AFK Sistema PAO
MOEX:AFKS
Balance Sheet
Balance Sheet Decomposition
AFK Sistema PAO
AFK Sistema PAO
Balance Sheet
AFK Sistema PAO
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
2 835
|
5 002
|
8 278
|
13 959
|
13 871
|
14 302
|
26 086
|
60 785
|
116 559
|
69 248
|
94 134
|
57 217
|
67 724
|
119 967
|
198 892
|
69 363
|
88 027
|
129 689
|
65 328
|
115 448
|
83 432
|
134 487
|
137 282
|
157 943
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
76 117
|
9 173
|
28 068
|
15 506
|
1 659
|
1 755
|
1 549
|
85
|
375
|
64
|
|
| Cash Equivalents |
2 835
|
5 002
|
8 278
|
13 959
|
13 871
|
14 302
|
26 086
|
60 785
|
116 559
|
69 248
|
94 134
|
57 217
|
67 724
|
119 967
|
122 775
|
60 190
|
59 959
|
114 183
|
63 669
|
113 693
|
81 883
|
134 402
|
136 907
|
157 879
|
|
| Short-Term Investments |
2 495
|
5 063
|
8 152
|
5 744
|
17 077
|
26 293
|
22 339
|
18 847
|
36 695
|
26 894
|
24 584
|
37 117
|
184 775
|
102 794
|
78 020
|
62 588
|
99 798
|
106 329
|
87 138
|
104 573
|
154 465
|
171 817
|
217 631
|
325 526
|
|
| Total Receivables |
11 420
|
11 691
|
34 620
|
39 364
|
64 205
|
106 035
|
135 529
|
181 283
|
216 299
|
292 633
|
214 745
|
87 876
|
95 189
|
98 879
|
95 269
|
79 064
|
72 026
|
89 455
|
80 436
|
80 400
|
102 497
|
155 099
|
180 680
|
239 388
|
|
| Accounts Receivables |
9 383
|
8 846
|
18 041
|
23 207
|
33 358
|
68 246
|
101 926
|
133 517
|
163 876
|
220 616
|
191 916
|
69 205
|
71 502
|
78 961
|
74 276
|
60 888
|
54 836
|
70 814
|
61 177
|
62 764
|
77 567
|
126 462
|
147 576
|
201 635
|
|
| Other Receivables |
2 037
|
2 845
|
16 579
|
16 157
|
30 847
|
37 789
|
33 603
|
47 766
|
52 423
|
72 017
|
22 829
|
18 671
|
23 687
|
19 918
|
20 993
|
18 176
|
17 190
|
18 641
|
19 259
|
17 636
|
24 930
|
28 637
|
33 104
|
37 753
|
|
| Inventory |
1 193
|
1 624
|
4 859
|
7 671
|
13 878
|
17 412
|
19 169
|
27 807
|
35 012
|
46 308
|
55 886
|
55 423
|
60 785
|
47 582
|
76 622
|
81 366
|
81 401
|
97 131
|
45 329
|
46 449
|
76 009
|
243 351
|
249 219
|
251 936
|
|
| Other Current Assets |
138
|
299
|
1 578
|
2 039
|
3 554
|
5 150
|
18 660
|
7 089
|
10 038
|
10 520
|
108 414
|
197 860
|
70 592
|
32 069
|
26 373
|
34 261
|
29 363
|
52 794
|
27 000
|
27 605
|
31 801
|
56 623
|
72 106
|
71 002
|
|
| Total Current Assets |
18 081
|
23 679
|
57 488
|
68 778
|
112 585
|
169 193
|
221 784
|
295 811
|
414 602
|
445 602
|
497 764
|
435 493
|
479 065
|
401 291
|
475 176
|
326 642
|
370 615
|
475 398
|
305 231
|
374 475
|
448 204
|
761 377
|
856 918
|
