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Якутскэнерго YKEN

Якутскэнерго Bargeldumlauf 2004-2025 | YKEN

Bargeldumlauf Jährlich Якутскэнерго

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2004

Net Income

9.59 B -12.2 B -3.35 B -3.06 B 5.84 B -5.16 B -2.01 B 1.99 B 2.17 B 1.76 B 356 M 1.85 B 622 M -123 M 144 M 363 M 370 M

Depreciation And Amortization

1.85 B 2.56 B 2.4 B 2.54 B 1.02 B 1.31 B 1.43 B 1.43 B 1.58 B 1.29 B 2.77 B 802 M 647 M 492 M 474 M 406 M -

Deferred Income Tax

- - - - - - - - - - - - - - - - -

Stock Based Compensation

- - - - - - - - - - - - - - - - -

Change In Working Capital

-4.12 B 1.31 B - - -2.09 B -549 M -660 M -1.36 B -2.67 B -354 M -546 M -1.69 B 43 M -319 M -269 M 550 M 2.64 B

Other Working Capital

967 M 1.35 B - - -1.63 B -21 M -440 M -625 M -1.53 B - 490 M -765 M 589 M 13 M 149 M 1.45 B 1

Other Non Cash Items

-6.65 B 12.8 B -281 M 560 M -1.17 B 7.81 B 4.43 B 701 M 1.19 B 601 M 1.14 B 874 M 1.11 B 651 M 711 M 285 M -2.64 B

Investments In Property Plant And Equipment

-5.95 B -4.61 B -2 B -2.38 B -4.03 B -2.52 B -1.84 B -1.67 B -2.25 B -2.63 B -3.33 B -1.79 B -1.34 B -1.06 B -1.77 B -1.51 B -249 M

Acquisitions Net

-185 M - - - 3 M 5 M 3 M - - - - - - - - - 485 K

Purchases Of Investments

- - - - - - - - - - - - - - - - -271 M

Sales Maturities Of Investments

- - - - 33 M - - - - - - - - - - - 976 K

Other Investing Activites

138 M 71 M 36 M 23 M 46 M 227 M 98 M 81 M -17 M 138 M 11 M 7 M 80 M 333 M 12 M 13 M -253 M

Net Cash Used For Investing Activites

-5.99 B -4.54 B -1.96 B -2.35 B -3.95 B -2.29 B -1.74 B -1.59 B -2.26 B -2.49 B -3.32 B -1.79 B -1.26 B -722 M -1.75 B -1.5 B -773 M

Debt Repayment

8.24 B 3.27 B 3.12 B 1.7 B 1.2 B 539 M -101 M 582 M 1.22 B 302 M 392 M 396 M -362 M 1.53 B 1.37 B 592 M 402 M

Common Stock Repurchased

- - - - - - - - - - - - - - - - -

Dividends Paid

- - - - - - - - - - -14 M -10 M -74 M -37 M -36 M -188 M -

Other Financing Activites

-3.19 B -2.88 B - 64 K -763 M -1.05 B -1.55 B -1.68 B -1.21 B -1.08 B -980 M -89 M -981 M -1.07 B -693 M -105 M -

Net Cash Used Provided By Financing Activities

5.05 B 395 M 3.12 B 1.7 B 440 M -513 M -1.65 B -1.1 B 10 M -783 M -602 M 143 M -1.42 B 424 M 642 M -89 M 405 M

Effect Of Forex Changes On Cash

- - 58 K -1.5 M - - - - - - - - - - - - -

Net Change In Cash

-273 M 287 M -73.6 M -759 M 98 M 605 M -201 M 83 M 25 M 29 M -202 M 189 M -251 M 403 M -52 M 17 M -

Cash At End Of Period

262 M 535 M 95.8 M 169 M 928 M 830 M 225 M 426 M 343 M 318 M 289 M 491 M 302 M 553 M 150 M 202 M 68.2 M

Cash At Beginning Of Period

535 M 248 M 169 M 928 M 830 M 225 M 426 M 343 M 318 M 289 M 491 M 302 M 553 M 150 M 202 M 185 M -

Operating Cash Flow

670 M 4.43 B -1.23 B 43 M 3.61 B 3.41 B 3.19 B 2.77 B 2.28 B 3.3 B 3.72 B 1.83 B 2.42 B 701 M 1.06 B 1.6 B 368 M

Capital Expenditure

-5.95 B -4.61 B -2 B -2.38 B -4.03 B -2.52 B -1.84 B -1.67 B -2.25 B -2.63 B -3.33 B -1.79 B -1.34 B -1.06 B -1.77 B -1.51 B -249 M

Free Cash Flow

-5.28 B -179 M -3.23 B -2.33 B -421 M 891 M 1.35 B 1.1 B 32 M 674 M 389 M 39 M 1.09 B -354 M -706 M 93 M 119 M

Alle Zahlen in RUB-Währung