| Показатель | 2022 H2 | 2023 H1 | 2023 H2 | 2024 H1 | 2024 H2 | 2025 H1 | 2025 H2 |
|---|---|---|---|---|---|---|---|
| reportId | n/a | n/a | 15792 | 15790 | 15799 | 15800 | 15804 |
| reportIdAsPrev | 15792 | 15790 | 15799 | 15800 | 15804 | n/a | n/a |
| updated_at | 2026-08-24 09:20:19 | 2026-08-25 07:58:58 | 2026-08-24 09:20:19 | 2026-08-25 07:58:58 | 2026-08-24 06:09:58 | 2026-08-19 01:30:56 | 2026-08-24 06:09:58 |
| INCOME STATEMENT | |||||||
| Revenue | 164 170 500 | 144 647 000 | 183 618 000 | 183 877 000 | 270 494 000 | 182 949 000 | 242 795 000 |
| GrossProfit | 38 341 000 | 25 767 000 | 70 683 000 | 37 268 000 | 85 982 000 | 22 157 000 | 57 998 000 |
| OperatingIncome | 26 138 500 | 1 631 000 | 39 971 000 | 8 491 000 | 43 568 000 | -11 317 000 | 13 546 000 |
| BeforeTaxIncome | 19 485 000 | 10 801 000 | 27 465 000 | -11 021 000 | 27 341 000 | -53 788 000 | -14 372 000 |
| NetIncome | -20 358 000 | 8 158 000 | -44 247 000 | -10 731 000 | 15 697 000 | -52 095 000 | -10 687 000 |
| EBITDA | 32 553 000 | 30 161 000 | 30 161 000 | 37 021 000 | 52 493 000 | -787 000 | 27 338 000 |
| EBIT | n/a | n/a | 39 971 000 | 8 491 000 | 43 568 000 | -11 317 000 | 13 546 000 |
| EBITDAR | n/a | n/a | 48 811 000 | 37 021 000 | 32 860 000 | -787 000 | 27 338 000 |
| costOfSales | -125 829 500 | -118 880 000 | -151 906 000 | -146 609 000 | -184 512 000 | -160 792 000 | -184 797 000 |
| commercialGeneralAdminCosts | -15 771 500 | -13 104 000 | -20 941 000 | -11 841 000 | -28 814 000 | -13 218 000 | -23 432 000 |
| otherOperatingCosts | -2 220 000 | n/a | -203 000 | -275 000 | -2 289 000 | n/a | n/a |
| financialLossNegative | -7 768 500 | -10 176 000 | -15 163 000 | -18 304 000 | -22 620 000 | -25 508 000 | -24 461 000 |
| incomeTax | 873 000 | -2 643 000 | 466 000 | 290 000 | -11 644 000 | 1 693 000 | 3 685 000 |
| nonControllingInterests | 919 000 | -106 000 | 1 611 000 | -536 000 | 1 283 000 | -869 000 | -54 000 |
| netIncomeOwner | 19 439 000 | 8 264 000 | 26 320 000 | -10 195 000 | 14 414 000 | -51 226 000 | -10 633 000 |
| FinancialIncome | -6 702 000 | 9 541 000 | -13 166 000 | -19 727 000 | -15 220 000 | -42 681 000 | -28 420 000 |
| PercentLoss | -7 768 500 | -10 176 000 | -15 163 000 | -18 304 000 | -22 620 000 | -25 508 000 | -24 461 000 |
| Revaluation | n/a | 449 000 | -642 000 | -162 000 | 972 000 | n/a | -307 500 |
| ExchangeDifference | 1 066 500 | 19 268 000 | 2 639 000 | -1 261 000 | 6 428 000 | -17 173 000 | -3 344 000 |
| BALANCE STATEMENT | |||||||
| TotalEquity | n/a | n/a | 387 383 000 | 378 669 000 | 396 061 000 | 349 969 000 | 341 975 000 |
| TotalAssets | n/a | n/a | 1 026 565 000 | 1 090 515 000 | 1 253 018 000 | n/a | 1 203 997 000 |
| DeferredTaxAssets | n/a | n/a | 7 747 000 | 8 208 000 | 12 635 000 | 7 906 000 | 8 731 000 |
| DeferredTaxLiabilities | n/a | n/a | 6 763 000 | 7 215 000 | 22 470 000 | 16 570 000 | n/a |
| NetDebt | n/a | n/a | 103 615 000 | 127 605 000 | 133 199 000 | 174 990 000 | 229 299 000 |
| totalDebt | n/a | n/a | 269 662 000 | 284 272 000 | 297 594 000 | 310 404 000 | 322 668 000 |
