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OZON 2024 q3 МСФО.pdf

OZON [OZON]

L ( period length )
code
for the three months
for the three months
for the three months
for the nine months
for the nine months
for the nine months

Y ( year )
 
2024
2023
yoy, %
2024
2023

revenue
----
0
0
0
0
0

sales of goods
211C
43 963
39 836
10%
128 364
116 470

service revenue
211B
96 316
65 374
47%
239 467
171 922

interest revenue
211A
13 414
3 753
257%
31 323
7 985

total revenue
2110
153 693
108 963
41%
399 154
296 377

cost of revenue
21AX
-126 566
-103 542
22%
-334 956
-266 022

gross profit
2100
27 127
5 421
400%
64 198
30 355
F: 2100 = 2110 + 21AX

operating expenses
----
0
0
0
0

sales and marketing
22FX
-12 191
-6 967
75%
-33 130
-18 713

technology and content
22EX
-9 568
-6 595
-45
-27 642
-18 990

general and administrative
22DX
-5 067
-4 904
-3
-15 472
-13 811

expected credit losses on
22CX
-1 216
-231
426%
-3 553
-538

fintech financial assets total operating expenses
----
0
0
0
0

before losses and
22BX
-28 042
-18 697
50%
-79 797
-52 052

recoveries related to the fire incident losses and insurance
----
0
0
0
0

recoveries related to the fire
22AX
6 381
-280
n/a
6 324
-605
n/a

incident net
----
0
0
0
0

operating profit/-loss
2200
5 466
-13 556
0
0
F: 2200 = 2100 + 22BX + 22AX + 22FX + 22EX + 22DX + 22CX

n/a
24IX
-9 275
-22 302
0
0

finance -expense/income net
24HX
-5 885
-8 366
-30%
-30 084
735
n/a

-loss/gain on disposal and
----
0
0
0
0

impairment of non-current
24GX
-36
23
n/a
-266
43
n/a

assets
----
0
0
0
0

share of profit of an associate
24FX
108
60
80%
289
320

foreign currency exchange
24EX
376
204
84%
201
-2 106
n/a

gain/-loss net
----
0
0
0
0

total non-operating expense
24DX
-5 437
-8 079
-33%
-29 860
-1 008

profit/-loss before income
24CX
29
-21 635
0
0

n/a
24BX
-39 135
-23 310
0
0

tax
----
0
0
0
0

income tax expense
24AX
-769
-420
83%
-2 742
-1 176

loss for the period
2400
-740
-22 055
-97%
-41 877
-24 486
F: 2400 = 2200 + 24IX + 24DX + 24CX + 24BX + 24AX

Currency: RUB
Dimension: млн
Period length: 3m
ozon holdings plc interim condensed consolidated statement of financial position
----
0
0

-million rub
----
september 30 2024 -unaudited
december 31 2023

assets

non-current assets

right-of-use assets
11AX
198 746
118 492

property plant and equipment
11BX
112 283
73 414

investments in an associate
11CX
1 296
1 262

intangible assets
11DX
654
572

deferred tax assets
1180
336
149

other non-financial assets
11EX
1 952
915

loans to customers
11FX
1 055
1 299

other financial assets
11GX
4 092
3 015

total non-current assets
1100
320 414
199 118
F: 1100 = 11AX + 11BX + 11CX + 11DX + 1180 + 11EX + 11FX + 11GX

current assets

inventories
12AX
39 557
40 409

vat receivable
12BX
5 151
5 423

other non-financial assets
12CX
9 380
4 870

loans to customers
12DX
68 611
45 370

accounts receivable
12EX
13 009
7 156

other financial assets
12FX
7 321
3 866

cash and cash equivalents
12GX
230 521
169 814

total current assets
1200
373 550
276 908
F: 1200 = 12AX + 12BX + 12CX + 12DX + 12EX + 12FX + 12GX

total assets
1600
693 964
476 026
F: 1600 = 1100 + 1200

ozon holdings plc interim condensed consolidated statement of financial position -continued
----
0
0

september 30 2024
----
0
0

-million rub
----
december 31 2023
0

-unaudited
----
0
0

equity and liabilities

equity

share capital
1310
12
12

share premium
13AX
136 229
135 685

treasury shares
13BX
-1
-1

equity-settled employee benefits reserves
13CX
21 781
15 622

other capital reserves
13DX
46
63

accumulated losses
13EX
-259 511
-217 958

total equity
1300
-101 444
-66 577
F: 1300 = 1310 + 13AX + 13BX + 13CX + 13DX + 13EX

