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TATNEFT PJSC (OAOFY)
OTHER OTC:OAOFY
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TATNEFT PJSC (OAOFY) Financial Statements

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TATNEFT PJSC Financial Overview

TATNEFT PJSC's market cap is currently ―. The company's EPS TTM is $; its P/E ratio is ―; TATNEFT PJSC is scheduled to report earnings on August 27, 2024, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 22Dec 21Sep 21Jun 21Mar 21
Income Statement-
Total Revenue-₽ 372.66B₽ 323.84B₽ 311.05B₽ 257.83B
Gross Profit-₽ 334.78B₽ 279.11B₽ 264.39B₽ 218.60B
EBIT-₽ 75.70B₽ 69.27B₽ 66.69B₽ 58.82B
EBITDA-₽ 87.39B₽ 80.05B₽ 76.47B₽ 69.22B
Net Income Common Stockholders-₽ 48.40B₽ 52.06B₽ 48.64B₽ 43.59B
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments₽ 227.94B₽ 169.27B₽ 161.17B₽ 139.43B₽ 102.12B
Total Assets₽ 1.63T₽ 1.50T₽ 1.45T₽ 1.38T₽ 1.32T
Total Debt₽ 41.13B₽ 72.91B₽ 87.68B₽ 68.76B₽ 59.25B
Net Debt₽ -186.81B₽ -96.36B₽ -73.49B₽ -70.67B₽ -42.87B
Total Liabilities₽ 593.81B₽ 558.91B₽ 534.54B₽ 487.19B₽ 442.43B
Stockholders Equity₽ 1.04T₽ 938.39B₽ 907.33B₽ 891.91B₽ 870.95B
Cash Flow-
Free Cash Flow-₽ 34.70B₽ 54.28B₽ 27.45B₽ 31.96B
Operating Cash Flow-₽ 81.01B₽ 84.72B₽ 52.39B₽ 49.38B
Investing Cash Flow-₽ -20.98B₽ -38.88B₽ -84.63B₽ -28.15B
Financing Cash Flow-₽ -39.09B₽ -26.56B₽ -1.79B₽ -862.00M
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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