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KEGC 2025-03-31 Q1 — report review

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

Дата публикации отчёта: 2025-04-01 дата снимка KASE fin-data (change_date)

Full financial report: Отчёт (PDF)

kase_fin_data_provenance_note

PDF (local): /home/ubuntu/projects/frontier/data/raw_pdfs/KEGC/2025-03-31_Q1_wldtx04der5s1tdsb4kf2725mhfmstiu-pdf.pdf

Чтобы заново выполнить поиск форм и превью из PDF, откройте эту ссылку Основная ссылка запускает пересчёт в фоне: панель статуса, затем готовая страница. Тяжёлый режим с refresh по умолчанию тоже в фоне (иначе прокси даёт 502). &sync=1 — только для одного долгого синхронного ответа (не рекомендуется). Можно ?refresh=1, ?recalc=1, ?nocache=1 или ?recompute=1. (дождаться в браузере: синхронное обновление)

Сопоставление метрик (значение → evidence)

Значения метрик приведены к единицам дашборда, где это применимо; в колонке evidence — сохранённый фрагмент из текстового слоя PDF или OCR на этапе извлечения.

MetricValueEvidence / page extract
Выручка88 029.36
Опер. прибыль24 247.47
Аморт. и износ14 065.27Row: derived: same-row components · dashboard=14,065.275 mln — derived: same-row components
EBITDA38 312.75
Чистая прибыль18 550.09
Cash78 105.5Row: cash (mln KZT, batch apply) · dashboard=78,105.503 mln — [DeepSeek] cash (mln KZT, batch apply)
Debt short11 327.27Row: debt_short (mln KZT, batch apply) · dashboard=11,327.273 mln — [DeepSeek] debt_short (mln KZT, batch apply)
Debt long154 218.92Row: debt_long (mln KZT, batch apply) · dashboard=154,218.917 mln — [DeepSeek] debt_long (mln KZT, batch apply)
Чистый долг87 440.69Компоненты: краткосрочный долг 11 327.27 + долгосрочный 154 218.92 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 78 105.5 = чистый долг 87 440.69.Row: net_debt (mln KZT, batch apply) · dashboard=87,440.687 mln — [DeepSeek] net_debt (mln KZT, batch apply)
Операц. ДДС40 457.45Row: operating_cash_flow (mln KZT, batch apply) · dashboard=40,457.450 mln — [DeepSeek] operating_cash_flow (mln KZT, batch apply)
Инвест. ДДС-12 268.74Row: investing_cash_flow (mln KZT, batch apply) · dashboard=-12,268.737 mln — [DeepSeek] investing_cash_flow (mln KZT, batch apply)
Активы1 112 926.72
Капитал788 471.91

Проверки финансовой согласованности · Все проверки пройдены

Балансовое тождество (A = L + E)TA (1,112,927) ≈ TL (324,455) + TE (788,472); residual +0 within 1%.
Формула чистого долгаnet_debt 87,441 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 87,441.
EBITDA = OP + D&AEBITDA (38,313) ≈ OP (24,247) + D&A (14,065) = 38,313.
Чистая прибыль vs операционнаяNet profit (18,550) sits within a plausible band vs operating profit (24,247).
Денежные средства ≤ активовCash (78,106) ≤ total assets (1,112,927).

Statement pages (discovery)

FormPages
P&L5
BS3, 4
CF6, 7

Превью страниц и восстановленные таблицы

Подсветка Жёлтая строка — совпадение с evidence; оранжевая ячейка — точное число, взятое для метрики (наведите на строку). Выручка Опер. прибыль Аморт. и износ EBITDA Чистая прибыль cash debt_short debt_long Активы Капитал Операц. ДДС Инвест. ДДС

Зелёная / янтарная / красная полоса у подписи строки — итог/субитог, где сумма детальных строк сравнивается с числом в отчёте (эвристика). Под каждой таблицей — список проверок (Σ строк vs отчёт, статус).

P&L

Извлечённые метрики по этой форме (строка периода)

ПоказательЗначение
Выручка88 029.36
Опер. прибыль24 247.47
EBITDA38 312.75
Чистая прибыль18 550.09
Аморт. и износ14 065.27
P&L — PDF page 5
Скан страницы PDF — P&L — 5
P&L PDF page 5

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 5 (25 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0Kazakhstan Electricity Unaudited interim condensed
1Grid Operating Company JSC consolidated financial statements
2INTERIM CONSOLADATED STATEMENT OF JOINT INCOME
3For the three months ended on 31 March 2025
4In thousands tenge
5Revenue from contracts with customers8802936485124330
6Cost of services-61098231-54804679
7Gross profit2693113330319651
8General and administrative expenses-2549623-3109277
9Selling expenses-138.717-148.925
10Income (loss) from reversal of impairment4.6796.639
11Operating profit2424747227054810
12Finance income34586972853601
13Finance costs-50685633.538
14Foreign exchange (loss) gain;, net-334.38101.656
15Share in profit of associate58.719102.238
16Other income594.454472.626
17Other expenses-123.646-139.071
18Recovery (accrual) of provision for expected credit losses35.372-291.486
19Profit before tax2286812526615820
20Corporate income tax expense-4318034-5203590
21Profit for the period1855009121412230
22Earnings per share
23Basic and diluted profit for the period attributable to ordinary
24equity holders of the_parent company (in tenge)67.3877.78

BS

Извлечённые метрики по этой форме (строка периода)

ПоказательЗначение
Cash78 105.5
Debt Short11 327.27
Debt Long154 218.92
Активы1 112 926.72
Капитал788 471.91
Чистый долг87 440.69
BS — PDF page 3
Скан страницы PDF — BS — 3
BS PDF page 3

