Try our mobile app

Годовая консолидированная финансовая отчетность по МСФО или иным международно признанным стандартам

Published: 2018-03-19 (2017 q4)
Y ( year )
code
2017
2016

note
24AX
$000
$000

-loss / profit for the period
2400
-112 969
206 793
F: 2400 = 24AX

other comprehensive income
----
0
0

share of associates other comprehensive income
----
6
23

share of joint ventures other comprehensive income
----
8 472
8 275

exchange gain / -loss on translation from functional currency to presentation currency
----
2 112
-1 915

change in fair value of derivative financial instruments credited to other
----
0
0

comprehensive income
----
17 797
16 431

other comprehensive income for the period net of tax to be reclassified to profit
----
0
0

or loss in subsequent periods
----
28 387
22 814

remeasurement losses on employee benefit obligations
----
-461
-48

other comprehensive income net of tax not to be reclassified to profit or loss in
----
0
0

subsequent periods
----
-461
-48

total other comprehensive income for the period net of tax
----
27 926
22 766

total comprehensive income for the period
----
-85 043
229 559

total comprehensive income attributable to
----
0
0

owners of the parent
----
-81 745
225 272

non-controlling interests
----
-3 298
4 287

2900
-85 043
229 559
F: 2900 = ---- + ----

Currency: USD
Dimension: тыс
Period length: 12m
Y ( year )
code
2017
2016
2015

note
----
$ 000
$ 000
$ 000

assets

non-current assets

fleet
11AX
6 291 344
5 895 365
5 388 542

vessels under construction 16
11BX
81 837
225 814
368 453

intangible assets 17
11CX
8 659
3 961
4 668

other property plant and equipment 18
11DX
49 323
58 746
60 284

investment property 19
11EX
7 924
864
7 468

investments in associates
11FX
132
131
104

investments in joint ventures 20
11GX
123 117
114 761
98 306

available-for-sale investments
11HX
523
760
1 012

loans to joint ventures 21
11IX
55 511
45 574
52 468

finance lease receivables 22
11JX
-
-
66 956

derivative financial instruments 23
11KX
35 909
7 146
8 050

trade and other receivables 27
11LX
7 739
2 783
2 812

deferred tax assets 24
11MX
8 162
4 663
7 387

restricted cash 28
11NX
-
-
13 190

bank deposits 29
11OX
12 000
10 000
10 000

11PX
6 682 180
6 370 568
6 089 700

current assets

inventories 26
12AX
61 883
53 368
37 568

loans to joint ventures 21
12BX
-
4 750
8 320

derivative financial instruments 23
12CX
808
373
-

trade and other receivables 27
1260
146 922
173 022
174 605

finance lease receivables 22
12DX
-
-
4 875

current

tax receivable
12EX
6 487
4 089
888

restricted cash 28
12FX
75 543
72 079
0

cash and bank deposits 29
12GX
347 352
470 638
357 427

12HX
638 995
778 319
583 683

non-current assets

held for sale 30
11QX
25 719
8 360
28 130

11RX
664 714
786 679
611 813

total assets
1600
7 346 894
7 157 247
6 701 513
F: 1600 = 11PX + 11RX

equity and liabilities

capital and reserves

share
13AX
capital
405 012 405 012 404 992
0

reserves
13BX
2 860 208
3 048 858
2 916 047

equity

attributable to owners of the parent
130S
3 265 220
3 453 870
3 321 059
F: 130S = 13AX + 13BX

