| Показатель | 2021 q2 | 2022 q1 | 2022 q2 | 2022 q4 | 2023 q2 | 2023 q3 | 2023 q4 | 2024 q1 | 2024 q2 | 2024 q3 | 2024 q4 | 2025 q1 | 2025 q2 | 2025 q3 | 2025 q4 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| reportId | n/a | 12814 | 12814 | n/a | n/a | 12817 | 12817 | 12821 | 12821 | 12824 | 12824 | 12989 | 12989 | 15423 | 15423 |
| reportIdAsPrev | 12814 | n/a | n/a | 12817 | 12821 | n/a | 12824 | n/a | 12989 | n/a | 15423 | n/a | n/a | n/a | n/a |
| updated_at | 2026-08-30 04:29:50 | 2026-08-30 04:29:50 | 2026-08-30 04:29:50 | 2026-08-30 04:30:21 | 2026-08-30 03:26:04 | 2026-08-30 04:30:21 | 2026-08-30 08:10:01 | 2026-08-30 03:26:04 | 2026-08-30 03:26:04 | 2026-08-30 08:10:01 | 2026-08-30 10:08:11 | 2026-08-23 20:04:50 | 2026-08-23 20:04:50 | 2026-08-30 10:08:11 | 2026-08-30 10:08:11 |
| INCOME STATEMENT | |||||||||||||||
| Revenue | n/a | 786 666 | 786 666 | n/a | 1 040 300 | 1 236 650 | 1 236 650 | 1 548 331 | 1 548 331 | 1 402 553 | 1 402 553 | 2 299 963 | 2 299 963 | 2 392 430 | 2 392 430 |
| NetIncome | n/a | 395 231 | 395 231 | n/a | 437 258 | 438 240 | 438 240 | 567 304 | 567 304 | 123 892 | 123 892 | 19 703 | 19 703 | -530 732 | -530 732 |
| TotalAssets | n/a | n/a | 49 467 357 | n/a | n/a | n/a | 71 647 826 | n/a | 82 808 554 | n/a | 90 651 181 | n/a | 96 856 273 | n/a | 90 651 181 |
| cash_equivalents | n/a | n/a | 85 391 | n/a | n/a | n/a | 2 477 754 | n/a | 177 301 | n/a | 300 667 | n/a | 105 496 | n/a | 300 667 |
| investments | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 10 284 655 | n/a | n/a |
| credit | n/a | n/a | 32 304 706 | n/a | n/a | n/a | 54 619 542 | n/a | 66 743 980 | n/a | 63 178 677 | n/a | 50 182 320 | n/a | 63 178 677 |
| bonds | n/a | n/a | n/a | n/a | n/a | n/a | 6 396 883 | n/a | 4 442 478 | n/a | 14 000 027 | n/a | 31 882 845 | n/a | 14 000 027 |
| shorttermPrepayment | n/a | n/a | 2 469 025 | n/a | n/a | n/a | 1 613 475 | n/a | 1 931 509 | n/a | 1 199 625 | n/a | 829 295 | n/a | 1 199 625 |
| PropertyPlantEquipment | n/a | n/a | 161 227 | n/a | n/a | n/a | 190 264 | n/a | 185 396 | n/a | 240 954 | n/a | 300 039 | n/a | 240 954 |
| longtermOtherInvestments | n/a | n/a | 43 630 792 | n/a | n/a | n/a | 63 564 052 | n/a | 74 797 348 | n/a | 83 019 780 | n/a | 77 525 796 | n/a | 83 019 780 |
| shorttermLiabilitiesCredit | n/a | n/a | 32 304 706 | n/a | n/a | n/a | 54 619 542 | n/a | 66 743 980 | n/a | 63 178 677 | n/a | 50 182 320 | n/a | 63 178 677 |
| longtermLiabilitiesOther | n/a | n/a | 483 842 | n/a | n/a | n/a | 557 321 | n/a | 567 590 | n/a | 847 162 | n/a | 2 737 980 | n/a | 847 162 |
| Dividend | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 0 | n/a | n/a | -750 000 | -750 000 |
| OperatingCashflow | n/a | -955 633 | -955 633 | n/a | -6 352 099 | -8 363 153 | -8 363 153 | -6 387 019 | -6 387 019 | -5 117 657 | -5 117 657 | 2 486 663 | 2 486 663 | -2 470 465 | -2 470 465 |
| InvestingNetCashflow | n/a | -45 771 | -45 771 | n/a | 167 356 | 154 342 | 154 342 | 142 094 | 142 094 | 534 915 | 534 915 | -4 945 222 | -4 945 222 | 199 758 | 199 758 |
