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): /root/projects/frontier/data/raw_pdfs/KMG/2023-09-30_Q3_9m23-fs-eng-kmg-conso.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 | 6 087 389 | Row: revenue (mln KZT, batch apply) · dashboard=6,087,389.000 mln — [DeepSeek] revenue (mln KZT, batch apply) |
| Operating profit | 590 976 | Row: operating_profit (mln KZT, batch apply) · dashboard=590,976.000 mln — [DeepSeek] operating_profit (mln KZT, batch apply) |
| D&A | 441 317 | Row: da (mln KZT, batch apply) · dashboard=441,317.000 mln — [DeepSeek] da (mln KZT, batch apply) |
| EBITDA | 1 032 293 | Row: computed as operating_profit + da · dashboard=1,032,293.000 mln — computed as operating_profit + da |
| Net profit | 948 993 | Row: net_profit (mln KZT, batch apply) · dashboard=948,993.000 mln — [DeepSeek] net_profit (mln KZT, batch apply) |
| Cash | 1 266 462 | Row: cash (mln KZT, batch apply) · dashboard=1,266,462.000 mln — [DeepSeek] cash (mln KZT, batch apply) |
| Debt short | 484 238 | Row: debt_short (mln KZT, batch apply) · dashboard=484,238.000 mln — [DeepSeek] debt_short (mln KZT, batch apply) |
| Debt long | 3 748 689 | Row: debt_long (mln KZT, batch apply) · dashboard=3,748,689.000 mln — [DeepSeek] debt_long (mln KZT, batch apply) |
| Net debt | 3 051 681 | Components: short debt 484 238 + long debt 3 748 689 + other financial liab. 0 + NCI 85 216 − cash 1 266 462 = net debt 3 051 681.Row: net_debt (mln KZT, batch apply) · dashboard=3,051,681.000 mln — [DeepSeek] net_debt (mln KZT, batch apply) |
| Operating CF | 956 772 | Row: operating_cash_flow (mln KZT, batch apply) · dashboard=956,772.000 mln — [DeepSeek] operating_cash_flow (mln KZT, batch apply) |
| Investing CF | -66 313 | Row: investing_cash_flow (mln KZT, batch apply) · dashboard=-66,313.000 mln — [DeepSeek] investing_cash_flow (mln KZT, batch apply) |
| Assets | 17 600 464 | Row: total_assets (mln KZT, batch apply) · dashboard=17,600,464.000 mln — [DeepSeek] total_assets (mln KZT, batch apply) |
| Equity | 10 714 707 | Row: total_equity (mln KZT, batch apply) · dashboard=10,714,707.000 mln — [DeepSeek] total_equity (mln KZT, batch apply) |
| ✓ | Balance sheet identity (A = L + E) | TA (17,600,464) ≈ TL (6,885,757) + TE (10,714,707); residual +0 within 1%. |
| ✓ | Net debt formula | net_debt 3,051,681 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 3,051,681. |
| ✓ | EBITDA = OP + D&A | EBITDA (1,032,293) ≈ OP (590,976) + D&A (441,317) = 1,032,293. |
| ⚠ | Net profit vs operating profit | Net profit (948,993) > 1.5× operating profit (590,976) — implies a large non-operating gain (asset disposal, FX, one-off). Check the column mapping if no such item is reported. |
| ✓ | Cash ≤ total assets | Cash (1,266,462) ≤ total assets (17,600,464). |
| Form | Pages |
|---|---|
| P&L | 5, 6 |
| BS | 7, 8 |
| CF | 9, 10 |
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 | 6 087 389 |
| Operating profit | 590 976 |
| EBITDA | 1 032 293 |
| Net profit | 948 993 |
| D&A | 441 317 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 | Column 4 | Column 5 |
|---|---|---|---|---|---|
| 0 | JSC "National Company "KazMunayGas" Interim condensed consolidated Ainancial statememts (unaudited) | ||||
| 1 | INTERIM CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME | ||||
| 2 | For the three and nine mOWths euded Scptember 30.2023 | ||||
| 3 | Inmilllons ol tenge | ||||
| 4 | Revenue and other income | ||||
| 5 | Revenue from contracts wilh customers | 2144737 | 2133670 | 6087389 | 6775524 |
| 6 | Share in prolit of joint ventures and | ||||
| 7 | associales nel | 165440 | 232263 | 565159 | 778508 |
| 8 | Gain from disposal of subsidiary | 186225 | 0 | 186225 | 0 |
| 9 | Finance income | 37916 | 37747 | 112964 | 92035 |
| 10 | Olher operaling income | 8304 | 4253 | 47822 | 14303 |
| 11 | Total revenue and other income | 2542622 | 2407933 | 6999.559 | 660370 |
| 12 | Costs and expenses | ||||
| 13 | Cost of purchased oil, gas, petroleum | ||||
| 14 | products and other materials | -1219692 | -1132804 | -3381954 | -3950762 |