| cash_equivalents | n/a | n/a | 179 978 000 | 171 689 000 | 180 815 000 | 152 975 000 | 110 847 000 |
| credit | n/a | n/a | 269 662 000 | 284 272 000 | 297 594 000 | 310 404 000 | 322 668 000 |
| MinorityInterest | n/a | n/a | 13 931 000 | 15 022 000 | 16 420 000 | 17 561 000 | 17 478 000 |
| shorttermAccountsReceivable | n/a | n/a | 178 823 000 | 163 143 000 | 242 534 000 | 168 061 000 | 212 733 000 |
| shorttermReserves | n/a | n/a | 217 370 000 | 249 062 000 | 261 455 000 | 287 247 000 | 292 653 000 |
| shorttermPrepayment | n/a | n/a | 278 000 | 960 000 | 715 000 | 1 599 000 | 60 103 000 |
| shorttermAssetsTotal | n/a | n/a | 719 380 000 | 760 977 000 | 862 400 000 | 799 232 000 | 760 478 000 |
| PropertyPlantEquipment | n/a | n/a | 200 618 000 | 221 083 000 | 261 369 000 | 285 738 000 | 310 927 000 |
| longtermIntangibleAssets | n/a | n/a | 74 422 000 | 82 204 000 | 94 998 000 | 102 489 000 | n/a |
| longtermOtherInvestments | n/a | n/a | 235 000 | 1 355 000 | 1 031 000 | 984 000 | 1 041 000 |
| longtermPrepaymentMade | n/a | n/a | 9 830 000 | 3 071 000 | 5 158 000 | 2 156 000 | 2 585 000 |
| longtermAssetsForSale | n/a | n/a | 773 000 | 999 000 | 1 070 000 | 714 000 | 889 000 |
| shorttermLiabilitiesTradePayables | n/a | n/a | 89 291 000 | 96 410 000 | 125 860 000 | 126 894 000 | 147 926 000 |
| shorttermLiabilitiesCredit | n/a | n/a | 138 447 000 | 144 166 000 | 120 709 000 | 149 833 000 | 133 438 000 |
| shorttermLiabilitiesTotal | n/a | n/a | 395 379 000 | 408 031 000 | 468 799 000 | 492 857 000 | 518 812 000 |
| longtermLiabilitiesCredit | n/a | n/a | 131 215 000 | 140 106 000 | 176 885 000 | 160 571 000 | 189 230 000 |
| longtermLiabilitiesOther | n/a | n/a | 496 000 | n/a | n/a | n/a | n/a |
| longtermLiabilitiesTotal | n/a | n/a | 243 731 000 | 303 743 000 | 388 086 000 | 372 276 000 | 343 138 000 |
| capitalAuthorized | n/a | n/a | 30 576 000 | 30 576 000 | 42 776 000 | 42 776 000 | 42 776 000 |
| capitalAdditional | n/a | n/a | 298 724 000 | 299 328 000 | 301 235 000 | 304 669 000 | 306 976 000 |
| capitalRetainedProfit | n/a | n/a | 29 108 000 | 18 602 000 | 32 403 000 | -19 161 000 | -29 780 000 |
| capitalShareholdersEquity | n/a | n/a | 373 452 000 | 363 647 000 | 379 641 000 | 332 408 000 | 324 497 000 |
| capitalAssociatedForSale | n/a | n/a | 1 026 565 000 | 72 000 | n/a | n/a | 72 000 |
| CASHFLOW STATEMENT | |||||||
| Amortization | 6 414 500 | 28 530 000 | 8 840 000 | 28 530 000 | 8 925 000 | 10 530 000 | 13 792 000 |
| Dividend | 57 500 | 13 000 | 0 | 66 000 | -9 000 | n/a | n/a |
| Buyback | n/a | n/a | n/a | n/a | -37 000 | n/a | n/a |
| OperatingCashflow | -12 075 500 | 22 205 000 | 20 415 000 | -42 005 000 | 12 458 000 | -8 047 000 | -13 027 000 |
| InvestingNetCashflow | -10 092 500 | -15 187 000 | -39 065 000 | -32 792 000 | -60 450 000 | -40 216 000 | -38 080 000 |
| FinancialCashflow | 28 995 500 | 15 329 000 | 17 601 000 | 66 664 000 | 46 702 000 | n/a | n/a |
| TotalCashflow | n/a | n/a | n/a | n/a | -784 500 | n/a | -32 323 500 |
| cashflowPurchaseOfPPE | -10 092 500 | -12 892 000 | -39 065 000 | -24 938 000 | -42 384 000 | n/a | -32 165 500 |
| cashflowSaleOfPPE | 1 710 500 | 1 548 000 | 979 000 | 656 000 | 1 327 000 | 1 068 000 | 3 178 000 |
| cashflowPurchaseOfIntangibleAssets | -8 950 000 | -3 397 000 | -16 813 000 | -9 574 000 | -13 691 000 | -8 935 000 | n/a |
| cashflowLoansPaid | -50 325 000 | -86 247 000 | -82 862 000 | -70 925 000 | -124 162 000 | n/a | -92 984 000 |
| cashflowEffectOfExchangeRate | -1 066 500 | -19 268 000 | -2 639 000 | 1 261 000 | -6 428 000 | 16 868 000 | 3 649 000 |
| cashflowCreditPercentPaid | -9 144 000 | -10 056 000 | -15 606 000 | -19 787 000 | -24 838 000 | -25 574 000 | -26 937 000 |
| OTHER UNSORTED | |||||||
| netChangeCash | -1 168 000 | 22 347 000 | -16 709 000 | -8 133 000 | 6 564 000 | -27 840 000 | -36 807 000 |
| netChangeAccountsReceivable | n/a | n/a | 8 950 500 | -15 680 000 | 79 391 000 | -74 473 000 | 44 672 000 |
| netChangeReserves | 630 500 | -27 901 000 | -23 008 000 | -30 416 000 | -10 634 000 | -20 855 000 | -12 601 000 |
| netChangeAccountsPayable | n/a | n/a | 7 596 000 | 7 111 000 | 29 450 000 | 1 034 000 | 21 032 000 |
| Показатель | 2022 H1-2 | 2023 H1-2 | 2024 H1-2 | 2025 H1-2 |
|---|---|---|---|---|
| reportId | n/a | 15792 | 15799 | 15804 |
| reportIdAsPrev | 15792 | 15799 | 15804 | n/a |
| updated_at | 2026-08-24 09:20:19 | 2026-08-24 09:20:19 | 2026-08-24 06:09:58 | 2026-08-24 06:09:58 |
| INCOME STATEMENT | ||||
| Revenue | 328 341 000 | 367 236 000 | 454 371 000 | 425 744 000 |
| GrossProfit | 76 682 000 | 96 450 000 | 123 250 000 | 80 155 000 |
| OperatingIncome | 52 277 000 | 41 602 000 | 52 059 000 | 2 229 000 |
| BeforeTaxIncome | 38 970 000 | 38 266 000 | 16 320 000 | -68 160 000 |
| NetIncome | -40 716 000 | -36 089 000 | 4 966 000 | -62 782 000 |
| EBITDA | 65 106 000 | 60 322 000 | 69 881 000 | 26 551 000 |
| EBIT | 52 277 000 | 41 602 000 | 52 059 000 | 2 229 000 |
| EBITDAR | 65 106 000 | 60 322 000 | 69 881 000 | 26 551 000 |
| costOfSales | -251 659 000 | -270 786 000 | -331 121 000 | -345 589 000 |
| commercialGeneralAdminCosts | -31 543 000 | -34 045 000 | -40 655 000 | -36 650 000 |
| otherOperatingCosts | -4 440 000 | -406 000 | -2 564 000 | n/a |
| financialLossNegative | -15 537 000 | -25 339 000 | -40 924 000 | -49 969 000 |
| incomeTax | 1 746 000 | -2 177 000 | -11 354 000 | 5 378 000 |
| nonControllingInterests | 1 838 000 | 1 505 000 | 747 000 | -923 000 |
| netIncomeOwner | 38 878 000 | 34 584 000 | 4 219 000 | -61 859 000 |
| FinancialIncome | -13 404 000 | -3 625 000 | -34 947 000 | -71 101 000 |
| PercentLoss | -15 537 000 | -25 339 000 | -40 924 000 | -49 969 000 |
| Revaluation | n/a | -193 000 | 810 000 | -615 000 |
| ExchangeDifference | 2 133 000 | 21 907 000 | 5 167 000 | -20 517 000 |
| BALANCE STATEMENT | ||||
| TotalEquity | n/a | 387 383 000 | 396 061 000 | 341 975 000 |
| TotalAssets | n/a | 1 026 565 000 | 1 253 018 000 | 1 203 997 000 |
| DeferredTaxAssets | n/a | 7 747 000 | 12 635 000 | 8 731 000 |
| DeferredTaxLiabilities | n/a | 6 763 000 | 22 470 000 | n/a |
| NetDebt | n/a | 103 615 000 | 133 199 000 | 229 299 000 |
| totalDebt | n/a | 269 662 000 | 297 594 000 | 322 668 000 |
| cash_equivalents | n/a | 179 978 000 | 180 815 000 | 110 847 000 |
| credit | n/a | 269 662 000 | 297 594 000 | 322 668 000 |
| MinorityInterest | n/a | 13 931 000 | 16 420 000 | 17 478 000 |
| shorttermAccountsReceivable | n/a | 178 823 000 | 242 534 000 | 212 733 000 |
| shorttermReserves | n/a | 217 370 000 | 261 455 000 | 292 653 000 |
| shorttermPrepayment | n/a | 278 000 | 715 000 | 60 103 000 |
| shorttermAssetsTotal | n/a | 719 380 000 | 862 400 000 | 760 478 000 |
| PropertyPlantEquipment | n/a | 200 618 000 | 261 369 000 | 310 927 000 |
| longtermIntangibleAssets | n/a | 74 422 000 | 94 998 000 | n/a |
| longtermOtherInvestments | n/a | 235 000 | 1 031 000 | 1 041 000 |
| longtermPrepaymentMade | n/a | 9 830 000 | 5 158 000 | 2 585 000 |
| longtermAssetsForSale | n/a | 773 000 | 1 070 000 | 889 000 |
| shorttermLiabilitiesTradePayables | n/a | 89 291 000 | 125 860 000 | 147 926 000 |
| shorttermLiabilitiesCredit | n/a | 138 447 000 | 120 709 000 | 133 438 000 |
| shorttermLiabilitiesTotal | n/a | 395 379 000 | 468 799 000 | 518 812 000 |
| longtermLiabilitiesCredit | n/a | 131 215 000 | 176 885 000 | 189 230 000 |
| longtermLiabilitiesOther | n/a | 496 000 | n/a | n/a |
| longtermLiabilitiesTotal | n/a | 243 731 000 | 388 086 000 | 343 138 000 |
| capitalAuthorized | n/a | 30 576 000 | 42 776 000 | 42 776 000 |
| capitalAdditional | n/a | 298 724 000 | 301 235 000 | 306 976 000 |
| capitalRetainedProfit | n/a | 29 108 000 | 32 403 000 | -29 780 000 |
| capitalShareholdersEquity | n/a | 373 452 000 | 379 641 000 | 324 497 000 |
| capitalAssociatedForSale | n/a | 1 026 565 000 | n/a | 72 000 |
| CASHFLOW STATEMENT | ||||
| Amortization | 12 829 000 | 18 720 000 | 17 822 000 | 24 322 000 |
| Dividend | 115 000 | 13 000 | 57 000 | n/a |
| Buyback | n/a | n/a | -74 000 | n/a |
| OperatingCashflow | -24 151 000 | 42 620 000 | -29 547 000 | -21 074 000 |
| InvestingNetCashflow | -20 185 000 | -51 957 000 | -85 388 000 | -78 296 000 |
| FinancialCashflow | 57 991 000 | 32 930 000 | 113 366 000 | n/a |
| TotalCashflow | n/a | n/a | -1 569 000 | -64 647 000 |
| cashflowPurchaseOfPPE | -20 185 000 | -51 957 000 | -67 322 000 | -64 331 000 |
| cashflowSaleOfPPE | 3 421 000 | 2 527 000 | 1 983 000 | 4 246 000 |
| cashflowPurchaseOfIntangibleAssets | -17 900 000 | -20 210 000 | -23 265 000 | n/a |
| cashflowLoansPaid | -100 650 000 | -169 109 000 | -195 087 000 | -185 968 000 |
| cashflowEffectOfExchangeRate | -2 133 000 | -21 907 000 | -5 167 000 | 20 517 000 |
| cashflowCreditPercentPaid | -18 288 000 | -25 662 000 | -44 625 000 | -52 511 000 |
| OTHER UNSORTED | ||||
| netChangeCash | -2 336 000 | 5 638 000 | -1 569 000 | -64 647 000 |
| netChangeAccountsReceivable | n/a | 17 901 000 | 63 711 000 | -29 801 000 |
| netChangeReserves | 1 261 000 | -50 909 000 | -41 050 000 | -33 456 000 |
| netChangeAccountsPayable | n/a | 15 192 000 | 36 561 000 | 22 066 000 |