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Quarterly report 2026-Q2
added 09-06-2026

Сегежа Групп Financial Statements 2025-2021 | SGZH

Key Metrics Сегежа Групп

2025 2024 2023 2022 2021

Operating Cash Flow Per Share

-0.337 -0.809 -0.632 -0.001 0.835

Free Cash Flow Per Share

-0.39 -1 -1 -2 -2

Cash Per Share

0.038 0.296 0.682 1.46 0.803

Price To Sales Ratio

1 0.2 0.66 0.74 2

Dividend Yield

- - - - 0.096

Payout Ratio

- - - - 1

Revenue Per Share

1.14 6.49 5.64 6.18 5.89

Net Income Per Share

-1 -1 -1 0.35 0.97

Book Value Per Share

-0.06 -0.29 1 2 3

Tangible Book Value Per Share

-0.06 -0.29 1 2 3

Shareholders Equity Per Share

-0.06 -0.29 1 2 3

Interest Debt Per Share

0.894 9.71 8.49 7.89 4.7

Market Cap

93.8 B 20.4 B 58.6 B 71.8 B 174 B

Enterprise Value

161 B 168 B 181 B 173 B 235 B

P/E Ratio

-1 -0.92 -4 13 11

P/OCF Ratio

-3.55 -1.61 -5.91 -7.18 K 13.3

P/FCF Ratio

-2.96 -0.899 -3.32 -7.03 -17.4

P/B Ratio

-21 -5 3 2 4

EV/Sales

1.8 1.65 2.05 1.78 2.55

EV/EBITDA

-4 17 20 7 8

EV/OCF

-6.09 -13.2 -18.3 -17.3 K 18

Earnings Yield

-0.941 -1.09 -0.285 0.077 0.088

Free Cash Flow Yield

-0.328 -0.922 -0.34 -0.398 -0.174

Debt To Equity

-15.9 -34 7.53 3.42 1.85

Debt To Assets

0.495 0.738 0.64 0.543 0.352

Net Debt To EBITDA

-2 15 13 4 2

Interest Coverage

-2.65 -0.176 -0.316 0.857 8.78

Income Quality

0.299 0.57 0.593 -0.002 0.856

Sales General And Administrative To Revenue

0.317 0.285 0.285 0.246 0.203

Capex To Operating Cash Flow

-0.2 -0.787 -0.783 -1.02 K 1.76

Capex To Revenue

0.06 0.1 0.09 0.11 0.25

Capex To Depreciation

0.365 0.704 0.566 0.699 3.35

Return On Tangible Assets, ROTA

-0.623 -0.108 -0.08 0.024 0.073

Tangible Asset Value

-4.4 B -4.48 B 17.7 B 36.2 B 39.8 B

Invested Capital

65.7 B 148 B 151 B 160 B 114 B

Return On Equity, ROE

-374 -20 -0.715 0.132 0.331

Capex Per Share

0.067 0.637 0.495 0.65 1.47

All numbers in RUB currency

Quarterly Key Metrics Сегежа Групп

2026-Q2 2026-Q1 2025-Q4 2025-Q3 2025-Q2 2025-Q1

Price To Sales Ratio

0.55 1.11 1.05 1.14 1.22 0.25

Market Cap

45.5 B 91 B 93.8 B 107 B 119 B 25.5 B

Enterprise Value

122 B 165 B 161 B 169 B 177 B 179 B

P/E Ratio

-0.56 -1.02 -1.06 -2.72 -3.46 -1.07

P/B Ratio

-2.32 -7.44 -21.3 2.1 1.94 -2.27

EV/EBITDA

-3.22 -4.35 -4.45 74.4 33.6 19.2

Return On Equity, ROE

5 12 -374 -0.702 -0.517 4

All numbers in RUB currency

Financial statements are the primary tool companies use to inform stakeholders about their financial position, performance, and changes in capital structure. It is a kind of "business language" understood by investors, creditors, tax authorities, and other participants in the economic environment.

Main types of financial statements Сегежа Групп SGZH
  1. Income Statement
    Shows income, expenses, and resulting profit or loss over a specific period. Helps assess business profitability.
  2. Balance Sheet
    Reflects a company’s assets, liabilities, and equity as of a specific date. It’s a snapshot of what the company owns and owes.
    Assets — everything the company owns (cash, equipment, buildings, accounts receivable, etc.).
    Liabilities — debts and other external sources of financing.
    Equity — owners' capital and retained earnings.
  3. Cash Flow Statement
    Reveals how the company earns and spends money in three areas: operating, investing, and financing activities.
International reporting standards
  • IFRS — International Financial Reporting Standards, applicable to public and multinational companies.
  • GAAP — Generally Accepted Accounting Principles used in the United States.
  • RAS — Russian Accounting Standards, used domestically in Russia.

Financial reporting Сегежа Групп plays a crucial role for investors as it serves as an objective source of information about a company's current state. Based on the reports, one can determine whether a company is growing, stagnating, or losing market share. This allows investors to identify both promising and problematic assets in a timely manner.

In addition, financial data provides a basis for forecasting future returns. Historical trends in revenue, profit, and cash flow help evaluate potential dividends, the likelihood of stock price growth, and overall investment risk.

Transparent and accurate reporting is also an indicator of a company’s maturity and managerial responsibility. Such openness builds investor confidence and simplifies investment decision-making, especially when comparing multiple companies.

Finally, financial statements enable high-quality comparative analysis. They allow companies to be evaluated against each other in terms of profitability, debt levels, margins, and other key metrics — which is particularly important when choosing the best investment options within an industry or market segment.