4 829-23% 3 615-9% 584-14% -886-13%
2014 H1 64 373-96%   4 191-97% 897-99% 450-95% -3 144-79%
2013 H2 ( 2566 , 2567 , 2568 ) 102 538+32%   6 236-6% 3 971-18% 676+59% -1 022+21%
2013 H1 1 510 994   131 457 91 411 9 700 -15 239
2012 H2 77 617   6 610 4 830 425 -842


Balance


Implied interest rate for 2023 H1:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (888 - 883) * 2 / (7 455 - 1 375)

Q Total equity Total assets Net debt Implied interest rate NetDebt / LTM EBITDA
 
2025 H1 33 304+58% 84 662+8% -18 556>+200%   -1.27x
2024 H2 23 043+115% 81 503+8% -14 089+86%   -1.02x
2024 H1 21 115+196% 78 683+8% -3 649<-100%   -0.22x
2023 H2 10 698 75 409 -7 575   -0.63x
2023 H1 7 144 72 957 7 455 0.2% 0.52x
2022 H2         0.34x
2022 H1         0.11x
2021 H2 1 015-99% 74 266-7% -1 924-55%   -0.23x
2021 H1 442-92% 72 627-10% 18 611-20% 27.8% 2.71x
2020 H2 79 952>+200% 79 952+4% -4 236   2.67x
2020 H1 5 499+11% 80 903+6% 23 234+16% 4.8% 2.62x
2019 H2 4 609-9% 76 519+4%     3.02x
2019 H1 4 939-23% 76 334+9% 20 082-16% 13.9% 3.67x
2018 H2 5 078-93% 73 282+3% 23 268+9% 18.4% 3.49x
2018 H1 ( 2555 , 2556 ) 6 421-18% 69 845+8% 23 818+17% 20.5% 3.77x
2017 H2 71 266>+200% 71 266+1% 21 410+10% 15.5% 6.82x
2017 H1 7 831-20% 64 944+3% 20 390+19% 6.6% 10.97x
2016 H2 8 723-29% 70 278+14% 19 425-5% 7.7% 5.05x
2016 H1 ( 2560 , 2561 ) 9 751-15% 63 046+8% 17 170-22% 9.3% 3.01x
2015 H2 12 256 61 518 20 390 9.2% 3.43x
2015 H1 11 475+38% 58 112+10% 22 148+31% 10.0% 7.71x
2014 H2          
2014 H1 8 287 53 039 16 906 39.8%  
2013 H2 ( 2566 , 2567 , 2568 ) 5 101 38 364 15 266 5.3%  
2013 H1          
2012 H2          


Cashflow


Q Operating cashflow Investing cashflow Financial cashflow
 
2025 H1 12 711+7%   -1 023<-100%
2024 H2 -2 057<-100% 1 351<-100%  
2024 H1 11 869+57%   1 178<-100%
2023 H2 5 649 -164  
2023 H1 7 551+46% -79<-100% -3 141
2022 H2      
2022 H1 5 157>+200% 117<-100%  
2021 H2      
2021 H1 319<-100% -13-96% -3 026<-100%
2020 H2 3 718<-100%    
2020 H1 -1 037<-100% -344<-100% 592<-100%
2019 H2 -2 198>+200%    
2019 H1 1 957<-100% 10<-100% -2 109>+200%
2018 H2 -295-88% -589<-100% -350<-100%
2018 H1 ( 2555 , 2556 ) -606-67% -276<-100% -214-12%
2017 H2 -2 549 778 1 142
2017 H1 -1 819+16% 890<-100% -242<-100%
2016 H2      
2016 H1 ( 2560 , 2561 ) -1 570<-100% -279<-100% 2 607
2015 H2 -6 880<-100% -35<-100% 1 269<-100%
2015 H1 2 748+175% 497-55%  
2014 H2 2 098>+200% 1 255<-100% -1 481<-100%
2014 H1 1 001<-100% 1 098<-100% -1 508<-100%
2013 H2 ( 2566 , 2567 , 2568 ) 185-95% -2 133+88% 1 596<-100%
2013 H1 -29 -2 008 1 847
2012 H2 3 418 -1 137 -3 057
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 789-23% 411-10% 391-12% -4 712-75% 318>+200% -237
2025 q1 728-16% 439-27% 419-29% 8 070-63% 122+132% -102
2024 q4 1 848-4% 1 392+4% 1 382+4% -19 904-42% 73+162% -33+21%
2024 q3 946-8% 625-16% 615-17% -5 435<-100% 54>+200% -9-63%
2024 q2 1 0280% 455-38% 445-38% -18 949<-100% 54>+200%  
2024 q1 867-5% 603-11% 593-11% 21 618+117% 53>+200%  
2023 q4 1 930+80% 1 342+160% 1 331+163% -34 291<-100% 28+168% -27-5%
2023 q3 1 024+31% 748+44% 737+44% 61 649<-100% 14+45% -23-26%
2023 q2 1 024+44% 729+72% 718+72% 13 923>+200% 17+5% -19+32%
2023 q1 914+37% 677+50% 666+50% 9 980<-100% 13-25% -19
2022 q4 1 070-31% 516-48% 506-48% 3 100-56% 10-31% -29
2022 q3 782+6% 519+11% 511+11% -2 820+19% 10-14% -31
2022 q2 710-17% 425-26% 418-26% 1 397-63% 16+14% -14
2022 q1 ( 6326 , 6327 ) 669-11% 450-14% 443-13% -7 165<-100% 18+57%  
2021 q4 1 547 990 980 6 996 15  
2021 q3 736 469 459 -2 371 11  
2021 q2 852 572 562 3 807 14  
2021 q1 754 522 512 216 11  
2013 q4 ( 6370 , 6371 ) 971 480 403 528    
2012 q4            


Balance


Implied interest rate for 2025 q2:
= (PercentLoss - PercentProfit) * (365 / periodLength) / (NetDebt - MinorityInterest)
= (237 - 318) * 4 / (69 - 0)

Q Total equity Total assets Net debt
 
2025 q2 53 634-29% 72 181-22% 69<-100%
2025 q1 58 346-38% 79 888-31% 769<-100%
2024 q4 50 276-31% 66 262-26% 97<-100%
2024 q3 70 180-35% 87 294-34% 439>+200%
2024 q2 75 615+66% 92 557+67% -1 023<-100%
2024 q1 94 564+199% 116 146>+200% -1 379>+200%
2023 q4 72 947>+200% 89 478>+200% -499<-100%
2023 q3 107 238>+200% 132 726>+200% 30-96%
2023 q2 45 589+127% 55 522+101% 93-97%
2023 q1 31 665+73% 37 958+67% -81+17%
2022 q4 21 685 25 738 439<-100%
2022 q3 18 481 22 302 764
2022 q2 20 088 27 675 2 968
2022 q1 ( 6326 , 6327 ) 18 303 22 705 -69
2021 q4     -75
2021 q3      
2021 q2      
2021 q1      
2013 q4 ( 6370 , 6371 )     3 978+19%
2012 q4     3 343
More information for subscribed users:
detailed calculation of
Potential and Created Value,
commodities affecting the company