Status: OK; Currency: KZT; 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: Report (PDF)
PDF (local): data/raw_pdfs/KEGC/2023-12-31_FY_kegoc-fy-2023-consolidated-financial-statements.pdf
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Metric values use dashboard units where applicable; evidence is the stored snippet from the PDF text layer or OCR used during extraction.
| Metric | Value | Evidence / page extract |
|---|---|---|
| Revenue | 252 136.38 | Row: revenue (mln KZT, batch apply) · dashboard=252,136.383 mln — [DeepSeek] revenue (mln KZT, batch apply) |
| Operating profit | 58 665.85 | Row: operating_profit (mln KZT, batch apply) · dashboard=58,665.846 mln — [DeepSeek] operating_profit (mln KZT, batch apply) |
| D&A | 51 409.92 | Row: da (mln KZT, batch apply) · dashboard=51,409.922 mln — [DeepSeek] da (mln KZT, batch apply) |
| EBITDA | 110 075.77 | Row: ebitda (mln KZT, batch apply) · dashboard=110,075.768 mln — [DeepSeek] ebitda (mln KZT, batch apply) |
| Net profit | 43 400 | Row: net_profit (mln KZT, batch apply) · dashboard=43,400.000 mln — [DeepSeek] net_profit (mln KZT, batch apply) |
| Cash | 45 528.52 | Row: cash (mln KZT, batch apply) · dashboard=45,528.523 mln — [DeepSeek] cash (mln KZT, batch apply) |
| Debt short | 8 424.58 | Row: debt_short (mln KZT, batch apply) · dashboard=8,424.576 mln — [DeepSeek] debt_short (mln KZT, batch apply) |
| Debt long | 155 110.81 | Row: debt_long (mln KZT, batch apply) · dashboard=155,110.813 mln — [DeepSeek] debt_long (mln KZT, batch apply) |
| Net debt | 118 006.87 | Components: short debt 8 424.58 + long debt 155 110.81 + other financial liab. 0 + NCI 0 − cash 45 528.52 = net debt 118 006.87.Row: net_debt (mln KZT, batch apply) · dashboard=118,006.866 mln — [DeepSeek] net_debt (mln KZT, batch apply) |
| Operating CF | 67 264.55 | Row: operating_cash_flow (mln KZT, batch apply) · dashboard=67,264.547 mln — [DeepSeek] operating_cash_flow (mln KZT, batch apply) |
| Investing CF | -28 085.89 | Row: investing_cash_flow (mln KZT, batch apply) · dashboard=-28,085.886 mln — [DeepSeek] investing_cash_flow (mln KZT, batch apply) |
| Assets | 1 001 785.01 | Row: total_assets (mln KZT, batch apply) · dashboard=1,001,785.007 mln — [DeepSeek] total_assets (mln KZT, batch apply) |
| Equity | 685 719.13 | Row: total_equity (mln KZT, batch apply) · dashboard=685,719.134 mln — [DeepSeek] total_equity (mln KZT, batch apply) |
| ✓ | Balance sheet identity (A = L + E) | TA (1,001,785) ≈ TL (316,066) + TE (685,719); residual +0 within 1%. |
| ✓ | Net debt formula | net_debt 118,007 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 118,007. |
| ✓ | EBITDA = OP + D&A | EBITDA (110,076) ≈ OP (58,666) + D&A (51,410) = 110,076. |
| ✓ | Net profit vs operating profit | Net profit (43,400) sits within a plausible band vs operating profit (58,666). |
| ✓ | Cash ≤ total assets | Cash (45,529) ≤ total assets (1,001,785). |
| Form | Pages |
|---|---|
| P&L | 10 |
| BS | 8, 9 |
| CF | 11, 12 |
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).
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Revenue | 252 136.38 |
| Operating profit | 58 665.85 |
| EBITDA | 110 075.77 |
| Net profit | 43 400 |
| D&A | 51 409.92 |
No Camelot table — OCR (v8) below.
