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AIRA 2023-09-30 9M — report review

Status: OK; Currency: USD; Amounts unit: millions; Forms:

Report published: Not stored for this period — set financial_report_date on the row (EDGAR filingDate, KASE change_date, or manual_catalog).

Full financial report: Link

PDF (local): data/raw_pdfs/AIRA/2023-09-30_Q3_aa-fs-9m-2023-eng-pdf.pdf

To recalculate statement detection and previews from the PDF, use this link The default link runs in the background: a status panel shows phase, elapsed time, rough ETA, CUDA vs CPU, and OOM hints, then loads the finished report. Heavy mode with refresh does this automatically so reverse proxies do not return 502. Add &sync=1 only for one long blocking request (not recommended). You can use ?refresh=1, ?recalc=1, ?nocache=1, or ?recompute=1 on the URL. (block in the browser until done: synchronous refresh)

Default view is fast (metric table + statement page numbers only) so reverse proxies do not time out. Use ?heavy=1 when you need embedded page images and Camelot tables.

Metric mapping (value → extracted evidence)

Metric values use dashboard units where applicable; evidence is the stored snippet from the PDF text layer or OCR used during extraction.

MetricValueEvidence / page extract
Revenue877.93Row: Passenger revenue; 365,540; 329,831; 877,929 · dashboard=877.929 mln · pages 5 — [PL page 5] Passenger revenue | 6 | 365,540 | 329,831 | 877,929 | 726,974
Operating profit128.88Row: Operating profit; 73,045; 75,769; 128,875 · dashboard=128.875 mln · pages 5 — [PL page 5] Operating profit | | 73,045 | 75,769 | 128,875 | 115,889
D&A139Row: Depreciation and amortisation; (41,438); (33,945); (118,429) · dashboard=139.000 mln · pages 5 — [DA PL page 5] Depreciation and amortisation | 11 | (41,438) | (33,945) | (118,429) | (98,884)
EBITDA267.9Row: computed as operating_profit + da · dashboard=267.900 mln — computed as operating_profit + da
Net profit72.39Row: Profit for the period; 48,892; 51,481; 72,392 · dashboard=72.392 mln · pages 5 — [PL page 5] Profit for the period | | 48,892 | 51,481 | 72,392 | 60,967
Cash314.37Row: Cash and bank balances; 314,366; 252,888 · dashboard=314.366 mln · pages 7 — [BS page 7] Cash and bank balances | 17 | 314,366 | 252,888
Debt short167.82Row: Loans; 7,934; Lease liabilities; 167,413; 158,593 · dashboard=167.819 mln · pages 7 — [BS page 7] Loans | 23 | 406 | 7,934; Lease liabilities | 24 | 167,413 | 158,593
Debt long529.67Row: Loans; 4,162; Lease liabilities; 529,566; 574,211 · dashboard=529.671 mln · pages 7 — [BS page 7] Loans | 23 | 105 | 4,162; Lease liabilities | 24 | 529,566 | 574,211
Net debt383.12Components: short debt 167.82 + long debt 529.67 + other financial liab. 0 + NCI 0 − cash 314.37 = net debt 383.12.Row: net_debt (mln USD, batch apply) · dashboard=383.124 mln — [DeepSeek] net_debt (mln USD, batch apply)
Operating CF315.09Row: Cash generated from operations; 315,092; 287,807 · dashboard=315.092 mln · pages 9 — [CF page 9] Cash generated from operations | | 315,092 | 287,807
Investing CF-35.34Row: Net cash flows used / generated from investing activities · dashboard=-35.341 mln · pages 9 — [CF text layer p9] Net cash flows used / generated from investing activities
Assets1 343Row: Total assets; 1,342,997; 1,250,875 · dashboard=1,342.997 mln · pages 7 — [BS page 7] Total assets | | 1,342,997 | 1,250,875
Equity215.09Row: Total equity; 215,085; 152,268 · dashboard=215.085 mln · pages 7 — [BS page 7] Total equity | | 215,085 | 152,268

Consistency checks · All checks passed

Balance sheet identity (A = L + E)TA (1,343) ≈ TL (1,128) + TE (215); residual +0 within 1%.
Net debt formulanet_debt 383 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 383.
EBITDA = OP + D&AEBITDA (268) ≈ OP (129) + D&A (139) = 268.
Net profit vs operating profitNet profit (72) sits within a plausible band vs operating profit (129).
Cash ≤ total assetsCash (314) ≤ total assets (1,343).