| FinancialCashflow | n/a | 909 050 | 909 050 | n/a | 6 024 352 | 8 954 476 | 8 954 476 | 5 092 218 | 5 092 218 | 4 239 673 | 4 239 673 | 2 360 849 | 2 360 849 | 4 205 371 | 4 205 371 |
| TotalCashflow | n/a | n/a | n/a | 37 285 | n/a | 521 713 | 521 713 | n/a | -1 150 226 | -342 287 | -342 287 | -97 585 | -97 585 | 1 932 812 | 1 932 812 |
| cashflowPurchaseOfPPE | n/a | -156 612 | -156 612 | n/a | -31 806 | -32 257 | -32 257 | -22 670 | -22 670 | -32 294 | -32 294 | -46 128 | -46 128 | -66 564 | -66 564 |
| cashflowSaleOfPPE | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 13 132 | 13 132 | n/a | n/a | 10 088 | 10 088 |
| cashflowCreditPercentPaid | n/a | -241 623 | -241 623 | n/a | -620 804 | -1 076 009 | -1 076 009 | -2 018 711 | -2 018 711 | -2 859 656 | -2 859 656 | -2 226 626 | -2 226 626 | -2 196 758 | -2 196 758 |
| cashflowNetInvestmentsInFinanceLeasing | n/a | -1 298 321 | -1 298 321 | n/a | -5 026 441 | -8 586 824 | -8 586 824 | -6 085 728 | -6 085 728 | -5 795 474 | -5 795 474 | 309 841 | 309 841 | -1 405 517 | -1 405 517 |
| OTHER UNSORTED | |||||||||||||||
| netChangeCash | n/a | -92 630 | -92 630 | n/a | -152 754 | 746 536 | 746 536 | -1 150 226 | -1 150 226 | -342 287 | -342 287 | -97 585 | -97 585 | 1 932 812 | 1 932 812 |
| FinPercentIncome | n/a | 1 082 768 | 1 082 768 | n/a | 1 599 568 | 2 167 331 | 2 167 331 | 3 292 677 | 3 292 677 | 3 970 307 | 3 970 307 | 5 083 230 | 5 083 230 | 5 440 909 | 5 440 909 |
| FinPercentExpense | n/a | -241 791 | -241 791 | n/a | -621 037 | -1 076 204 | -1 076 204 | -2 018 800 | -2 018 800 | -2 814 090 | -2 814 090 | -2 283 676 | -2 283 676 | -2 252 611 | -2 252 611 |
| FinPercentIncomeNet | n/a | 614 786 | 614 786 | n/a | 807 898 | 926 933 | 926 933 | 1 148 227 | 1 148 227 | 895 610 | 895 610 | 1 673 931 | 1 673 931 | 1 757 590 | 1 757 590 |
| FinReserveForCreditLoss | n/a | 1 888 | 1 888 | n/a | -22 607 | -86 926 | -86 926 | -112 660 | -112 660 | -192 667 | -192 667 | -698 534 | -698 534 | -634 460 | -634 460 |
| FinPercentIncomeNetAfterReserve | n/a | 616 674 | 616 674 | n/a | 785 291 | 840 006 | 840 006 | 1 035 567 | 1 035 567 | 702 943 | 702 943 | 975 396 | 975 396 | 1 123 130 | 1 123 130 |
| FinCommissionIncome | n/a | 171 880 | 171 880 | n/a | 232 402 | 309 716 | 309 716 | 400 103 | 400 103 | 506 943 | 506 943 | 626 032 | 626 032 | 634 840 | 634 840 |
| FinRevenue | n/a | 786 666 | 786 666 | n/a | 1 040 300 | 1 236 650 | 1 236 650 | 1 548 331 | 1 548 331 | 1 402 553 | 1 402 553 | 2 299 963 | 2 299 963 | 2 392 430 | 2 392 430 |
| FinCommissionExpense | n/a | -4 187 | -4 187 | n/a | -2 624 | -2 155 | -2 155 | -6 661 | -6 661 | -8 724 | -8 724 | -5 074 | -5 074 | -4 054 | -4 054 |
| FinCommissionIncomeNet | n/a | 167 693 | 167 693 | n/a | 229 777 | 307 561 | 307 561 | 393 442 | 393 442 | 498 219 | 498 219 | 620 958 | 620 958 | 630 786 | 630 786 |
| FinOtherOperatingIncomeNet | n/a | -47 016 | -47 016 | n/a | -116 684 | -103 906 | -103 906 | -148 624 | -148 624 | -238 158 | -238 158 | -538 191 | -538 191 | -1 057 902 | -1 057 902 |
