Group of Companies TNS energo (MOEX:TNSE)
Russia flag Russia · Delayed Price · Currency is RUB
705.00
-10.00 (-1.40%)
At close: Jul 8, 2022

MOEX:TNSE Cash Flow Statement

Millions RUB. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Net Income
11,63910,6308,6874,6283,391-3,957
Depreciation & Amortization
621.37569.83438.11416.98450.16447.06
Other Amortization
101.91114.5456.95144.76120.72121.1
Loss (Gain) on Sale of Assets
----10.35-8.37-13.7
Loss (Gain) on Equity Investments
2.365.450.02-0.03-0.6-0.75
Asset Writedown
25.89---230.38255.41-
Change in Accounts Receivable
4,0353,1317,1912,4562,4061,423
Change in Inventory
0.068.85-6.274.93-6.5118.26
Change in Accounts Payable
-6,499-4,720-3,937227.08-2,4258,272
Change in Other Net Operating Assets
8,6215,8014,631727.45666.91-215.02
Other Operating Activities
-7,183-5,728-3,861461.59905.31-3,414
Operating Cash Flow
11,3649,81313,2008,8265,7552,681
Operating Cash Flow Growth
12.29%-25.66%49.56%53.36%114.63%-
Capital Expenditures
-2,327-1,745-1,455-1,035-1,119-511.46
Sale of Property, Plant & Equipment
111.1837.3749.7516.8160.9464.23
Cash Acquisitions
----11.37-
Divestitures
------136.62
Sale (Purchase) of Intangibles
-127.94-117.66-95.87-146.44-114.76-118.27
Investment in Securities
416.26407.26-210---
Other Investing Activities
5,4644,1201,424644.18280.33138.85
Investing Cash Flow
3,5372,703-242.97-520.66-880.89-563.26
Long-Term Debt Issued
-50,40992,658100,658103,949115,867
Long-Term Debt Repaid
--56,649-97,963-104,879-111,141-115,966
Net Debt Issued (Repaid)
-7,162-6,241-5,305-4,220-7,192-99.3
Issuance of Common Stock
888.953,158----
Repurchase of Common Stock
------3.07
Common Dividends Paid
-115.85-106.43-70.93-104.64-1.17-11.77
Other Financing Activities
-1.39-999.93-1,692-3,229119.721,400
Financing Cash Flow
-6,390-4,189-7,068-7,554-7,0741,286
Net Cash Flow
8,5118,3265,889751.18-2,2003,403
Free Cash Flow
9,0388,06811,7447,7914,6362,170
Free Cash Flow Growth
5.77%-31.30%50.75%68.04%113.67%-
Free Cash Flow Margin
2.46%2.30%3.65%2.59%1.59%0.80%
Free Cash Flow Per Share
671.24673.491166.86699.58364.04167.21
Cash Interest Paid
1,5492,5592,2603,2873,2553,538
Cash Income Tax Paid
7,8665,6314,4461,714361.911,538
Levered Free Cash Flow
13,72311,42910,5907,9605,3174,118
Unlevered Free Cash Flow
14,84212,92511,9359,5596,9165,931
Change in Working Capital
6,1574,2217,8793,415641.129,498
Updated Jun 30, 2025. Source: S&P Global Market Intelligence. Utility template. Financial Sources.