| # | Joined label | 2023 | 2022 |
|---|---|---|---|
| 0 | CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME | ||
| 1 | For the year ended 31 December 2023 | ||
| 2 | In thousands of tenge | 2023 | 2022 |
| 3 | Revenue from contracts with customers | 252136.383 | 217255548 |
| 4 | Cost of sales | -181403604 | -166355885 |
| 5 | Gross profit | 70732779 | 50899663 |
| 6 | General and administrative expenses | -11113427 | -9020431 |
| 7 | Selling expenses | -490.99 | -310.355 |
| 8 | Gain from recovery of loss from revaluation of property , plant | 4 | |
| 9 | and equipment | 0 | 949.895 |
| 10 | Loss from revaluation of property , plant and equipment | 0 | -4548255 |
| 11 | (Impairment loss) reversal of impairment of property , plant and | ||
| 12 | equipment | -462.516 | 23.385 |
| 13 | Operating profit | 58665846 | 37993902 |
| 14 | Finance income | 7576474 | 5726115 |
| 15 | Finance costs | -13709414 | -13294934 |
| 16 | Foreign exchange gain, net | 951.337 | 114.963 |
| 17 | Share of profit of an associate | 195.304 | 469.123 |
| 18 | Other income | 3051135 | 2488310 |
| 19 | Other expenses | -747.948 | -500.704 |
| 20 | Accrual of provision for expected credit losses | -2384102 | -528.687 |
| 21 | Profit before tax | 53598632 | 32468088 |
| 22 | Corporate income tax expense | -10202243 | -5720479 |
| 23 | Profit for the year | 43396389 | 26747609 |
| 24 | Other comprehensive income (loss) | ||
| 25 | Other comprehensive income that will not be reclassified to profit | ||
| 26 | or loss in subsequent periods | ||
| 27 | Loss from revaluation of property , plant and equipment | 0 | -100105029 |
| 28 | Income tax effect | 0 | 20021005 |
| 29 | Net other comprehensive loss that will not be reclassified to profit | ||
| 30 | or loss in subsequent periods_net of corporate income tax | 0 | -80084024 |
| 31 | Total comprehensive income (loss) for the year, net of | ||
| 32 | corporate income tax | 43396389 | -53336415 |
| 33 | Earnings per share | ||
| 34 | Basic and diluted profit for the year attributable to ordinary equity | ||
| 35 | holders of the parent (in tenge) | 165.5 | 102.88 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Cash | 45 528.52 |
| Debt Short | 8 424.58 |
| Debt Long | 155 110.81 |
| Assets | 1 001 785.01 |
| Equity | 685 719.13 |
| Net debt | 118 006.87 |
| # | Joined label | 31 December 2023 | Notes | 2023 | 2022 |
|---|---|---|---|---|---|
| 0 | A s at 31 December 2023 | A s at 31 December 2023 | |||
| 1 | 31 December 31 December | 31 December | 31 December | ||
| 2 | In thousands of tenge Notes 2023 2022 | In thousands of tenge | Notes | 2023 | 2022 |
| 3 | Assets | Assets | |||
| 4 | Non-current assets | Non-current assets | |||
| 5 | Property, plant and equipment 6 870.122.684 859.129.917 | Property, plant and equipment | 6 | 870.122.684 | 859.129.917 |
| 6 | Intangible assets 3.163.452 3.453.791 | Intangible assets | 3.163.452 | 3.453.791 | |
| 7 | Advances paid for non-current assets 6 2.823.470 6.118.449 | Advances paid for non-current assets | 6 | 2.823.470 | 6.118.449 |
| 8 | Investment in associate 7 2.942.759 2.747.455 | Investment in associate | 7 | 2.942.759 | 2.747.455 |
| 9 | Long-term receivables from related parties 26 382.638 514.613 | Long-term receivables from related parties | 26 | 382.638 | 514.613 |
| 10 | Other financial assets, non-current portion 11 1.979.457 1.968.564 | Other financial assets, non-current portion | 11 | 1.979.457 | 1.968.564 |
| 11 | 881.414.460 873.932.789 | 881.414.460 | 873.932.789 | ||
| 12 | Current assets | Current assets | |||
| 13 | Inventories 8 3.289.266 3.207.155 | Inventories | 8 | 3.289.266 | 3.207.155 |
| 14 | Trade account receivable 9 34.314.906 21.047.390 | Trade account receivable | 9 | 34.314.906 | 21.047.390 |
| 15 | VAT recoverable and other prepaid taxes 234.527 871.258 | VAT recoverable and other prepaid taxes | 234.527 | 871.258 | |
| 16 | Prepaid corporate income tax 1.834.225 128.400 | Prepaid corporate income tax | 1.834.225 | 128.400 | |
| 17 | Other current assets 10 2.733.677 1.649.971 | Other current assets | 10 | 2.733.677 | 1.649.971 |
| 18 | Other financial assets, current portion 11 30.589.367 57.196.672 | Other financial assets, current portion | 11 | 30.589.367 | 57.196.672 |
| 19 | Restricted cash 12 1.846.056 1.015.462 | Restricted cash | 12 | 1.846.056 | 1.015.462 |
| 20 | Cash and cash equivalents 13 45.528.523 27.563.092 | Cash and cash equivalents | 13 | 45.528.523 | 27.563.092 |
| 21 | 120.370.547 112.679.400 | 120.370.547 | 112.679.400 | ||
| 22 | Total assets 1.001.785.007 986.612.189 | Total assets | 1.001.785.007 | 986.612.189 |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
No Camelot table — OCR (v8) below.