Statement pages (discovery)

FormPages
P&L5
BS7, 8
CF8, 9, 10

Below: last full statement reconstruction (PDF scans + tables + subtotal checks) cached from a ?heavy=1 run. Open heavy mode to rebuild if the PDF, discovery, or extraction changed. full previews & tables (?heavy=1).

Statement previews & reconstructed tables

Highlights Yellow row = matched stored evidence label; orange cell = exact number used for that metric (hover row for details). Revenue Operating profit D&A EBITDA Net profit cash debt_short debt_long Assets Equity Operating CF Investing CF

Green / amber / red bars on the label column mark subtotal rows where summed detail lines match the reported total (heuristic). The table under each reconstructed grid lists every check (Σ detail vs reported, status).

P&L

Extracted metrics for this form (this period row)

MetricValue
Revenue877.93
Operating profit128.88
EBITDA267.9
Net profit72.39
D&A139
P&L — PDF page 5
PDF page scan — P&L — 5
P&L PDF page 5

Camelot table (pages 5, primary page 5).

#Joined labelLine item30 September 202330 September 202330 September 202230 September 202330 September 2022
0CONDENSED CONSOLIDATED INTERIM STATEMENT OF PROFIT OR LOSSCONDENSED CONSOLIDATED INTERIM STATEMENT OF PROFIT OR LOSS
1FOR THE NINE-MONTH PERIOD ENDED 30 SEPTEMBER 2023 (UNAUDITED)FOR THE NINE-MONTH PERIOD ENDED 30 SEPTEMBER 2023 (UNAUDITED)
2(in thousands of USD)(in thousands of USD)
3Three-month period ended Three-month period ended Nine-month period ended Nine-month period endedThree-month period endedThree-month period endedNine-month period endedNine-month period ended
430 September 2023 30 September 2022 30 September 2023 30 September 202230 September 202330 September 202230 September 202330 September 2022
5Notes (unaudited) (unaudited) (unaudited) (unaudited)Notes(unaudited)(unaudited)(unaudited)(unaudited)
6Revenue and other incomeRevenue and other income
7Passenger revenue 6 365,540 329,831 877,929 726,974Passenger revenue6365,540329,831877,929726,974
8Cargo and mail 6 5,340 6,494 15,681 15,649Cargo and mail65,3406,49415,68115,649
9Other income 6 1,678 1,251 6,996 4,614Other income61,6781,2516,9964,614
10Total 372,558 337,576 900,606 747,237Total372,558337,576900,606747,237
11Operating expensesOperating expenses
12Fuel (85,824) (79,974) (208,791) (163,578)Fuel(85,824)(79,974)(208,791)(163,578)
13Employee and crew costs 7 (54,277) (46,685) (143,643) (110,097)Employee and crew costs7(54,277)(46,685)(143,643)(110,097)
14Depreciation and amortisation 11 (41,438) (33,945) (118,429) (98,884)Depreciation and amortisation11(41,438)(33,945)(118,429)(98,884)
15Engineering and maintenance 7 (34,215) (32,357) (83,154) (81,906)Engineering and maintenance7(34,215)(32,357)(83,154)(81,906)
16Handling, landing fees and route charges 7 (30,485) (23,826) (77,427) (61,082)Handling, landing fees and route charges7(30,485)(23,826)(77,427)(61,082)
17Passenger service 7 (31,771) (24,794) (75,895) (59,436)Passenger service7(31,771)(24,794)(75,895)(59,436)
18Selling costs 7 (10,595) (9,300) (30,332) (23,807)Selling costs7(10,595)(9,300)(30,332)(23,807)
19Insurance (2,909) (2,535) (8,070) (5,774)Insurance(2,909)(2,535)(8,070)(5,774)
20Information technology (1,757) (1,333) (4,883) (4,215)Information technology(1,757)(1,333)(4,883)(4,215)
21Consultancy, legal and professional services (1,363) (1,287) (3,601) (3,359)Consultancy, legal and professional services(1,363)(1,287)(3,601)(3,359)
22Taxes, other than income tax (776) (729) (2,885) (963)Taxes, other than income tax(776)(729)(2,885)(963)
23Aircraft lease costs (192) (614) (2,263) (3,105)Aircraft lease costs(192)(614)(2,263)(3,105)
24Property and office costs (915) (538) (2,650) (1,760)Property and office costs(915)(538)(2,650)(1,760)
25Impairment loss (50) (64) (59) (72)Impairment loss(50)(64)(59)(72)
26Other (2,946) (3,826) (9,649) (13,310)Other(2,946)(3,826)(9,649)(13,310)
27Total operating expenses (299,513) (261,807) (771,731) (631,348)Total operating expenses(299,513)(261,807)(771,731)(631,348)
28Operating profit 73,045 75,769 128,875 115,889Operating profit73,04575,769128,875115,889
29Finance income 8 4,304 2,208 10,774 3,666Finance income84,3042,20810,7743,666
30Finance costs 8 (12,532) (8,717) (36,702) (28,440)Finance costs8(12,532)(8,717)(36,702)(28,440)
31Foreign exchange loss, net (5,601) (4,578) (12,909) (13,075)Foreign exchange loss, net(5,601)(4,578)(12,909)(13,075)
32Profit before tax 59,216 64,682 90,038 78,040Profit before tax59,21664,68290,03878,040
33Income tax expense 9 (10,324) (13,201) (17,646) (17,073)Income tax expense9(10,324)(13,201)(17,646)(17,073)
34Profit for the period 48,892 51,481 72,392 60,967Profit for the period48,89251,48172,39260,967
35Basic and diluted earnings per share (in USD) 19 2,876 3,028 4,258 3,586Basic and diluted earnings per share (in USD)192,8763,0284,2583,586