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 3 (23 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0Kazakhstan Electricity Unaudited interim condensed
1Grid Opera ting Company JSC consolidated financial statements
2INTERIM CONSOLADATED STATEMENT OF FINANCIAL POSITION
3As on 31 March 2025
4In thousands tenge
5Assets
6Non-current assets
7Property , plant and equipment929574106939418331
8Intangible assets43197794480492
9Advances paid for non-current assets3058523311155704
10Investments in associates33614343302715
11Other financial assets_ non-curent portion29078561585888
12Long-term receivables from related parties198.316237.161
13Current assets
14Inventory49278222913351
15Trade accounts receivable2580846431324031
16Corporate income tax prepaid16160931677043
17VAT recoverable and other taxes prepaid205.188141.787
18Other financial assets, current portion2768040744313217
19Restricted cash13619501513.982
20Cash and cash equivalents7810550351939433
21Other_current assets_2274.573062970
22Total assets11129267211097066105
BS — PDF page 4
Скан страницы PDF — BS — 4
BS PDF page 4

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 4 (27 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0Kazakhstan Electricity Unaudited interim condensed
1Grid Operating Company JSC consolidated financial statements
2INTERIM CONSOLADATED STATEMENT OF FINANCIAL POSITION (continued)
3In thousands of tenge
4Equity and liabilities
5Equity
6Share capital148922757148922757
7Treasury shares-930-930
8Asset revaluation reserve556894493556910639
9Retained earnings8265558864089351
10Non-current liabilities
11Loans; non-current portion45373825310373
12Bonds, non-current portion149681.535149650031
13Deferred tax liabilities132728088133700119
14Deferred income,non-current portion1289.09569.653
15Current Iiabilities
16Loans, current portion11421651291826
17Bonds, current portion101851085328478
18Trade and other accounts payable962895417573658
19Contract obligations35067632006832
20Deferred income , current portion105.44553.243
21Taxes payable other than corporate income tax50825644993823
22Corporate income tax payable017.405
23Other current liabilities65677196648847
24Total liabilities324454813327144288
25Total equity and liabilities1112.9261097066105
26Book_value of_one ordinary share_(in tenge)2.8482.78

CF

Извлечённые метрики по этой форме (строка периода)

ПоказательЗначение
Операц. ДДС40 457.45
Инвест. ДДС-12 268.74
CF — PDF page 6
Скан страницы PDF — CF — 6
CF PDF page 6

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 6 (40 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0Kazakhstan Electricity Unaudited interim condensed
1Grid Operating Company JSC consolidated financial statements
2INTERIM CONSOLIDATED STATEMENT OF CASH FLOWS
3For the three months ended on 31 March 2025
4In thousands tenge
5I, CASH FLOWS FROM OPERATIONS
61. Cash inflow; total10138412687485742
7including:
8sales of goods and services9514888483087510
9other revenue192.0113.724
10advances received from buyers, customers15164051520337
11insurance contract receipts
12interest received40702272514056
13other receipts456.599360.115
142. Cash outflows, total6092667651573242
15including:
16payments to suppliers for goods and services3658972132792919
17advances to suppliers for goods and services146.788775.781
18payroll expenses70179176535756
19interest paid207.894250.522
20insurance contract payments
21income tax and other payments to the national budget145616219054031
22other payments24027352164233
233. Net cash flow from operations4045745035912500
24II: CASH FLOWS FROM INVESTMENTS
251. Cash inflow; total7153848528876429
26including:
27sale of property, plant and equipment49.12449.124
28sale of intangible assets
29sale of other long-term assets
30sale of equity instruments of other organizations (other than
31subsidiaries) and share of ownership in joint ventures
32sale of debt instruments of other organizations7144472423266785
33compensation for loss of control over subsidiaries
34withdrawal of cash deposits1.25024475
35sale of other financial assets
36futures and forward contracts, options and swaps
37dividends received
38interest received
39other receipts43.437536.065
CF — PDF page 7
Скан страницы PDF — CF — 7
CF PDF page 7

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 7 (37 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0INTERIM CONSOLIDATED STA TEMENT OF CASH FLOWS (continued)
12. Cash outflows; total8380722235657725
2including:
3purchase of property, plant and equipment2828586315625111
4purchase of intangible assets27.447.839
5purchase of other long-term assets
6purchase of equity instruments of other organizations (other than
7subsidiaries) and share of ownership in joint ventures
8purchase of debt instruments of other organizations5549391915000000
9purchase of control over subsidiaries
10placement of cash deposits05024775
11purchase of other financial assets
12lending
13futures and forward contracts, options and swaps
14investments in associates and subsidiaries
15other payments
163. Net cash flow from investments-12268737-6781296
Financing activities
17III; CASH FLOWS FROM FINANCING ACTIVITIES
181. Cash inflow, total
19including:
20issue of shares and other financial instruments
21loans received
22interest received
23other receipts
242. Cash outflows, total1931217500.999
25including:
26repayment of borrowings571.577500.999
27interest paid
28dividends paid
29payments to shareholders on shares of the organization
30other disposals13596400
313. Net cash flow from financing activities-1931217500.999
32IVV. Tenge impact of FX rates-114.062-142.802
33V: The impact of changes in the carrying amount of cash and cash equivalents22.63610.465
34VI. Increase +I- decrease in cash2616607028497868
35VII: Cash and cash equivalents as of the beginning of the reporting period5193943345528523
36VIII: Cash and cash equivalents as of the end of the reporting period7810550374026391

Formulas used