non-current liabilities

lease liabilities
14AX
179 856
108 644

borrowings
1410
75 334
88 328

derivative liabilities
14BX
1 974

liability for cash-settled share-based awards
14CX
1 065

trade and other payables
14DX
772
495

deferred tax liabilities
1420
696
212

total non-current liabilities
1400
256 658
200 718
F: 1400 = 14AX + 1410 + 14BX + 14CX + 14DX + 1420

current liabilities

liabilities to marketplace sellers and
15AX
161 678
140 254

customers
----
0
0

fintech customer deposits and other financial
15BX
187 953
65 049

liabilities

trade and other payables
15CX
89 178
69 349

borrowings
1510
30 370
16 043

lease liabilities
15DX
22 857
15 691

accrued expenses
15EX
21 348
13 289

derivative liabilities and related settlements
15FX
15 824
10 548

liability for cash-settled share-based awards
15GX
3 318
6 019

vat and taxes payable
15HX
6 224
5 643

total current liabilities
1500
538 750
341 885
F: 1500 = 15AX + 15BX + 15CX + 1510 + 15DX + 15EX + 15FX + 15GX + 15HX

total liabilities
1900
795 408
542 603
F: 1900 =

total equity and liabilities
1700
693 964
476 026
F: 1700 = 1300 + 1400 + 1500

Currency: RUB
Dimension: млн
L ( period length )
for the three months
for the three months
for the three months
for the nine months
for the nine months
for the nine months

Y ( year )
2024
2023
yoy, %
2024
2023

cash flows from operating activities

profit/-loss before income tax
29
-21 635

n/a
-39135
-23 310

adjusted for

depreciation and amortization of
11460
7 594
51%
30 304
19 963

non-current assets

finance expense/-income net
5885
8 366
-30%
30 084
-735
n/a

foreign currency exchange
-376
-204
84%
-201
2 106
n/a

-gain/loss net loss on disposal and

impairment of non-current
37
164
-77%
227
130

assets

share of profit of an associate
-108
-60
80%
-289
-320

expected credit losses on
1215
232
424%
3 553
539

fintech financial assets share-based compensation

expense on the equity-settled
2478
1 772
40%
6 916
5 855

share-based awards

movements in working capital
71155
32 241
121%
129 329
42 585

changes in inventories
-3762
-2 465
53%
860
-1 915
n/a

changes in accounts receivable
-2669
-1 130
136%
-5 059
315
n/a

changes in loans to customers
-13050
-11 432
14%
-26 800
-28 392

changes in other financial and
-6170
-6 258
-1%
-16 002
-3 160

non-financial assets changes in accounts payable

liabilities to marketplace sellers
25509
29 528
-14%
42 744
44 281

and customers and other

liabilities

changes in fintech customer

deposits and other financial
71125
23 097
208%
131 932
30 555

liabilities

changes in liability for cash172
901
-81%
1 654
901

settled share-based awards

cash generated from
91775
28 470
222%
160 788
46 813

operations

interest paid
-14205
-4 343
227%
-34 548
-10 615

income tax paid
-778
-506
54%
-2 289
-1 722

cash settlement of vested
-1520
n/a
-5 310
-1 820

share-based awards

net cash from operating
75272
23 621
219%
118 641
32 656

activities

certain amounts have been reclassified to comply with the presentation adopted in the current period please

refer to “presentation of financial and other information – changes in presentation and reclassifications” for

details

ozon holdings plc interim condensed consolidated statement of cash flows -unaudited continued