| 15 | Production expenses | -275090 | -336630 | -865376 | -826384 |
| 16 | Taxes olher Ihan income Iax | -150337 | -189675 | -432608 | -508300 |
| 17 | Depreciation; depletion and amortization | -145423 | -111324 | -441317 | -374882 |
| 18 | Transportation and selling expenses | -56940 | -46816 | -176463 | -144630 |
| 19 | General and administrative expenses | -44516 | -36380 | -116603 | -104311 |
| 20 | Impairmenl of property , plant and | ||||
| 21 | equipment, irtangible assets and | ||||
| 22 | exploralion expenses | -61503 | -401 | -200778 | 229 |
| 23 | Finance costs | -77190 | -71522 | -233690 | -227621 |
| 24 | Fareign exchange gain/(loss) , nel | 44203 | 38781 | 67992 | 568 |
| 25 | Other expenses | -4.432 | -43.427 | -18321 | -57.532 |
| 26 | Total costs and expenses | -1990920 | 930.198 | -5799118 | -6195.77 |
| 27 | Profit before income tax | 551702 | 477735 | 1200441 | 1464600 |
| 28 | Income tax expenses | -94253 | -91593 | -251448 | -303264 |
| 29 | Net profit for the period | 457.449 | 386.142 | 948993 | 1164.336 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 | Column 4 | Column 5 |
|---|---|---|---|---|---|
| 0 | JSC ~National Company ~KazMunayGas" Interim condensed consolidaled financial statements (unaudited) | ||||
| 1 | INTERIM CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (continued) | ||||
| 2 | Other comprehensive (loss)income | ||||
| 3 | Other comprehensive (loss)ncome to be | ||||
| 4 | reclassified to profit or loss in subsequent | ||||
| 5 | penods | ||||
| 6 | Hedging effect Exchange differences on translation of | -68 | 3572 | 920 | -33548 |
| 7 | foreign operations | 372294 | 80878 | 208777 | 723576 |
| 8 | Tax eifecl | 28.861 | 343 | -16045 | -51036 |
| 9 | Net other comprehensive income to be | ||||
| 10 | reclassified to profit or loss in the | ||||
| 11 | subsequent periods_net of tax | 343.365 | 77107 | 193652 | 638992 |
| 12 | Other comprehensive incomel(loss) not to | ||||
| 13 | be reclassified t0 profit or loss in | ||||
| 14 | subsequent periods | ||||
| 15 | Acluarial galn on defined benefit plans, net | ||||
| 16 | of tax | 0 | 0 | 237 | 642 |
| 17 | Actuarial gain/(loss) on defined benefit | ||||
| 18 | plans of_he joint venturesnet of tax | 237 | 17 | 621 | 99 |
| 19 | Net other comprehensive incomellloss) | ||||
| 20 | not to be reclassified to profit or loss | ||||
| 21 | In the subsequent periods net of tax | 237 | -4 | 858 | 1741 |
| 22 | Net other comprehensive income for the | ||||
| 23 | period,net of tax | 343602 | 77090 | 494.51 | 640733 |
| 24 | Total comprehensive income for the | 0 | 0 | 1 | |
| 25 | period net of tax | 801051 | 463.232 | 4143.503 | 1802.069 |
| 26 | Net profitl(loss) for the period | ||||
| 27 | attributable to: | ||||
| 28 | Equity holders of the Parent Company | 445795 | 368228 | 971210 | 1122624 |
| 29 | Non-conlrolling interests | 11654 | 12.914 | -22217 | 38712 |
| 30 | Total comprehensive incomellloss) | ||||
| 31 | attributable to: | ||||
| 32 | Equity holders of the Parent Company | 789397 | 445034 | 1165678 | 1762669 |
| 33 | Non-controlling_interests | 11654 | 18.198 | -22175 | 39.4 |
| 34 | Earnings per share". lenge thousands | ||||
| 35 | Basic and diluled | 0.73 | 0.6 | 1.59 | 184 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Cash | 1 266 462 |
| Debt Short | 484 238 |
| Debt Long | 3 748 689 |
| Assets | 17 600 464 |
| Equity | 10 714 707 |
| Net debt | 3 051 681 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | JSC "National Company "KazMunayGas" Interim condensed consolidated financial statements (unaudiled) | ||
| 1 | INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION | ||
| 2 | Asat September 30,2023 | ||
| 3 | Assets | ||
| 4 | Non-current assets | ||
| 5 | Exploration arid evaluation assets | 184823 | 251280 |
| 6 | Property , plant and equipment | 7045053 | 6989837 |
| 7 | Investment property | 17238 | 17304 |
| 8 | Intangible assets | 893077 | 918253 |
| 9 | Right-of-use assets | 115505 | 76567 |
| 10 | