NK Rosneft' PAO
MOEX:ROSN
Cash Flow Statement
Cash Flow Statement
NK Rosneft' PAO
| Sep-2012 | Dec-2012 | Mar-2013 | Jun-2013 | Sep-2013 | Dec-2013 | Mar-2014 | Jun-2014 | Sep-2014 | Dec-2014 | Mar-2015 | Jun-2015 | Sep-2015 | Dec-2015 | Mar-2016 | Jun-2016 | Sep-2016 | Dec-2016 | Mar-2017 | Jun-2017 | Sep-2017 | Dec-2017 | Mar-2018 | Jun-2018 | Sep-2018 | Dec-2018 | Mar-2019 | Jun-2019 | Sep-2019 | Dec-2019 | Mar-2020 | Jun-2020 | Sep-2020 | Dec-2020 | Mar-2021 | Jun-2021 | Sep-2021 | Dec-2021 | Jun-2023 | Sep-2023 | Dec-2023 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
| Net Income |
391 000
|
365 000
|
496 000
|
523 000
|
479 000
|
551 000
|
395 000
|
541 000
|
399 000
|
350 000
|
318 000
|
280 000
|
392 000
|
356 000
|
314 000
|
271 000
|
188 000
|
192 000
|
195 000
|
179 000
|
218 000
|
297 000
|
375 000
|
556 000
|
653 000
|
649 000
|
710 000
|
674 000
|
758 000
|
805 000
|
506 000
|
331 000
|
31 000
|
166 000
|
477 000
|
695 000
|
1 090 000
|
1 012 000
|
735 000
|
1 272 000
|
1 529 000
|
|
| Depreciation & Amortization |
184 000
|
206 000
|
213 000
|
270 000
|
324 000
|
392 000
|
441 000
|
446 000
|
453 000
|
464 000
|
480 000
|
494 000
|
499 000
|
450 000
|
445 000
|
435 000
|
434 000
|
489 000
|
521 000
|
556 000
|
580 000
|
586 000
|
590 000
|
599 000
|
618 000
|
635 000
|
657 000
|
664 000
|
673 000
|
687 000
|
689 000
|
690 000
|
678 000
|
663 000
|
642 000
|
640 000
|
651 000
|
668 000
|
0
|
0
|
0
|
|
| Other Non-Cash Items |
91 000
|
51 000
|
(93 000)
|
(55 000)
|
52 000
|
19 000
|
314 000
|
133 000
|
361 000
|
463 000
|
449 000
|
540 000
|
345 000
|
333 000
|
295 000
|
330 000
|
335 000
|
328 000
|
337 000
|
295 000
|
280 000
|
331 000
|
327 000
|
458 000
|
595 000
|
586 000
|
658 000
|
552 000
|
423 000
|
379 000
|
561 000
|
318 000
|
413 000
|
172 000
|
(118 000)
|
128 000
|
(18 000)
|
356 000
|
0
|
0
|
0
|
|
| Cash Taxes Paid |
84 000
|
76 000
|
75 000
|
66 000
|
78 000
|
91 000
|
92 000
|
125 000
|
133 000
|
115 000
|
145 000
|
118 000
|
109 000
|
112 000
|
73 000
|
77 000
|
75 000
|
85 000
|
100 000
|
99 000
|
110 000
|
112 000
|
144 000
|
167 000
|
192 000
|
221 000
|
216 000
|
233 000
|
220 000
|
216 000
|
216 000
|
177 000
|
152 000
|
126 000
|
129 000
|
156 000
|
195 000
|
238 000
|
0
|
0
|
0
|
|
| Cash Interest Paid |
27 000
|
29 000
|
32 000
|
40 000
|
53 000
|
63 000
|
77 000
|
81 000
|
84 000
|
96 000
|
117 000
|
122 000
|
136 000
|
137 000
|
135 000
|
141 000
|
139 000