1 045 795
|
|
| PP&E Net |
24 783
|
29 267
|
98 467
|
122 900
|
168 873
|
196 164
|
255 833
|
315 261
|
584 001
|
582 082
|
591 108
|
647 884
|
656 014
|
400 648
|
421 522
|
408 130
|
411 467
|
616 568
|
554 948
|
580 414
|
724 678
|
750 490
|
798 110
|
862 273
|
|
| PP&E Gross |
24 783
|
29 267
|
98 467
|
0
|
168 873
|
0
|
0
|
315 261
|
584 001
|
582 082
|
591 108
|
647 884
|
656 014
|
400 648
|
421 522
|
408 130
|
411 467
|
616 568
|
554 948
|
580 414
|
724 678
|
750 490
|
798 110
|
862 273
|
|
| Accumulated Depreciation |
6 848
|
9 291
|
28 833
|
0
|
43 714
|
0
|
0
|
136 848
|
187 237
|
251 270
|
302 911
|
341 755
|
417 995
|
625 403
|
407 887
|
432 399
|
457 958
|
502 048
|
488 719
|
514 053
|
537 143
|
577 295
|
606 099
|
660 015
|
|
| Intangible Assets |
348
|
832
|
32 637
|
33 753
|
43 146
|
44 273
|
58 883
|
88 472
|
84 810
|
92 418
|
72 474
|
67 560
|
73 211
|
97 950
|
112 307
|
107 716
|
97 666
|
112 125
|
91 138
|
99 749
|
139 184
|
161 208
|
163 615
|
208 815
|
|
| Goodwill |
1 348
|
638
|
2 105
|
4 831
|
9 511
|
13 541
|
21 130
|
41 245
|
49 925
|
57 247
|
51 551
|
51 936
|
43 671
|
45 992
|
47 256
|
52 224
|
54 081
|
59 488
|
55 388
|
57 204
|
88 050
|
98 011
|
93 371
|
105 807
|
|
| Note Receivable |
169
|
317
|
36
|
125
|
0
|
12 225
|
36 070
|
42 805
|
38 318
|
55 419
|
74 147
|
68 918
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
13 645
|
18 157
|
5 623
|
6 995
|
30 584
|
68 997
|
69 531
|
81 442
|
66 214
|
49 448
|
86 194
|
53 525
|
123 339
|
157 246
|
194 236
|
169 481
|
149 842
|
153 560
|
210 632
|
245 156
|
291 656
|
260 618
|
350 638
|
431 873
|
|
| Other Long-Term Assets |
1 339
|
1 492
|
3 605
|
5 875
|
11 518
|
25 468
|
34 459
|
25 036
|
35 527
|
66 287
|
40 144
|
41 184
|
47 159
|
33 814
|
41 296
|
39 896
|
53 978
|
48 266
|
46 190
|
64 318
|
67 113
|
66 901
|
86 576
|
106 853
|
|
| Other Assets |
1 348
|
638
|
2 105
|
4 831
|
9 511
|
13 541
|
21 130
|
41 245
|
49 925
|
57 247
|
51 551
|
51 936
|
43 671
|
45 992
|
47 256
|
52 224
|
54 081
|
59 488
|
55 388
|
57 204
|
88 050
|
98 011
|
93 371
|
105 807
|
|
| Total Assets |
59 713
N/A
|
74 383
+25%
|
199 960
+169%
|
243 257
+22%
|
376 217
+55%
|
529 861
+41%
|
697 692
+32%
|
890 073
+28%
|
1 273 397
+43%
|
1 348 504
+6%
|
1 413 382
+5%
|
1 366 500
-3%
|
1 422 459
+4%
|
1 136 941
-20%
|
1 291 793
+14%
|
1 104 089
-15%
|
1 137 649
+3%
|
1 465 405
+29%
|
1 263 527
-14%
|
1 421 316
+12%
|
1 758 885
+24%
|
2 098 605
+19%
|
2 349 228
+12%
|
2 761 416
