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TATNEFT PJSC (OAOFY)
OTHER OTC:OAOFY
US Market

TATNEFT PJSC (OAOFY) Financial Statements

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TATNEFT PJSC Financial Overview

TATNEFT PJSC's market cap is currently $11.18B. The company's EPS TTM is $; its P/E ratio is 2.41; TATNEFT PJSC is scheduled to report earnings on ―, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Mar 21
Income Statement
Total Revenue₽ 2.08T₽ 1.59T₽ 1.64T₽ 1.21T₽ 795.82B
Gross Profit₽ 1.60T₽ 988.59B₽ 1.27T₽ 895.07B₽ 665.61B
Operating Income₽ 413.06B₽ 356.64B₽ 424.14B₽ 247.35B₽ 438.55B
EBITDA₽ 475.30B₽ 399.81B₽ 433.42B₽ 295.79B₽ 185.55B
Net Income₽ 306.14B₽ 287.92B₽ 303.59B₽ 198.41B₽ 103.49B
Balance Sheet
Cash & Short-Term Investments₽ 149.08B₽ 121.98B₽ 180.28B₽ 174.65B₽ 70.58B
Total Assets₽ 2.20T₽ 2.05T₽ 1.68T₽ 1.50T₽ 1.26T
Total Debt₽ 31.42B₽ 48.01B₽ 25.26B₽ 72.91B₽ 63.04B
Net Debt₽ -860.31B₽ -36.10B₽ -142.98B₽ 6.43B₽ 22.94B
Total Liabilities₽ 874.66B₽ 848.00B₽ 571.39B₽ 558.91B₽ 431.85B
Stockholders' Equity₽ 1.32T₽ 1.19T₽ 1.10T₽ 938.39B₽ 827.67B
Cash Flow
Free Cash Flow₽ 254.16B₽ 103.03B₽ 208.80B₽ 148.39B₽ 95.70B
Operating Cash Flow₽ 425.13B₽ 326.63B₽ 375.68B₽ 267.49B₽ 200.37B
Investing Cash Flow₽ -181.64B₽ -296.91B₽ -117.05B₽ -172.64B₽ -105.29B
Financing Cash Flow₽ -212.98B₽ -121.57B₽ -132.01B₽ -68.31B₽ -86.68B
Currency in RUB

TATNEFT PJSC Earnings and Revenue History

TATNEFT PJSC Debt to Assets

TATNEFT PJSC Cash Flow

TATNEFT PJSC Forecast EPS vs Actual EPS

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