| FinAdministrativeExpense | n/a | -236 416 | -236 416 | n/a | -370 066 | -442 878 | -442 878 | -576 181 | -576 181 | -847 744 | -847 744 | -1 407 041 | -1 407 041 | -2 166 321 | -2 166 321 |
| FinIncomeBeforeTax | n/a | 499 046 | 499 046 | n/a | 550 925 | 687 709 | 687 709 | 816 864 | 816 864 | 307 927 | 307 927 | 349 656 | 349 656 | -835 846 | -835 846 |
| FinIncomeTax | n/a | -98 870 | -98 870 | n/a | -119 319 | -153 806 | -153 806 | -149 982 | -149 982 | -71 559 | -71 559 | -31 047 | -31 047 | -556 136 | -556 136 |
| FinIncomeNet | n/a | 395 231 | 395 231 | n/a | 437 258 | 438 240 | 438 240 | 567 304 | 567 304 | 123 892 | 123 892 | 19 703 | 19 703 | -530 732 | -530 732 |
| FinPortfolioCredit | n/a | n/a | 43 630 792 | n/a | n/a | n/a | 63 564 052 | n/a | 74 797 348 | n/a | 83 019 780 | n/a | 77 525 796 | n/a | 83 019 780 |
| FinPortfolioBonds | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 862 523 | n/a | 501 217 | n/a | 862 523 |
| Показатель | 2021 q1-2 | 2022 q1-2 | 2022 q1-4 | 2023 q1-2 | 2023 q1-4 | 2024 q1-2 | 2024 q1-4 | 2025 q1-2 | 2025 q1-4 |
|---|---|---|---|---|---|---|---|---|---|
| reportId | n/a | 12814 | n/a | n/a | 12817 | 12821 | 12824 | 12989 | 15423 |
| reportIdAsPrev | 12814 | n/a | 12817 | 12821 | 12824 | 12989 | 15423 | n/a | n/a |
| updated_at | 2026-08-30 04:29:50 | 2026-08-30 04:29:50 | 2026-08-30 04:30:21 | 2026-08-30 03:26:04 | 2026-08-30 08:10:01 | 2026-08-30 03:26:04 | 2026-08-30 10:08:11 | 2026-08-23 20:04:50 | 2026-08-30 10:08:11 |
| INCOME STATEMENT | |||||||||
| Revenue | n/a | 1 573 332 | 3 460 716 | 2 080 601 | 4 750 250 | 3 096 662 | 5 755 991 | 4 599 927 | 9 477 254 |
| NetIncome | n/a | 790 463 | 1 641 069 | 874 517 | 1 751 978 | 1 134 608 | 938 981 | 39 406 | -1 572 493 |
| TotalAssets | n/a | 49 467 357 | n/a | n/a | 71 647 826 | 82 808 554 | 90 651 181 | 96 856 273 | 90 651 181 |
| cash_equivalents | n/a | 85 391 | n/a | n/a | 2 477 754 | 177 301 | 300 667 | 105 496 | 300 667 |
| investments | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 10 284 655 | n/a |
| credit | n/a | 32 304 706 | n/a | n/a | 54 619 542 | 66 743 980 | 63 178 677 | 50 182 320 | 63 178 677 |
| bonds | n/a | n/a | n/a | n/a | 6 396 883 | 4 442 478 | 14 000 027 | 31 882 845 | 14 000 027 |
| shorttermPrepayment | n/a | 2 469 025 | n/a | n/a | 1 613 475 | 1 931 509 | 1 199 625 | 829 295 | 1 199 625 |
| PropertyPlantEquipment | n/a | 161 227 | n/a | n/a | 190 264 | 185 396 | 240 954 | 300 039 | 240 954 |
| longtermOtherInvestments | n/a | 43 630 792 | n/a | n/a | 63 564 052 | 74 797 348 | 83 019 780 | 77 525 796 | 83 019 780 |
| shorttermLiabilitiesCredit | n/a | 32 304 706 | n/a | n/a | 54 619 542 | 66 743 980 | 63 178 677 | 50 182 320 | 63 178 677 |
| longtermLiabilitiesOther | n/a | 483 842 | n/a | n/a | 557 321 | 567 590 | 847 162 | 2 737 980 | 847 162 |
| Dividend | n/a | n/a | n/a | n/a | n/a | n/a | 0 | n/a | -3 000 000 |