+18%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
1 778
|
2 078
|
6 866
|
10 004
|
17 094
|
22 856
|
31 289
|
50 489
|
42 924
|
54 287
|
70 473
|
76 651
|
103 414
|
115 158
|
136 979
|
110 879
|
114 402
|
126 917
|
89 203
|
102 148
|
134 033
|
129 088
|
158 687
|
205 798
|
|
| Accrued Liabilities |
2 689
|
4 506
|
17 748
|
20 433
|
28 548
|
23 591
|
36 653
|
43 679
|
71 896
|
102 161
|
76 067
|
88 861
|
33 955
|
32 013
|
35 479
|
34 291
|
14 378
|
20 409
|
16 065
|
15 540
|
22 896
|
39 546
|
39 819
|
42 578
|
|
| Short-Term Debt |
10 594
|
11 937
|
15 285
|
6 127
|
18 329
|
34 141
|
17 811
|
44 739
|
16 349
|
33 403
|
9 646
|
8 929
|
1 343
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
2 191
|
3 411
|
24 677
|
18 505
|
29 231
|
31 124
|
85 611
|
176 214
|
226 688
|
192 458
|
233 409
|
215 124
|
208 341
|
126 008
|
142 657
|
83 109
|
142 168
|
130 099
|
145 514
|
101 163
|
232 641
|
328 140
|
541 733
|
798 372
|
|
| Other Current Liabilities |
3 966
|
5 327
|
8 731
|
13 423
|
16 265
|
42 577
|
35 291
|
23 658
|
41 789
|
43 510
|
58 481
|
48 680
|
93 925
|
154 535
|
224 211
|
157 622
|
247 771
|
285 290
|
248 932
|
269 888
|
340 627
|
376 432
|
522 785
|
658 766
|
|
| Total Current Liabilities |
21 219
|
27 260
|
73 308
|
68 492
|
109 467
|
154 289
|
206 655
|
338 779
|
399 645
|
425 819
|
448 076
|
438 245
|
440 978
|
427 714
|
539 326
|
385 901
|
518 719
|
562 715
|
499 714
|
488 739
|
730 197
|
873 206
|
1 263 024
|
1 705 514
|
|
| Long-Term Debt |
9 944
|
9 246
|
43 293
|
69 218
|
92 232
|
139 872
|
153 361
|
212 501
|
345 557
|
373 178
|
386 753
|
380 756
|
379 445
|
336 425
|
414 103
|
395 017
|
393 651
|
775 603
|
640 981
|
788 373
|
808 749
|
918 732
|
833 672
|
848 459
|
|
| Deferred Income Tax |
716
|
1 287
|
8 142
|
6 058
|
6 837
|
7 636
|
10 516
|
15 423
|
48 823
|
50 034
|
45 464
|
62 529
|
64 348
|
38 130
|
41 664
|
40 753
|
38 160
|
40 161
|
36 172
|
34 769
|
42 406
|
58 022
|
44 155
|
55 778
|
|
| Minority Interest |
11 104
|
12 391
|
39 659
|
51 292
|
65 960
|
95 448
|
122 534
|
118 116
|
218 748
|
194 103
|
205 753
|
148 229
|
164 257
|
77 687
|
62 914
|
57 770
|
74 957
|
45 911
|
24 353
|
22 482
|
40 545
|
83 143
|
74 380
|
77 355
|
|
| Other Liabilities |
4 105
|
5 208
|
6 637
|
8 406
|
8 789
|
11 254
|
41 023
|
35 599
|
54 714
|
61 809
|
68 536
|
55 805
|
34 443
|
100 965
|
51 103
|
65 447
|
64 296
|
23 898
|
20 932
|
22 106
|
52 087
|
61 305
|
67 707
|
60 779
|
|
| Total Liabilities |
47 088
N/A
|
55 391
+18%