| # | Joined label | 2023 | 2022 |
|---|---|---|---|
| 0 | Kazakhstan Electricity Grid Operating Company JSC Consolidated financial statements | ||
| 1 | CONSOLIDATED STATEMENT OF FINANCIAL POSITION (continued) | ||
| 2 | In thousands of tenge | 2023 | 2022 |
| 3 | Equity and liabilities | ||
| 4 | Equity | ||
| 5 | Share capital | 148922757 | 126799554 |
| 6 | Treasury shares | -930 | -930 |
| 7 | Asset revaluation reserve | 488537852 | 489297133 |
| 8 | Retained earnings | 48259455 | 37469407 |
| 9 | Non-current liabilities | ||
| 10 | Borrowings_ non-current portion | 5588895 | 11367844 |
| 11 | Bonds payable, non-current portion | 149521918 | 133394155 |
| 12 | Deferred tax liability | 119642670 | 123971284 |
| 13 | Long-term payables | 2163124 | 4146691 |
| 14 | Deferred income, non-current portion | 622.896 | 676.138 |
| 15 | Other liabilities, non-current portion | 0 | 13.522 |
| 16 | Current liabilities | ||
| 17 | Borrowings, current portion | 1146917 | 5530813 |
| 18 | Bonds payable, current portion | 7277659 | 6058889 |
| 19 | Trade and other accounts payable, current portion | 19721022 | 21713025 |
| 20 | Dividends payable | 0 | 17014309 |
| 21 | Contract liabilities | 1185059 | 1669.59 |
| 22 | Deferred income, current portion | 53.243 | 53.243 |
| 23 | Taxes payable other than income tax | 3426356 | 1933096 |
| 24 | Income tax payable | 0 | 267.335 |
| 25 | Other current liabilities | 5716114 | 5237091 |
| 26 | Total liabilities | 316065873 | 333047025 |
| 27 | Total equity and liabilities | 1001785007 | 986612189 |
| 28 | Book value per ordinary share (in tenge) | 2.479 | 2.5 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Operating CF | 67 264.55 |
| Investing CF | -28 085.89 |
| # | Joined label | Line item | Notes | 2023 | 2022 |
|---|---|---|---|---|---|
| 0 | For the year ended 31 December 2023 | For the year ended 31 December 2023 | |||
| 1 | In thousands of tenge Notes 2023 2022 | In thousands of tenge | Notes | 2023 | 2022 |
| 2 | Operating activities | Operating activities | |||
| 3 | Profit before tax 53.598.632 32.468.088 | Profit before tax | 53.598.632 | 32.468.088 | |
| 4 | Adjustments to reconcile profit before tax to net cash flows | Adjustments to reconcile profit before tax to net cash flows | |||
| 5 | Depreciation and amortisation 51.409.922 61.202.463 | Depreciation and amortisation | 51.409.922 | 61.202.463 | |
| 6 | Finance expenses 23 13.709.414 13.294.934 | Finance expenses | 23 | 13.709.414 | 13.294.934 |
| 7 | Finance income 23 (7.576.474) (5.726.115) | Finance income | 23 | (7.576.474) | (5.726.115) |
| 8 | Foreign exchange gain/(loss), net (951.337) (114.963) | Foreign exchange gain/(loss), net | (951.337) | (114.963) | |
| 9 | Accrual of provision for expected credit losses 2.384.102 528.687 | Accrual of provision for expected credit losses | 2.384.102 | 528.687 | |
| 10 | Accrual of allowance for obsolete inventories 79.272 77.931 | Accrual of allowance for obsolete inventories | 79.272 | 77.931 | |
| 11 | Loss from disposal of property, plant and equipment and | Loss from disposal of property, plant and equipment and | |||
| 12 | intangible assets 249.114 94.956 | intangible assets | 249.114 | 94.956 | |
| 13 | Gain from recovery of loss from revaluation of property, plant | Gain from recovery of loss from revaluation of property, plant | |||
| 14 | and equipment 6 – (949.895) | and equipment | 6 | – | (949.895) |
| 15 | Loss from revaluation of property, plant and equipment 6 – 4.548.255 | Loss from revaluation of property, plant and equipment | 6 | – | 4.548.255 |
| 16 | Impairment loss / (reversal of impairment) of property, plant and | Impairment loss / (reversal of impairment) of property, plant and | |||
| 17 | equipment 6 462.516 (23.385) | equipment | 6 | 462.516 | (23.385) |
| 18 | Share of profit of an associate 7 (195.304) (469.123) | Share of profit of an associate | 7 | (195.304) | (469.123) |
| 19 | Income from government grants (53.242) (42.708) | Income from government grants | (53.242) | (42.708) | |
| 20 | Working capital adjustments | Working capital adjustments | |||