|
143 000
|
145 000
|
169 000
|
189 000
|
219 000
|
236 000
|
246 000
|
267 000
|
284 000
|
295 000
|
301 000
|
292 000
|
280 000
|
274 000
|
264 000
|
258 000
|
256 000
|
250 000
|
252 000
|
256 000
|
262 000
|
0
|
0
|
0
|
|
| Change in Working Capital |
(165 000)
|
(101 000)
|
190 000
|
132 000
|
119 000
|
251 000
|
362 000
|
425 000
|
435 000
|
349 000
|
(41 000)
|
(21 000)
|
1 014 000
|
1 056 000
|
1 113 000
|
948 000
|
(124 000)
|
(330 000)
|
(430 000)
|
(496 000)
|
(717 000)
|
(877 000)
|
(838 000)
|
(870 000)
|
(615 000)
|
(368 000)
|
(546 000)
|
(545 000)
|
(710 000)
|
(761 000)
|
(553 000)
|
(308 000)
|
(155 000)
|
744 000
|
563 000
|
352 000
|
327 000
|
(870 000)
|
249 000
|
674 000
|
1 236 000
|
|
| Cash from Operating Activities |
501 000
N/A
|
521 000
+4%
|
806 000
+55%
|
870 000
+8%
|
974 000
+12%
|
1 213 000
+25%
|
1 512 000
+25%
|
1 545 000
+2%
|
1 648 000
+7%
|
1 626 000
-1%
|
1 206 000
-26%
|
1 293 000
+7%
|
2 250 000
+74%
|
2 195 000
-2%
|
2 167 000
-1%
|
1 984 000
-8%
|
833 000
-58%
|
679 000
-18%
|
623 000
-8%
|
534 000
-14%
|
361 000
-32%
|
337 000
-7%
|
454 000
+35%
|
743 000
+64%
|
1 251 000
+68%
|
1 502 000
+20%
|
1 479 000
-2%
|
1 345 000
-9%
|
1 144 000
-15%
|
1 110 000
-3%
|
1 203 000
+8%
|
1 031 000
-14%
|
967 000
-6%
|
1 745 000
+80%
|
1 564 000
-10%
|
1 815 000
+16%
|
2 050 000
+13%
|
1 166 000
-43%
|
984 000
-16%
|
1 946 000
+98%
|
2 765 000
+42%
|
|
| Investing Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
| Capital Expenditures |
(487 000)
|
(478 000)
|
(457 000)
|
(487 000)
|
(512 000)
|
(573 000)
|
(579 000)
|
(644 000)
|
(650 000)
|
(750 000)
|
(777 000)
|
(695 000)
|
(696 000)
|
(596 000)
|
(642 000)
|
(658 000)
|
(685 000)
|
(720 000)
|
(795 000)
|
(867 000)
|
(928 000)
|
(956 000)
|
(975 000)
|
(981 000)
|
(980 000)
|
(939 000)
|
(931 000)
|
(923 000)
|
(895 000)
|
(865 000)
|
(835 000)
|
(797 000)
|
(800 000)
|
(789 000)
|
(835 000)
|
(886 000)
|
(929 000)
|
(1 073 000)
|
(599 000)
|
(909 000)
|
(1 297 000)
|
|
| Other Items |
28 000
|
26 000
|
(1 198 000)
|
(1 305 000)
|
(1 461 000)
|
(1 647 000)
|
(675 000)
|
(633 000)
|
(568 000)
|
(229 000)
|
155 000
|
243 000
|
99 000
|
(217 000)
|
(54 000)
|
(45 000)
|
312 000
|
(253 000)
|
(510 000)
|
(524 000)
|
(916 000)
|
(206 000)
|
(205 000)
|
(343 000)
|
(25 000)
|
140 000
|
129 000
|
305 000
|
297 000
|
136 000
|
144 000
|
92 000
|
(21 000)
|
(905 000)
|
(838 000)
|
(852 000)
|
(1 018 000)
|
(225 000)
|