|
171 038
+209%
|
203 466
+19%
|
283 285
+39%
|
408 499
+44%
|
534 089
+31%
|
720 419
+35%
|
1 067 488
+48%
|
1 104 942
+4%
|
1 154 582
+4%
|
1 085 563
-6%
|
1 083 472
0%
|
980 921
-9%
|
1 109 110
+13%
|
944 888
-15%
|
1 089 783
+15%
|
1 448 288
+33%
|
1 222 152
-16%
|
1 356 469
+11%
|
1 673 984
+23%
|
1 994 408
+19%
|
2 282 938
+14%
|
2 747 885
+20%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
5
|
5
|
5
|
695
|
864
|
791
|
738
|
917
|
911
|
919
|
968
|
918
|
989
|
869
|
869
|
869
|
869
|
869
|
869
|
869
|
869
|
869
|
869
|
869
|
|
| Retained Earnings |
7 015
|
12 651
|
22 899
|
32 266
|
48 749
|
68 158
|
99 142
|
122 046
|
169 067
|
197 841
|
206 642
|
217 262
|
295 795
|
89 444
|
112 921
|
91 290
|
17 375
|
63 572
|
36 020
|
27 025
|
21 393
|
2 897
|
41 569
|
72 109
|
|
| Additional Paid In Capital |
5 735
|
6 416
|
5 553
|
5 511
|
42 526
|
57 811
|
59 927
|
74 974
|
52 904
|
64 211
|
82 919
|
88 077
|
86 060
|
72 202
|
80 778
|
87 369
|
67 856
|
73 375
|
75 045
|
75 279
|
95 075
|
94 501
|
92 168
|
89 316
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
9 135
|
11 532
|
14 235
|
14 135
|
14 177
|
15 041
|
15 310
|
14 035
|
6 913
|
4 806
|
6 575
|
5 816
|
4 759
|
5 971
|
3 029
|
6 435
|
5 675
|
732
|
3 026
|
|
| Other Equity |
131
|
81
|
465
|
1 319
|
792
|
3 736
|
15 328
|
14 049
|
2 839
|
5 232
|
16 688
|
10 010
|
29 822
|
418
|
7 079
|
13 752
|
2 332
|
11 204
|
7 452
|
18 753
|
16 785
|
17 399
|
15 554
|
1 519
|
|
| Total Equity |
12 625
N/A
|
18 991
+50%
|
28 922
+52%
|
39 791
+38%
|
92 931
+134%
|
121 361
+31%
|
163 603
+35%
|
169 654
+4%
|
205 909
+21%
|
243 562
+18%
|
258 800
+6%
|
280 937
+9%
|
338 987
+21%
|
156 020
-54%
|
182 683
+17%
|
159 201
-13%
|
47 866
-70%
|
17 117
-64%
|
41 375
+142%
|
64 847
+57%
|
84 901
+31%
|
104 197
+23%
|
66 290
-36%
|
13 531
-80%
|
|
| Total Liabilities & Equity |
59 713
N/A
|
74 383
+25%
|
199 960
+169%
|
243 257
+22%
|
376 217
+55%
|
529 861
+41%
|
697 692
+32%
|
890 073
+28%
|
1 273 397
+43%
|
1 348 504
+6%
|
1 413 382
+5%
|
1 366 500
-3%
|
1 422 459
+4%
|
1 136 941
-20%
|
1 291 793
+14%
|
1 104 089
-15%
|
1 137 649
+3%
|
1 465 405
+29%
|
1 263 527
-14%
|
1 421 316
+12%
|
1 758 885
+24%
|
2 098 605
+19%
|
2 349 228
+12%
|
2 761 416
+18%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
8 100
|
8 100
|
8 100
|
8 100
|
9 650
|
9 650
|
9 276
|
9 279
|
9 279
|
9 282
|
9 268
|
9 210
|
9 275
|
9 436
|
9 408
|
9 397
|
9 438
|
9 479
|
9 378
|
9 506
|
9 393
|
9 420
|
9 620
|
9 489
|
|