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