30 000
|
67 000
|
104 000
|
|
| Cash from Investing Activities |
(459 000)
N/A
|
(452 000)
+2%
|
(1 655 000)
-266%
|
(1 792 000)
-8%
|
(1 973 000)
-10%
|
(2 220 000)
-13%
|
(1 254 000)
+44%
|
(1 277 000)
-2%
|
(1 218 000)
+5%
|
(979 000)
+20%
|
(622 000)
+36%
|
(452 000)
+27%
|
(597 000)
-32%
|
(813 000)
-36%
|
(696 000)
+14%
|
(703 000)
-1%
|
(373 000)
+47%
|
(973 000)
-161%
|
(1 305 000)
-34%
|
(1 391 000)
-7%
|
(1 844 000)
-33%
|
(1 162 000)
+37%
|
(1 180 000)
-2%
|
(1 324 000)
-12%
|
(1 005 000)
+24%
|
(799 000)
+20%
|
(802 000)
0%
|
(618 000)
+23%
|
(598 000)
+3%
|
(729 000)
-22%
|
(691 000)
+5%
|
(705 000)
-2%
|
(821 000)
-16%
|
(1 694 000)
-106%
|
(1 673 000)
+1%
|
(1 738 000)
-4%
|
(1 947 000)
-12%
|
(1 298 000)
+33%
|
(569 000)
+56%
|
(842 000)
-48%
|
(1 193 000)
-42%
|
|
| Financing Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
| Net Issuance of Common Stock |
(68 000)
|
(75 000)
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
(2 000)
|
(12 000)
|
(19 000)
|
0
|
(17 000)
|
(7 000)
|
0
|
0
|
0
|
0
|
0
|
|
| Net Issuance of Debt |
218 000
|
250 000
|
1 234 000
|
1 252 000
|
1 144 000
|
1 031 000
|
(171 000)
|
(269 000)
|
(231 000)
|
(361 000)
|
(303 000)
|
(401 000)
|
(820 000)
|
(770 000)
|
(504 000)
|
(515 000)
|
(86 000)
|
571 000
|
379 000
|
368 000
|
748 000
|
346 000
|
456 000
|
595 000
|
38 000
|
45 000
|
(430 000)
|
(460 000)
|
(252 000)
|
(435 000)
|
(80 000)
|
185 000
|
489 000
|
427 000
|
427 000
|
133 000
|
(39 000)
|
72 000
|
39 000
|
(332 000)
|
(566 000)
|
|
| Cash Paid for Dividends |
(34 000)
|
(71 000)
|
0
|
0
|
(123 000)
|
(85 000)
|
0
|
0
|
(305 000)
|
(136 000)
|
0
|
0
|
82 000
|
(87 000)
|
0
|
0
|
(125 000)
|
(125 000)
|
0
|
0
|
(63 000)
|
(104 000)
|
0
|
0
|
(41 000)
|
(225 000)
|
0
|
0
|
(120 000)
|
(283 000)
|
0
|
(303 000)
|
(335 000)
|
(172 000)
|
0
|
(174 000)
|
(66 000)
|
(237 000)
|
0
|
0
|
0
|
|
| Other |
(40 000)
|
(31 000)
|
(38 000)
|
(46 000)
|
(17 000)
|
22 000
|
(145 000)
|
(153 000)
|
(45 000)
|
(277 000)
|
(280 000)
|
(274 000)
|
(443 000)
|
(234 000)
|
(96 000)
|
(40 000)
|
(39 000)
|
199 000
|
241 000
|
297 000
|
268 000
|
139 000
|
57 000
|
(66 000)
|
18 000
|
(48 000)
|
(36 000)
|
(86 000)
|
(227 000)
|
(239 000)
|
(193 000)
|
(235 000)
|
(237 000)
|
275 000
|
236 000
|
277 000
|
621 000
|
146 000
|
(454 000)
|
(795 000)
|
(971 000)
|
|
| Cash from Financing Activities |
76 000
N/A
|
73 000
-4%
|
1 050 000
+1 338%
|
1 128 000
+7%
|
997 000
-12%
