Try our mobile app
Компания: ООО МФК «Фордевинд» [9717054493]   |   Тикер: INN9717054493   |   Тип отчетности: MSFO   |   Размерность: тысячи руб
кварталы / полугодия
Показатель2020 H22021 H22022 H22024 H22025 H2
reportIdn/a1075610760n/a15832
reportIdAsPrev1075610760n/a15832n/a
updated_at2026-08-30 04:35:572026-08-30 04:35:572026-08-30 04:34:252026-08-30 02:16:442026-08-30 02:16:44
INCOME STATEMENT
Revenue156 815281 738344 235688 1101 055 769
NetIncome60 467123 720133 933320 433367 225
BALANCE STATEMENT
TotalEquityn/a492 832609 835n/a1 491 994
TotalAssetsn/a2 091 5392 642 536n/a9 557 424
DeferredTaxAssetsn/a10 055n/an/a35
DeferredTaxLiabilitiesn/a8 6683 837n/a14 717
cash_equivalentsn/a31 2182 607 606n/a9 523 129
creditn/a1 544 7291 966 787n/a7 806 628
MinorityInterestn/an/an/an/a327
PropertyPlantEquipmentn/a19 14818 320n/a14 696
longtermIntangibleAssetsn/a1 300666n/a174
longtermOtherInvestmentsn/an/a2 238 190n/a9 189 827
shorttermLiabilitiesCreditn/a4981 966 787n/a7 806 628
longtermLiabilitiesCreditn/a1 544 231n/an/an/a
longtermLiabilitiesOthern/a45 31051 487n/a219 561
capitalAuthorizedn/a90 20090 200n/a3 637
capitalAdditionaln/a5 0005 000n/a38 117
capitalRetainedProfitn/a397 632514 635n/a1 450 240
Dividendn/an/a-72 973-112 500-141 718
OperatingCashflow-247 534-127 920-142 295-1 042 962-967 845
InvestingNetCashflow4 48325 0836 589n/an/a
FinancialCashflow248 629112 846204 124986 539968 435
cashflowPurchaseOfPPE-531-515n/an/an/a
cashflowLoansPaid-113 382-321 368-856 470-2 474 492-3 471 946
cashflowCreditPercentPaid-49 208-106 185-125 114-683 368-629 479
OTHER UNSORTED
netChangeCashn/a10 009274 847n/a1 356 282
FinPercentIncome241 043415 923503 8491 272 3611 750 272
FinPercentExpense-84 228-134 185-159 732-542 806-694 888
FinPercentIncomeNet156 815281 738344 117729 5551 055 384
FinReserveForCreditLoss-46 309-95 671-160 751-172 807-381 430
FinPercentIncomeNetAfterReserve110 506186 066183 366556 747673 954
FinRevenue156 815281 738344 117729 5551 055 384
FinOperationsWithFinancialInstrumentsn/an/a-1 6111-1
FinOtherOperatingIncomeNet-1 4518 403-38 082-51 634-28 203
FinAdministrativeExpense-31 438-43 453-92 421-81 652-152 413
FinIncomeBeforeTax75 592154 656167 426399 224484 283
FinIncomeTax-15 125-30 936-33 493-78 791-117 058
FinIncomeNet60 467123 720133 933320 433367 225
FinIncomeNetRegularn/an/a135 222320 432367 226
FinIncomeNetIrregularn/an/a-1 2890-1
FinPortfolioBonds1 479 1672 026 693n/an/an/a
с начала года
Показатель2020 H1-22021 H1-22022 H1-22024 H1-22025 H1-2
reportIdn/a1075610760n/a15832
reportIdAsPrev1075610760n/a15832n/a
updated_at2026-08-30 04:35:572026-08-30 04:35:572026-08-30 04:34:252026-08-30 02:16:442026-08-30 02:16:44
INCOME STATEMENT
Revenue313 630563 476688 2351 459 1102 110 769
NetIncome120 934247 440267 866640 866734 450
BALANCE STATEMENT
TotalEquityn/a492 832609 835n/a1 491 994
TotalAssetsn/a2 091 5392 642 536n/a9 557 424
DeferredTaxAssetsn/a10 055n/an/a35
DeferredTaxLiabilitiesn/a8 6683 837n/a14 717
cash_equivalentsn/a31 2182 607 606n/a9 523 129
creditn/a1 544 7291 966 787n/a7 806 628
MinorityInterestn/an/an/an/a327
PropertyPlantEquipmentn/a19 14818 320n/a14 696
longtermIntangibleAssetsn/a1 300666n/a174
longtermOtherInvestmentsn/an/a2 238 190n/a9 189 827
shorttermLiabilitiesCreditn/a4981 966 787n/a7 806 628
longtermLiabilitiesCreditn/a1 544 231n/an/an/a
longtermLiabilitiesOthern/a45 31051 487n/a219 561
capitalAuthorizedn/a90 20090 200n/a3 637
capitalAdditionaln/a5 0005 000n/a38 117
capitalRetainedProfitn/a397 632514 635n/a1 450 240
Dividendn/an/a-145 946-225 000-283 436
OperatingCashflow-495 069-255 840-284 591-2 085 925-1 935 691
InvestingNetCashflow8 96750 16613 178n/an/a
FinancialCashflow497 259225 693408 2481 973 0791 936 870
cashflowPurchaseOfPPE-1 062-1 030n/an/an/a
cashflowLoansPaid-226 765-642 737-1 712 941-4 948 985-6 943 893
cashflowCreditPercentPaid-98 417-212 370-250 229-1 366 736-1 258 958
OTHER UNSORTED
netChangeCashn/a20 019549 695n/a2 712 565
FinPercentIncome482 086831 8471 007 6992 544 7223 500 545
FinPercentExpense-168 456-268 371-319 464-1 085 612-1 389 776
FinPercentIncomeNet313 630563 476688 2351 459 1102 110 769
FinReserveForCreditLoss-92 618-191 343-321 502-345 615-762 861
FinPercentIncomeNetAfterReserve221 012372 133366 7331 113 4951 347 908
FinRevenue313 630563 476688 2351 459 1102 110 769
FinOperationsWithFinancialInstrumentsn/an/a-3 2232-3
FinOtherOperatingIncomeNet-2 90216 807-76 164-103 269-56 406
FinAdministrativeExpense-62 876-86 906-184 842-163 305-304 826
FinIncomeBeforeTax151 184309 312334 853798 449968 567
FinIncomeTax-30 250-61 872-66 987-157 583-234 117
FinIncomeNet120 934247 440267 866640 866734 450
FinIncomeNetRegularn/an/a270 444640 864734 452
FinIncomeNetIrregularn/an/a-2 5781-2
FinPortfolioBonds1 479 1672 026 693n/an/an/a