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

BS

Extracted metrics for this form (this period row)

MetricValue
Cash314.37
Debt Short167.82
Debt Long529.67
Assets1 343
Equity215.09
Net debt383.12
BS — PDF page 7
PDF page scan — BS — 7
BS PDF page 7

Camelot table (pages 7, primary page 7).

#Joined labelLine itemNotes202331 December 2022
020232023
1Notes (unaudited) 31 December 2022Notes(unaudited)31 December 2022
2ASSETSASSETS
3Non-current assetsNon-current assets
4Property and equipment 10 825,702 817,585Property and equipment10825,702817,585
5Intangible assets 2,567 1,553Intangible assets2,5671,553
6Prepayments for non-current assets 14 17,272 15,517Prepayments for non-current assets1417,27215,517
7Guarantee deposits 12 31,280 29,520Guarantee deposits1231,28029,520
8Deferred tax assets 9 34,802 18,487Deferred tax assets934,80218,487
9Trade and other receivables 15 1,665 1,300Trade and other receivables151,6651,300
10913,288 883,962913,288883,962
11Current assetsCurrent assets
12Inventories 13 58,702 49,175Inventories1358,70249,175
13Prepayments 14 17,130 21,011Prepayments1417,13021,011
14Income tax prepaid 1,932 8,978Income tax prepaid1,9328,978
15Trade and other receivables 15 28,227 21,307Trade and other receivables1528,22721,307
16Other taxes prepaid 16 7,630 8,378Other taxes prepaid167,6308,378
17Guarantee deposits 12 1,722 3,516Guarantee deposits121,7223,516
18Cash and bank balances 17 314,366 252,888Cash and bank balances17314,366252,888
19Other financial assets 18 - 1,660Other financial assets18-1,660
20429,709 366,913429,709366,913
21Total assets 1,342,997 1,250,875Total assets1,342,9971,250,875
22EQUITY AND LIABILITIESEQUITY AND LIABILITIES
23EquityEquity
24Share capital 19 17,000 17,000Share capital1917,00017,000
25Functional currency transition reserve (9,324) (9,324)Functional currency transition reserve(9,324)(9,324)
26Reserve on hedging instruments, net of tax (18,197) (25,398)Reserve on hedging instruments, net of tax(18,197)(25,398)
27Retained earnings 225,606 169,990Retained earnings225,606169,990
28Total equity 215,085 152,268Total equity215,085152,268
29Non-current liabilitiesNon-current liabilities
30Loans 23 105 4,162Loans231054,162
31Lease liabilities 24 529,566 574,211Lease liabilities24529,566574,211
32Provision for aircraft maintenance 21 144,779 117,958Provision for aircraft maintenance21144,779117,958
33Other non-current liabilities 3,059 2,268Other non-current liabilities3,0592,268
34677,509 698,599677,509698,599
35Current liabilitiesCurrent liabilities
36Loans 23 406 7,934Loans234067,934
37Lease liabilities 24 167,413 158,593Lease liabilities24167,413158,593
38Deferred revenue 20 91,780 80,152Deferred revenue2091,78080,152
39Provision for aircraft maintenance 21 95,307 71,685Provision for aircraft maintenance2195,30771,685
40Trade and other payables 22 95,497 81,405Trade and other payables2295,49781,405
41Other financial liabilities - 239Other financial liabilities-239
42450,403 400,008450,403400,008
43Total liabilities 1,127,912 1,098,607Total liabilities1,127,9121,098,607
44Total equity and liabilities 1,342,997 1,250,875Total equity and liabilities1,342,9971,250,875

