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Промежуточная консолидированная финансовая отчетность по МСФО или иным международно признанным стандартам

Published: 2014-08-26
notes
24AX
2 014
2 013
2 014
2 013

profit for the period
2400
44 602
125 159
60 322
39 894
F: 2400 = 24AX

items that may be reclassified subsequently to profit or loss exchange differences on translation to
----
0
0
0
0

presentation currency -a
----
-13 129
-66 515
47 146
-36 735

foreign currency -loss/gain on hedged
----
0
0
0
0

net investment in foreign operations -b
----
-28 362
-77 944
64 494
-53 553

income tax -b
----
5 672
15 589
-12 899
10 711

----
-22 690
-62 355
51 595
-42 842

movement on cash flow hedges -a
----
419
1 590
-8
1 528

income tax -a
----
-102
-370
-1
-353

----
317
1 220
-9
1 175

other comprehensive income/-loss for
----
0
0
0
0

the period net of tax
----
-35 502
-127 650
98 732
-78 402

total comprehensive income/-loss for
----
0
0
0
0

the period net of tax
----
9 100
-2 491
159 054
-38 508

attributable to
----
0
0
0
0

equity holders of the parent entity
----
12 189
1 931
156 384
-33 889

non-controlling interests
----
-3 089
-4 422
2 670
-4 619

----
9 100
-2 491
159 054
-38 508

----
-a
the amounts of exchange differences on translation to presentation currency and gain/-loss on movement on cash flow
0
0

hedges net of income tax were attributable to equity holders of the parent entity and to non-controlling interests as presented in the table below
----
0
0
0
0

six-month period ended june 30
----
three-month period ended june 30
0
0
0

----
2 014
2 013
2 014
2 013

exchange differences on translation to presentation currency attributable to
----
0
0
0
0

equity holders of the parent entity
----
-11 175
-61 230
43 418
-33 291

non-controlling interests
----
-1 954
-5 285
3 728
-3 444

----
-13 129
-66 515
47 146
-36 735

movement on cash flow hedges attributable to
----
0
0
0
0

equity holders of the parent entity
----
317
1 218
-9
1 175

non-controlling interests
----
2

----
317
1 220
-9
1 175

Currency: USD
Dimension: тыс
assets

current assets

cash and cash equivalents
12AX
122 108
93 298
0
0

trade and other receivables
1260
934 557
995 371
0
0

inventories
12BX
1 346 465
1 324 475
0
0

prepayments and input vat
12CX
131 926
136 630
0
0

prepaid income taxes
12DX
11 994
11 276
0
0

other financial assets
1240
289
2 547 339
155
2 561 205

non-current assets

investments in associates
11AX
1 655
1 900
0
0

property plant and equipment
11BX
3 813 974
3 845 355
0
0

goodwill
1130
582 997
584 904
0
0

intangible assets
11CX
293 746
311 428
0
0

deferred tax asset
1180
33 693
63 624
0
0

other non-current assets
1100
34 510
4 760 575
50 252
4 857 463
F: 1100 =

total assets
1600
7 307 914
7 418 668
0
0
F: 1600 = 12AX + 1260 + 12BX + 12CX + 12DX + 1240 + 11AX + 11BX + 1130 + 11CX + 1180 + 1100

liabilities and equity
----
0
0
0
0

current liabilities

trade and other payables
15AX
845 804
944 165
0
0

advances from customers
15BX
41 754
59 936
0
0

accounts payable to related parties
15CX
102 888
101 151
0
0

provisions and accruals
15DX
42 402
51 184
0
0

interest-bearing loans and borrowings
1510
735 496
393 941
0
0

finance lease liability
15EX
5 690
3 796
0
0

derivative financial instruments
15FX
467
2 080
0
0

dividends payable
15GX
8 937
5 863
0
0

income tax payable
15HX
6 872
1 790 310
8 504
1 570 620

non-current liabilities

interest-bearing loans and borrowings
1410
2 960 290
3 248 077
0
0

finance lease liability
14AX
51 974
47 969
0
0

deferred tax liability
1420
257 993
297 874
0
0

provisions and accruals
14BX
37 726
33 327
0
0

employee benefits liability
14CX
45 726
45 067
0
0

other liabilities
1450
44 906
3 398 615
46 115
3 718 429

total liabilities
1900
5 188 925
5 289 049
0
0
F: 1900 = 15AX + 15BX + 15CX + 15DX + 1510 + 15EX + 15FX + 15GX + 15HX + 1410 + 14AX + 1420 + 14BX + 14CX + 1450

equity
13AX
21
0
0
0

parent shareholders equity
----
0
0
0
0

issued capital
13BX
326 417
326 417
0
0

treasury shares
13CX
-319 149
-319 149
0
0

additional paid-in capital
13DX
391 192
391 192
0
0

reserve capital
13EX
16 390
16 390
0
0

retained earnings
13FX
1 762 862
1 737 098
0
0

foreign currency translation reserve
13GX
-154 332
-120 467
0
0

other reserves
13HX
2 628
2 026 008
2 311
2 033 792

non-controlling interests
13IX
92 981
95 827
0
0

total equity
1300
2 118 989
2 129 619
0
0
F: 1300 = 13BX + 13CX + 13DX + 13EX + 13FX + 13GX + 13HX + 13IX