for the three months
for the nine months

-million rub
ended september 30
ended september 30

2024
2 023
yoy %
2 024
2 023

cash flows from investing activities

purchase of property plant and
-14605
-8 878
65%
-43 199
-20 059

equipment

proceeds from disposal of
23
103
-78%
83
293

property plant and equipment

purchase of intangible assets
-43
-82
-48%
-259
-178

advances on lease contracts not
-1463
-202
624%
-3 575
-1 625

yet commenced

dividends received from an
44
70
-37%
184
235

associate

interest received
1997
1 333
50%
7 590
2 501

issuance of loans to employees
-427
-187
128%
-1 043
-686

repayment of employee loans
55
42
31%
239
180

payments related to foreign
-105
n/a
-105
n/a

currency forward contracts

net cash used in investing
-14524
-7 801
86%
-40 085
-19 339

activities cash flows from financing activities

proceeds from borrowings net
6000
2 000
200%
17 500
24 400

of transaction costs net proceeds from/-settlement

of liabilities to marketplace
1759
1 251
41%
-193
1 419

sellers and customers with extended payment terms

payments related to bond
-10
-446
-98%
-110
-36 111

restructuring

repayment of borrowings
-172
-249
-31%
-24 040
-744

payment of principal portion of
-3769
-2 343
61%
-10 948
-6 891

lease liabilities

net cash generated from/
3808
213
1688%
-17 791
-17 927

-used in financing activities

net increase/-decrease in
64556
16 033
303%
60 765
-4 610
n/a

cash and cash equivalents

cash and cash equivalents at
164734
74 640
121%
169 814
90 469

the beginning of the period effects of exchange rate

changes on the balance of cash
1213
2 066
-41%
-1 021
6 760
n/a

held in foreign currencies effects of change in expected

credit loss of cash and cash
18
-6

n/a
963
114

equivalents

cash and cash equivalents at
230521
92 733
149%
230 521
92 733

Currency: RUB
Dimension: млн
Period length: 3m

Revenue (and EBITDA) for the reporting quarter is taken from the report as a finished value

 

thousands RUB
2024 q1
2023 q1
change
Revenue
153 693 000
108 963 000
+41.1%
Gross profit
27 127 000
5 421 000
+400.4%
Net income
-740 000
-22 055 000
Operating cost
28 042 000
18 697 000
+50.0%
Operating profit
5 466 000
-13 556 000
Amortization
11 460 000
7 594 000
+50.9%
EBITDA
16 926 000
-5 962 000
Dividend
44 000
70 000
-37.1%
Financial cashflow
64 556 000
16 033 000
+302.6%
thousands RUB
2024 q1
 
change
Total equity
-101 444 000
-66 577 000
Total assets
693 964 000
476 026 000
+45.8%
Net debt
93 720 000
71 414 000
+31.2%
cash_equivalents
230 521 000
169 814 000
+35.7%
credit
105 704 000
104 371 000
+1.3%
lease
202 713 000
124 335 000
+63.0%
derivative_liabilities
15 824 000
12 522 000
+26.4%
Прочие параметры (до вычета)
2024 q1
income
incomeTax
-769 000
-420 000
balance
shorttermOtherAssetsFinancial
7 321 000
3 866 000
+89.4%
shorttermAccountsReceivable
13 009 000
7 156 000
+81.8%
shorttermAssetsTotal
373 550 000
276 908 000
+34.9%
PropertyPlantEquipment
112 283 000
73 414 000
+52.9%
longtermIntangibleAssets
654 000
572 000
+14.3%
longtermOtherInvestments
1 296 000
1 262 000
+2.7%
longtermOtherFinance
4 092 000
3 015 000
+35.7%
shorttermLiabilitiesTradePayables
89 178 000
69 349 000
+28.6%
shorttermLiabilitiesAccrued
21 348 000
13 289 000
+60.6%
shorttermLiabilitiesCredit
30 370 000
16 043 000
+89.3%
shorttermLiabilitiesLease
22 857 000
15 691 000
+45.7%
shorttermLiabilitiesTotal
538 750 000
341 885 000
+57.6%
longtermLiabilitiesCredit
75 334 000
88 328 000
-14.7%
longtermLiabilitiesLease
179 856 000
108 644 000
+65.5%
longtermLiabilitiesTotal
256 658 000
200 718 000
+27.9%
capitalAuthorized
12 000
12 000
0.0%
capitalRetainedProfit
-259 511 000
-217 958 000
capitalTreasuryShares
-1 000
-1 000
cashflow
cashflowPurchaseOfPPE
-14 605 000
-8 878 000
cashflowPurchaseOfIntangibleAssets
-43 000
-82 000
cashflowLoansReceived
6 000 000
2 000 000
+200.0%
cashflowLoansPaid
-172 000
-249 000
cashflowDividendsReceived
44 000
70 000
-37.1%
cashflowEffectOfExchangeRate
1 213 000
2 066 000
-41.3%
netChangeCash
60 707 000
netChangeAccountsReceivable
5 853 000
netChangeAccountsPayable
19 829 000
netChangeTaxArrears
8 059 000