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

BS — PDF page 8
PDF page scan — BS — 8
BS PDF page 8

Camelot table (pages 8, primary page 8).

#Joined label1 January 2022Notes Share capitalColumn 3currency → translationReserve on → hedgingRetained → earningsTotal equity
0currency Reserve oncurrencyReserve on
1translation hedging RetainedtranslationhedgingRetained
2Notes Share capital reserve instruments earnings Total equityNotes Share capitalreserveinstrumentsearningsTotal equity
3At 1 January 2022 17,000 (9,324) (35,278) 91,576 63,974At 1 January 202217,000(9,324)(35,278)91,57663,974
4Profit for the period (unaudited) - - - 60,967 60,967Profit for the period (unaudited)---60,96760,967
5Other comprehensive income: Realised loss on cash flow hedging instruments andOther comprehensive income: Realised loss on cash flow hedging instruments and
6effective portion of changes in fair value of fuel call options, net of tax (unaudited) - - 4,841 - 4,841effective portion of changes in fair value of fuel call options, net of tax (unaudited)--4,841-4,841
7Total comprehensive income for the period (unaudited) - - 4,841 60,967 65,808Total comprehensive income for the period (unaudited)--4,84160,96765,808
8At 30 September 2022 (unaudited) 17,000 (9,324) (30,437) 152,543 129,782At 30 September 2022 (unaudited)17,000(9,324)(30,437)152,543129,782
9At 1 January 2023 17,000 (9,324) (25,398) 169,990 152,268At 1 January 202317,000(9,324)(25,398)169,990152,268
10Profit for the period (unaudited) - - - 72,392 72,392Profit for the period (unaudited)---72,39272,392
11Other comprehensive income: Realised loss on cash flow hedging instruments andOther comprehensive income: Realised loss on cash flow hedging instruments and
12effective portion of changes in fair value of fuel call options, net of tax (unaudited) - - 7,201 - 7,201effective portion of changes in fair value of fuel call options, net of tax (unaudited)--7,201-7,201
13Total comprehensive income for the period (unaudited) - - 7,201 72,392 79,593Total comprehensive income for the period (unaudited)--7,20172,39279,593
14Dividends declared (unaudited) 19 - - - (16,776) (16,776)Dividends declared (unaudited)19---(16,776)(16,776)
15At 30 September 2023 (unaudited) 17,000 (9,324) (18,197) 225,606 215,085At 30 September 2023 (unaudited)17,000(9,324)(18,197)225,606215,085

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF315.09
Investing CF-35.34

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

CF — PDF page 8
PDF page scan — CF — 8
CF PDF page 8

Camelot table (pages 8, primary page 8).

