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Промежуточная консолидированная финансовая отчетность по МСФО или иным международно признанным стандартам

Published: 2012-11-30 (2012 q3)
YQ ( year, quarter )
code
30/09/02012
30/09/2011
30/09/2012
30/09/2011
31/12/2011

note
24AX
$000
$000
$000
$000
$000

profit for the period
2400
42 319
47 368
-8 559
-16 858
53 676
F: 2400 =

other comprehensive income share of associates other
----
0
0
0
0

comprehensive income
----
-570
1 275
-1 062
2 396
1 149

exchange differences on
----
0
0
0
0

translation of foreign operations
----
5 198
-2 548
5 822
-10 451
-4 570

derivative financial instruments recycled and debited to the
----
0
0
0
0

income statement
----
25 702
24 271
6 764
5 684
30 709

fair value movement of derivative financial instruments debited to
----
0
0
0
0

other comprehensive income
----
-32 379
-74 012
-9 379
-50 187
-75 398

other comprehensive income
----
0
0
0
0

for the period net of tax
----
-2 049
-51 014
2 145
-52 558
-48 110

total comprehensive income for the
----
0
0
0
0

period
----
40 270
-3 646
-6 414
-69 416
5 566

total comprehensive income attributable to
----
0
0
0
0

owners of the parent
----
39 740
-4 376
-5 761
-68 223
4 629

non-controlling interest
----
530
730
-653
-1 193
937

2900
40 270
-3 646
-6 414
-69 416
5 566
F: 2900 = ---- + ----

Currency: USD
Dimension: тыс
Period length: 9m
YQ ( year, quarter )
code
30/09/2012
30/09/2011
31/12/2011

note
----
$000
$000
$000

assets

non-current assets

fleet
11AX
5 488 424
5 511 882
5 460 390

vessels under construction
11BX
489 836
284 637
334 977

other fixed assets
11CX
72 174
60 404
65 380

investment property
11DX
3 952
4 792
4 565

other fixed assets under construction
11EX
16 130
8 639
9 866

intangible assets
11FX
12 890
14 019
12 273

investments in associates
11GX
1 145
864
1 273

available-for-sale investments
11HX
1 381
1 646
1 381

finance lease receivables
1170
89 874
92 877
92 162

trade and other receivables
1190
14 932
30 989
33 525

deferred tax assets
11IX
2 940
1 823
5 164

11JX
6 193 678
6 012 572
6 020 956

current assets

inventories
12AX
80 806
73 213
76 317

trade and other receivables
1260
281 686
215 233
237 563

finance lease receivables
12BX
3 003
2 600
2 697

current

tax receivable
12CX
3 623
3 551
2 332

cash and bank deposits
12DX
302 456
334 821
389 742

12EX
671 574
629 418
708 651

non-current assets

held for sale
11KX
13 095
11 667
9 800

11LX
684 669
641 085
718 451

total assets
1600
6 878 347
6 653 657
6 739 407
F: 1600 = 11JX + 11LX

equity and liabilities

capital and reserves

share capital
1310
405 012
405 012
405 012

reserves
13AX
2 547 085
2 503 266
2 520 171

equity

attributable to owners of the parent
130S
2 952 097
2 908 278
2 925 183
F: 130S = 1310 + 13AX

non-controlling interest
13BX
158 354
170 764
159 989

total equity
1300
3 110 451
3 079 042
3 085 172
F: 1300 = 130S + 13BX

non-current liabilities

trade and other payables
14AX
-
5 346
-

secured bank loans
14BX
1 919 542
1 834 766
1 903 423

finance lease liabilities
14CX
204 268
224 107
221 688

derivative financial instruments
14DX
128 460
128 135
120 826

retirement benefit obligations
14EX
8 594
8 301
7 997

other loans
14FX
797 469
796 756
797 005

tax payable
14GX
-
3 990
-

deferred tax liabilities
14HX
5 494
6 390
7 318

14IX
3 063 827
3 007 791
3 058 257

current liabilities

trade and other payables
15AX
256 934
221 724
245 276

secured bank loans
1510
362 415
258 042
258 776

finance lease liabilities
15BX
19 838
9 201
9 363

current

tax payable
12FX
6 952
7 162
12 219

derivative financial instruments
12GX
57 930
70 695
67 263

amount due to non-controlling interest
12HX
-
-
3 081

12IX
704 069
566 824
595 978

total equity and liabilities
12JX
6 878 347
6 653 657
6 739 407

Currency: USD
Dimension: тыс
YQ ( year, quarter )
30/09/2012
30/09/2011
31/12/2011