| OperatingCashflow | n/a | -1 911 266 | -8 300 573 | -12 704 198 | -31 441 559 | -12 774 038 | -19 926 128 | 4 973 326 | -4 924 732 |
| InvestingNetCashflow | n/a | -91 543 | 198 741 | 334 713 | 630 383 | 284 189 | -67 023 | -9 890 444 | -4 345 946 |
| FinancialCashflow | n/a | 1 818 100 | 8 264 918 | 12 048 705 | 32 887 782 | 10 184 436 | 17 811 238 | 4 721 699 | 14 976 964 |
| TotalCashflow | n/a | n/a | 149 142 | n/a | 2 086 854 | -2 300 453 | -2 177 087 | -195 171 | 5 700 853 |
| cashflowPurchaseOfPPE | n/a | -313 225 | -402 441 | -63 612 | -128 578 | -45 340 | -119 553 | -92 257 | -245 822 |
| cashflowSaleOfPPE | n/a | n/a | n/a | n/a | n/a | n/a | 52 530 | n/a | 40 355 |
| cashflowCreditPercentPaid | n/a | -483 247 | -1 226 628 | -1 241 609 | -3 848 833 | -4 037 423 | -10 597 679 | -4 453 253 | -8 816 900 |
| cashflowNetInvestmentsInFinanceLeasing | n/a | -2 596 642 | -8 680 392 | -10 052 882 | -30 786 914 | -12 171 457 | -23 472 152 | 619 683 | -3 906 712 |
| OTHER UNSORTED | |||||||||
| netChangeCash | n/a | -185 260 | 149 142 | -305 509 | 2 086 854 | -2 300 453 | -2 177 087 | -195 171 | 5 700 853 |
| FinPercentIncome | n/a | 2 165 536 | 4 831 707 | 3 199 137 | 8 101 562 | 6 585 355 | 15 203 598 | 10 166 460 | 21 405 959 |
| FinPercentExpense | n/a | -483 583 | -1 227 255 | -1 242 075 | -3 849 649 | -4 037 601 | -10 461 070 | -4 567 353 | -9 041 510 |
| FinPercentIncomeNet | n/a | 1 229 572 | 2 742 606 | 1 615 797 | 3 588 698 | 2 296 455 | 3 835 059 | 3 347 862 | 6 946 701 |
| FinReserveForCreditLoss | n/a | 3 777 | -69 492 | -45 215 | -283 387 | -225 320 | -690 662 | -1 397 069 | -2 601 914 |
| FinPercentIncomeNetAfterReserve | n/a | 1 233 349 | 2 673 114 | 1 570 582 | 3 305 311 | 2 071 135 | 3 144 397 | 1 950 793 | 4 344 787 |
| FinCommissionIncome | n/a | 343 760 | 718 110 | 464 804 | 1 161 552 | 800 207 | 1 920 932 | 1 252 065 | 2 530 553 |
| FinRevenue | n/a | 1 573 332 | 3 460 716 | 2 080 601 | 4 750 250 | 3 096 662 | 5 755 991 | 4 599 927 | 9 477 254 |
| FinCommissionExpense | n/a | -8 374 | -16 331 | -5 249 | -9 090 | -13 322 | -32 833 | -10 149 | -17 236 |
| FinCommissionIncomeNet | n/a | 335 386 | 701 779 | 459 555 | 1 152 462 | 786 885 | 1 888 099 | 1 241 916 | 2 513 317 |
| FinOtherOperatingIncomeNet | n/a | -94 033 | -245 283 | -233 369 | -428 404 | -297 248 | -863 098 | -1 076 383 | -3 711 898 |
| FinAdministrativeExpense | n/a | -472 833 | -1 091 447 | -740 132 | -1 698 702 | -1 152 363 | -3 119 415 | -2 814 083 | -7 906 004 |
| FinIncomeBeforeTax | n/a | 998 092 | 2 107 655 | 1 101 851 | 2 614 054 | 1 633 729 | 1 740 645 | 699 312 | -2 157 884 |
| FinIncomeTax | n/a | -197 740 | -412 955 | -238 639 | -580 738 | -299 964 | -364 661 | -62 095 | -1 699 457 |
| FinIncomeNet | n/a | 790 463 | 1 641 069 | 874 517 | 1 751 978 | 1 134 608 | 938 981 | 39 406 | -1 572 493 |
| FinPortfolioCredit | n/a | 43 630 792 | n/a | n/a | 63 564 052 | 74 797 348 | 83 019 780 | 77 525 796 | 83 019 780 |
| FinPortfolioBonds | n/a | n/a | n/a | n/a | n/a | n/a | 862 523 | 501 217 | 862 523 |