#Joined label1 January 2022Notes Share capitalColumn 3currency → translationReserve on → hedgingRetained → earningsTotal equity
0currency Reserve oncurrencyReserve on
1translation hedging RetainedtranslationhedgingRetained
2Notes Share capital reserve instruments earnings Total equityNotes Share capitalreserveinstrumentsearningsTotal equity
3At 1 January 2022 17,000 (9,324) (35,278) 91,576 63,974At 1 January 202217,000(9,324)(35,278)91,57663,974
4Profit for the period (unaudited) - - - 60,967 60,967Profit for the period (unaudited)---60,96760,967
5Other comprehensive income: Realised loss on cash flow hedging instruments andOther comprehensive income: Realised loss on cash flow hedging instruments and
6effective portion of changes in fair value of fuel call options, net of tax (unaudited) - - 4,841 - 4,841effective portion of changes in fair value of fuel call options, net of tax (unaudited)--4,841-4,841
7Total comprehensive income for the period (unaudited) - - 4,841 60,967 65,808Total comprehensive income for the period (unaudited)--4,84160,96765,808
8At 30 September 2022 (unaudited) 17,000 (9,324) (30,437) 152,543 129,782At 30 September 2022 (unaudited)17,000(9,324)(30,437)152,543129,782
9At 1 January 2023 17,000 (9,324) (25,398) 169,990 152,268At 1 January 202317,000(9,324)(25,398)169,990152,268
10Profit for the period (unaudited) - - - 72,392 72,392Profit for the period (unaudited)---72,39272,392
11Other comprehensive income: Realised loss on cash flow hedging instruments andOther comprehensive income: Realised loss on cash flow hedging instruments and
12effective portion of changes in fair value of fuel call options, net of tax (unaudited) - - 7,201 - 7,201effective portion of changes in fair value of fuel call options, net of tax (unaudited)--7,201-7,201
13Total comprehensive income for the period (unaudited) - - 7,201 72,392 79,593Total comprehensive income for the period (unaudited)--7,20172,39279,593
14Dividends declared (unaudited) 19 - - - (16,776) (16,776)Dividends declared (unaudited)19---(16,776)(16,776)
15At 30 September 2023 (unaudited) 17,000 (9,324) (18,197) 225,606 215,085At 30 September 2023 (unaudited)17,000(9,324)(18,197)225,606215,085

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

CF — PDF page 9
PDF page scan — CF — 9
CF PDF page 9

Camelot table (pages 9, primary page 9).

#Joined labelLine itemNotes30 September 202330 September 2022
0Nine-month Nine-monthNine-monthNine-month
1period ended period endedperiod endedperiod ended
230 September 2023 30 September 202230 September 202330 September 2022
3Notes (unaudited) (unaudited)Notes(unaudited)(unaudited)
Operating activities
4OPERATING ACTIVITIES:OPERATING ACTIVITIES:
5Profit before tax 90,038 78,040Profit before tax90,03878,040
6Adjustments for:Adjustments for:
7Depreciation and amortisation of property and equipment andDepreciation and amortisation of property and equipment and
8intangible assets 11 118,429 98,884intangible assets11118,42998,884
9Gain on sale of property, equipment and inventory (866) (1,151)Gain on sale of property, equipment and inventory(866)(1,151)
10Change in impairment allowance for prepayments, trade 12, 14,Change in impairment allowance for prepayments, trade12, 14,
11receivables, guarantee deposits and cash and bank balances 15,17 (299) (2,144)receivables, guarantee deposits and cash and bank balances15,17(299)(2,144)
12Change in write-down of obsolete and slow-movingChange in write-down of obsolete and slow-moving
13inventories 13 (592) 4,356inventories13(592)4,356
14Change in vacation accrual 22 287 (127)Change in vacation accrual22287(127)
15Change in provision for aircraft maintenance 7, 21 62,648 48,239Change in provision for aircraft maintenance7, 2162,64848,239
16Change in customer loyalty program provision 20 1,401 (312)Change in customer loyalty program provision201,401(312)
17Foreign exchange loss, net 12,909 13,075Foreign exchange loss, net12,90913,075
18Finance income, excluding impairment (10,388) (3,546)Finance income, excluding impairment(10,388)(3,546)
19Finance costs, excluding impairment 36,273 28,437Finance costs, excluding impairment36,27328,437
20Operating cash flow before movements in working capital 309,840 263,751Operating cash flow before movements in working capital309,840263,751
21Change in trade and other accounts receivables (6,870) (8,470)Change in trade and other accounts receivables(6,870)(8,470)
22Change in prepayments 4,805 (2,085)Change in prepayments4,805(2,085)
23Change in inventories (8,069) 1,070Change in inventories(8,069)1,070
24Change in trade and other payables and provision of aircraftChange in trade and other payables and provision of aircraft
25maintenance 3,772 (2,993)maintenance3,772(2,993)
26Change in deferred revenue 10,227 34,249Change in deferred revenue10,22734,249
27Change in other financial assets 1,387 2,285Change in other financial assets1,3872,285
28Cash generated from operations 315,092 287,807Cash generated from operations315,092287,807

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

Formulas used