total liabilities and equity
17BX
7 307 914
7 418 668
0
0

Currency: USD
Dimension: тыс
notes
2014
2 013

operating activities

profit before tax
61843
172 773

adjustments to reconcile profit before tax to operating cash flows

depreciation of property plant and equipment
136881
137 567

amortisation of intangible assets
18660
24 494

loss on disposal of property plant and equipment
748
3 184

foreign exchange loss net
30803
44 156

finance costs
113754
136 651

finance income
-2355
-5 147

gain on disposal of subsidiary
-1 862

gain on changes in fair value of derivative financial instruments
-1613
-5 101

share of -profit/loss of assoсiates
100
-22

allowance for net realisable value of inventory
2255
-252

allowance for doubtful debts
2009
7 105

movement in provisions
-1026
-13 043

operating cash flows before working capital changes
362059
500 503

working capital changes

-increase/decrease in inventories
-46286
78 319

-increase/decrease in trade and other receivables
33699
-147 410

decrease in prepayments
3003
41 765

increase/-decrease in trade and other payables
-71954
20 387

decrease in advances from customers
-15967
-153 112

cash generated from operations
264554
340 452

income taxes paid
-20617
-54 147

net cash flows from operating activities
243937
286 305

investing activities

purchase of property plant and equipment and intangible assets
-152781
-166 446

proceeds from sale of property plant and equipment
2760
738

acquisition of subsidiaries
-38 300

disposal of subsidiary
-1 906

issuance of loans
-77
-391

proceeds from repayment of loans issued
1059
1 175

interest received
1256
2 404

dividends received
604

net cash flows used in investing activities
-147783
-202 122

financing activities

proceeds from borrowings
941763
880 172

repayment of borrowings
-864727
-901 740

interest paid
-122957
-125 445

payment of finance lease liabilities
-3526
-2 557

contributions from non-controlling interest owners
1013
2 525

dividends paid to equity holders of the parent
-24630
-31 569

dividends paid to non-controlling interest shareholders
-31
-152

net cash flows used in financing activities
-73095
-178 766

net increase/-decrease in cash and cash equivalents
23059
-94 583

net foreign exchange difference
5751
3 114

cash and cash equivalents at january 1
93298
225 061

cash and cash equivalents at june 30
122108
133 592

Currency: USD
Dimension: тыс
thousands RUB
-1
change
Net income
1 398 719
3 924 986
-64.4%
Amortization
4 292 588
4 314 101
-0.5%
Dividend
94 174
1 309 750
-92.8%
Investing net cashflow
-4 634 475
-6 338 546
Financial cashflow
-2 292 259
-5 606 102
thousands RUB
 
change
Total equity
177 938 923
Total assets
613 671 116
Net debt
312 783 653
cash_equivalents
10 253 836
credit
310 348 086
lease
4 842 248
derivative_liabilities
39 216
minority_interest
7 807 940
Прочие параметры (до вычета)
income
nonControllingInterests
-96 871
-138 674
balance
shorttermOtherAssetsFinancial
24 268
213 908 972
-100.0%
shorttermPrepayment
11 078 288
11 473 299
-3.4%
PropertyPlantEquipment
320 272 746
322 907 918
-0.8%
goodwill
48 956 299
49 116 436
-0.3%
longtermIntangibleAssets
24 666 880
26 151 699
-5.7%
longtermOtherInvestments
138 976
159 550
-12.9%
shorttermLiabilitiesTradePayables
71 025 122
79 284 840
-10.4%
shorttermLiabilitiesPrepaymentReceived
3 506 230
5 033 036
-30.3%
shorttermLiabilitiesAccrued
3 560 644
4 298 100
-17.2%
shorttermLiabilitiesCredit
61 762 173
33 080 605
+86.7%
shorttermLiabilitiesLease
477 809
318 763
+49.9%
longtermLiabilitiesCredit
248 585 912
272 752 394
-8.9%
longtermLiabilitiesLease
4 364 439
4 028 125
+8.3%
longtermLiabilitiesOther
3 770 914
285 393 597
-98.7%
capitalAdditional
32 849 761
32 849 761
0.0%
capitalRetainedProfit
148 033 692
145 870 199
+1.5%
capitalTreasuryShares
-26 800 059
-26 800 059
capitalShareholdersEquity
27 410 378
27 410 378
0.0%
cashflow
cashflowPurchaseOfPPE
-4 791 212
-5 219 747
cashflowSaleOfPPE
86 554
23 144
+274.0%
cashflowLoansReceived
29 533 688
27 602 194
+7.0%
cashflowLoansPaid
-27 117 839
-28 278 566
cashflowEffectOfExchangeRate
965 982
1 384 732
-30.2%