|
968 000
-3%
|
(401 000)
N/A
|
(507 000)
-26%
|
(581 000)
-15%
|
(774 000)
-33%
|
(719 000)
+7%
|
(811 000)
-13%
|
(1 181 000)
-46%
|
(1 091 000)
+8%
|
(687 000)
+37%
|
(642 000)
+7%
|
(250 000)
+61%
|
645 000
N/A
|
495 000
-23%
|
540 000
+9%
|
953 000
+76%
|
381 000
-60%
|
409 000
+7%
|
425 000
+4%
|
(55 000)
N/A
|
(228 000)
-315%
|
(691 000)
-203%
|
(771 000)
-12%
|
(754 000)
+2%
|
(957 000)
-27%
|
(558 000)
+42%
|
(365 000)
+35%
|
(102 000)
+72%
|
530 000
N/A
|
493 000
-7%
|
248 000
-50%
|
535 000
+116%
|
(19 000)
N/A
|
(415 000)
-2 084%
|
(1 127 000)
-172%
|
(1 537 000)
-36%
|
|
| Change in Cash | ||||||||||||||||||||||||||||||||||||||||||
| Effect of Foreign Exchange Rates |
(5 000)
|
(9 000)
|
3 000
|
1 000
|
8 000
|
15 000
|
45 000
|
35 000
|
44 000
|
68 000
|
41 000
|
41 000
|
46 000
|
52 000
|
(28 000)
|
(57 000)
|
(80 000)
|
(120 000)
|
(88 000)
|
(39 000)
|
(30 000)
|
(24 000)
|
14 000
|
10 000
|
16 000
|
35 000
|
12 000
|
(4 000)
|
(7 000)
|
(28 000)
|
9 000
|
7 000
|
10 000
|
(3 000)
|
(5 000)
|
(13 000)
|
(19 000)
|
4 000
|
0
|
0
|
0
|
|
| Net Change in Cash |
113 000
N/A
|
133 000
+18%
|
204 000
+53%
|
207 000
+1%
|
6 000
-97%
|
(24 000)
N/A
|
(98 000)
-308%
|
(204 000)
-108%
|
(107 000)
+48%
|
(59 000)
+45%
|
(94 000)
-59%
|
71 000
N/A
|
518 000
+630%
|
343 000
-34%
|
756 000
+120%
|
582 000
-23%
|
130 000
-78%
|
231 000
+78%
|
(275 000)
N/A
|
(356 000)
-29%
|
(560 000)
-57%
|
(468 000)
+16%
|
(303 000)
+35%
|
(146 000)
+52%
|
207 000
N/A
|
510 000
+146%
|
(2 000)
N/A
|
(48 000)
-2 300%
|
(215 000)
-348%
|
(604 000)
-181%
|
(37 000)
+94%
|
(32 000)
+14%
|
54 000
N/A
|
578 000
+970%
|
379 000
-34%
|
312 000
-18%
|
619 000
+98%
|
(147 000)
N/A
|
0
N/A
|
(23 000)
N/A
|
35 000
N/A
|
|
| Free Cash Flow | ||||||||||||||||||||||||||||||||||||||||||
| Free Cash Flow |
14 000
N/A
|
43 000
+207%
|
349 000
+712%
|
383 000
+10%
|
462 000
+21%
|
640 000
+39%
|
933 000
+46%
|
901 000
-3%
|
998 000
+11%
|
876 000
-12%
|
429 000
-51%
|
598 000
+39%
|
1 554 000
+160%
|
1 599 000
+3%
|
1 525 000
-5%
|
1 326 000
-13%
|
148 000
-89%
|
(41 000)
N/A
|
(172 000)
-320%
|
(333 000)
-94%
|
(567 000)
-70%
|
(619 000)
-9%
|
(521 000)
+16%
|
(238 000)
+54%
|
271 000
N/A
|
563 000
+108%
|
548 000
-3%
|
422 000
-23%
|
249 000
-41%
|
245 000
-2%
|
368 000
+50%
|
234 000
-36%
|
167 000
-29%
|
956 000
+472%
|
729 000
-24%
|
929 000
+27%
|
1 121 000
+21%
|
93 000
-92%
|
385 000
+314%
|
1 037 000
+169%
|
1 468 000
+42%
|
|