| 21 | Change in inventories (161.383) (694.703) | Change in inventories | (161.383) | (694.703) | |
| 22 | Change in trade accounts receivable (16.002.251) (8.847.516) | Change in trade accounts receivable | (16.002.251) | (8.847.516) | |
| 23 | Change in other current assets (1.258.905) (924.897) | Change in other current assets | (1.258.905) | (924.897) | |
| 24 | Change in VAT recoverable and other prepaid taxes 636.731 2.360.396 | Change in VAT recoverable and other prepaid taxes | 636.731 | 2.360.396 | |
| 25 | Change in trade and other accounts payable 731.901 5.505.375 | Change in trade and other accounts payable | 731.901 | 5.505.375 | |
| 26 | Change in contract liabilities (484.531) (394.756) | Change in contract liabilities | (484.531) | (394.756) | |
| 27 | Change in other non-current liabilities (13.522) (158.106) | Change in other non-current liabilities | (13.522) | (158.106) | |
| 28 | Change in taxes payable other than corporate income tax 1.473.334 (427.761) | Change in taxes payable other than corporate income tax | 1.473.334 | (427.761) | |
| 29 | Change in other current liabilities 545.587 1.189.689 | Change in other current liabilities | 545.587 | 1.189.689 | |
| Operating activities | |||||
| 30 | Cash flows from operating activities 98.583.576 102.496.846 | Cash flows from operating activities | 98.583.576 | 102.496.846 | |
| 31 | Interest paid 27 (738.058) (1.336.740) | Interest paid | 27 | (738.058) | (1.336.740) |
| 32 | Coupon interest paid 27 (21.572.501) (12.727.000) | Coupon interest paid | 27 | (21.572.501) | (12.727.000) |
| 33 | Commissions paid on bank guarantees (124.994) (1.172.412) | Commissions paid on bank guarantees | (124.994) | (1.172.412) | |
| 34 | Interest received 7.595.069 5.658.863 | Interest received | 7.595.069 | 5.658.863 | |
| 35 | Corporate income tax paid (16.478.545) (12.240.835) | Corporate income tax paid | (16.478.545) | (12.240.835) | |
| 36 | Net cash flows received from operating activities 67.264.547 80.678.722 | Net cash flows received from operating activities | 67.264.547 | 80.678.722 | |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
No Camelot table — OCR (v8) below.
| # | Joined label | 2023 | 2022 |
|---|---|---|---|
| 0 | CONSOLIDATED STATEMENT OF CASH FLOWS (continued) | ||
| 1 | In thousands of_tenge | 2023 | 2022 |
| 2 | Investing activities | ||
| 3 | Withdraw of bank deposits | 7287964 | 44735130 |
| 4 | Replenishment of bank deposits | -5061468 | -23523047 |
| 5 | Change in restricted cash | -898.893 | 0 |
| 6 | Gain from sale of property, plant and equipment and intangible | 2 | |
| 7 | assets | 196.498 | 2378537 |
| 8 | Purchase of property , plant and equipment | -54705720 | -49476255 |
| 9 | Purchase of intangible assets | -597.41 | -693.486 |
| 10 | Acquisition of debt securities | -148467501 | -36933373 |
| 11 | Redemption of debt securities | 174113437 | 32117343 |
| 12 | Repurchase of DSFK bonds by the issuer | 31.087 | 12.671 |
| 13 | Partial return of funds from Kazinvestbank and Eximbank | ||
| 14 | Kazakhstan | 38.478 | 173.876 |
| 15 | Commissions paid on loans | -22.358 | 0 |
| 16 | Net cash flows used in investing activities | -28085886 | 31.208 |
| 17 | Financing activities | ||
| 18 | Receipt of cash from the sale of shares | 22665883 | 0 |
| 19 | Share issue costs | -542.68 | 0 |
| 20 | Issue of bonds | 16867598 | 16141100 |
| 21 | Dividends paid | -50379931 | -13220929 |
| 22 | Repayment of loans | -9973990 | -35865915 |
| 23 | Principal repayment of lease liability | 0 | -111.895 |
| 24 | Net cash flows used in financing activities | -21363120 | -33057639 |
| 25 | Net change in cash and cash equivalents | 17815541 | 16412479 |
| 26 | Effect of exchange rate changes on cash and cash equivalents | -9.059 | -600.425 |
| 27 | Effect of accrual of provision on expected credit losses on cash | ||
| 28 | and cash equivalents | 158.949 | -182.79 |
| 29 | Cash and cash equivalent, as at 1 January | 27563092 | 1933828 |
| 30 | Cash and cash equivalents, as at 31 December | 45528523 | 27563092 |