note
$000
$000
$000

operating activities

cash received from freight and hire of vessels
1116108
1 031 307
1 375 485

other cash receipts
37995
36 542
49 821

cash payments for voyage and running costs
-696975
-667 221
-883 438

other cash payments
-100743
-96 097
-139 139

cash generated from operations
356385
304 531
402 729

interest received
6194
20 351
20 725

income tax paid
-16917
-14 576
-17 666

net cash inflow from operating activities
345662
310 306
405 788

investing activities

acquisition of joint ventures net of cash acquired
-25727
-
-

expenditure on fleet
-1858
-280 085
-284 481

expenditure on drydock
-23959
-23 091
-25 310

expenditure on vessels under construction
-309645
-276 570
-324 680

interest capitalised
-4517
-4 742
-6 944

expenditure on other fixed assets
-16322
-12 262
-17 235

proceeds from sale of vessels
9800
37 802
36 956

proceeds from sale of other fixed assets
664
8 634
9 952

proceeds from disposal of investments
-
886
927

capital element received on finance leases
721
550
709

interest received on finance leases
6052
3 216
4 355

bank term deposits
932
6 562
5 630

claims receipts
-
40 187
41 086

other receipts
133
1 031
1 072

net cash outflow used in investing activities
-363726
-497 882
-557 963

financing activities

proceeds from borrowings
246239
426 489
551 229

repayment of borrowings
-174897
-209 707
-265 525

repayment to joint venture partner
-17047
-53 932
-53 932

financing costs
-4225
-4 621
-5 678

repayment of finance lease liabilities
-7149
-7 190
-9 515

security and restricted deposits
-4671
2 398
19 278

funds in retention bank accounts
3404
2 441
-6 094

interest paid on borrowings and other loans
-85429
-81 576
-122 880

interest paid on finance leases
-11459
-12 171
-16 038

dividends paid
-14802
-35 618
-37 141

buy back of shares
-3171
-3 752
-3 753

net cash -outflow / inflow from financing activities
-73207
22 761
49 951

decrease in cash and cash equivalents
-91271
-164 815
-102 224

cash and cash equivalents at 1 january
339812
443 428
443 428

net foreign exchange difference
3650
-1 135
-1 392

cash and cash equivalents at 30 september / 31 december
252191
277 478
339 812

Currency: USD
Dimension: тыс
Period length: 9m
(since the start of the year) thousands RUB
2012 q3
2011 q3
change
net_income
1 350 663
1 381 622
-2.2%

dividend
-22 244 819
-19 461 394
buyback
-101 206
-109 438
investing_net_cashflow
-11 608 765
-14 522 141

thousands RUB
2012 q3
2011 q3
change
Net income
-1 581 725
-415 574
q2
1 561 000
825 297
q1
1 371 388
971 899
Dividend
-15 101 801
-7 322 610
Buyback
91 514
-8 953
Investing net cashflow
-6 335 445
-469 670
thousands RUB
2012 q3
 
change
Total equity
97 014 967
Total assets
214 535 643
investments
9 433 603
credit
96 047 297
lease
6 989 866
derivative_liabilities
4 006 667
minority_interest
4 939 061
Прочие параметры (до вычета)
2012 q3
income
nonControllingInterests
16 916
21 293
-20.6%
balance
PropertyPlantEquipment
2 251 107
1 945 009
+15.7%
longtermIntangibleAssets
402 039
451 412
-10.9%
longtermOtherInvestments
123 263
154 302
-20.1%
longtermPrepaymentMade
465 729
997 846
-53.3%
longtermAssetsForSale
43 073
53 001
-18.7%
shorttermLiabilitiesTradePayables
8 013 771
7 139 513
+12.2%
shorttermLiabilitiesCredit
11 303 724
8 308 952
+36.0%
shorttermLiabilitiesLease
618 747
296 272
+108.8%
longtermLiabilitiesCredit
59 870 515
59 079 465
+1.3%
longtermLiabilitiesLease
6 371 119
7 216 245
-11.7%
capitalAuthorized
12 632 324
13 041 386
-3.1%
capitalShareholdersEquity
92 075 905
93 646 552
-1.7%
cashflow
cashflowPurchaseOfShares
-101 206
-109 438
cashflowLoansReceived
7 859 022
12 439 762
-36.8%
cashflowLoansPaid
-5 582 054
-6 116 700
cashflowEffectOfExchangeRate
116 494
-33 105