non-controlling interests 34
13CX
143 802
150 446
159 922

total equity
1300
3 409 022
3 604 316
3 480 981
F: 1300 = 130S + 13CX

non-current liabilities

trade and other payables 35
14AX
28 413
37 504
16 045

secured bank loans 36
14BX
2 262 821
1 903 365
1 596 434

finance lease liabilities 37
14CX
-
-
173 690

derivative financial instruments 23
14DX
12 812
21 624
32 135

retirement benefit obligations 38
14EX
4 045
3 419
3 067

other loans
14FX
902 412
737 076
875 492

deferred tax liabilities 24
1420
2 258
858
776

14GX
3 212 761
2 703 846
2 697 639

current liabilities

trade and other payables 35
15AX
285 574
214 784
181 676

other loans 39
15BX
3 537
139 896
16 984

secured bank loans 36
15CX
338 226
290 460
289 142

finance lease liabilities 37
15DX
-
173 690
10 120

current

tax payable
12IX
4 890
14 809
2 042

derivative financial instruments 23
12JX
17 370
15 446
22 929

payable under high court judgement award 44
12KX
75 514
-
-

12LX
725 111
849 085
522 893

total liabilities
12MX
3 937 872
3 552 931
3 220 532

total equity and liabilities
12NX
7 346 894
7 157 247
6 701 513

Currency: USD
Dimension: тыс
Y ( year )
2017
2016

note
$000
$000

operating activities

cash received from freight and hire of vessels
1460260
1 414 275

other cash receipts
28672
24 780

cash payments for voyage and running costs
-794276
-585 758

other cash payments
-127306
-101 315

cash generated from operations
567350
751 982

interest received
8203
5 943

income tax paid
-29709
-14 007

net cash inflow from operating activities
545844
743 918

investing activities

expenditure on fleet
-56226
-36 596

fleet acquisitions in the period
-
-347 906

expenditure on vessels under construction
-556663
-329 904

interest capitalised
-4045
-19 139

expenditure on intangibles other property plant and equipment and

investment property
-5058
-5 248

loan repayments from joint ventures
1924
14 531

loans issued to joint ventures
-6018
-

proceeds from sale of equity accounted investments
19
-

proceeds from sale of vessels
-
28 172

proceeds from sale of other property plant and equipment
26619
324

proceeds from settlement of finance lease receivable
-
67 628

capital element received on finance leases
220
4 838

interest received on finance leases
446
12 053

dividends received from equity accounted for investments
2801
3 578

bank term deposits
14479
-15 000

restricted cash placed in court
-2864
-72 079

restricted cash placed in deposit
-3000
-

restricted cash released
-
17 190

net cash outflow used in investing activities
-587366
-677 558

financing activities

proceeds from borrowings
851642
1 533 452

repayment of borrowings
-448213
-1 218 248

financing costs
-10914
-44 106

repayment of finance lease liabilities
-176817
-10 345

restricted deposits
-
846

funds in retention bank accounts
-1651
1 055

interest paid on borrowings
-173161
-125 152

interest paid on finance leases
-4917
-11 895

dividends paid
-110977
-98 184

acquisition of non-controlling interests
-
-59

net cash -outflow used in / inflow from financing activities
-75008
27 364

-decrease / increase in cash and cash equivalents
-116530
93 724

cash and cash equivalents at 1 january
432792
332 680

net foreign exchange difference
5072
6 388

cash and cash equivalents at 31 december
321334
432 792

Currency: USD
Dimension: тыс
Period length: 12m
(since the start of the year) thousands RUB
2017 q4
2016 q4
change
net_income
-6 600 095
13 022 515
-150.7%

dividend
-46 404 738
-36 887 332
investing_net_cashflow
-34 316 239
-42 668 315

thousands RUB
2017 q4
2016 q4
change
Net income
-1 729 032
q2
-1 413 000
4 143 000
Dividend
-15 470 579
Investing net cashflow
-7 078 913
thousands RUB
2017 q4
 
change
Total equity
196 461 938
Total assets
423 401 501
investments
20 017 896
credit
202 108 179
lease
0
derivative_liabilities
738 356
minority_interest
8 287 309
Прочие параметры (до вычета)
2017 q4
income
nonControllingInterests
-192 682
269 968
-171.4%
balance
PropertyPlantEquipment
2 842 484
3 599 514
-21.0%
longtermIntangibleAssets
499 018
242 700
+105.6%
longtermOtherInvestments
456 660
52 939
+762.6%
longtermAssetsForSale
30 140
46 567
-35.3%
shorttermLiabilitiesTradePayables
16 457 630
13 160 353
+25.1%
shorttermLiabilitiesCredit
203 837
8 571 778
-97.6%
longtermLiabilitiesCredit
130 406 374
116 623 932
+11.8%
longtermLiabilitiesLease
0
10 642 421
-100.0%
capitalShareholdersEquity
188 174 629
211 627 250
-11.1%
cashflow
cashflowSaleOfShares
1 110
cashflowLoansReceived
49 756 286
96 567 103
-48.5%
cashflowLoansPaid
-26 186 372
-76 717 550
cashflowDividendsReceived
163 645
225 320
-27.4%
cashflowEffectOfExchangeRate
296 326
402 276
-26.3%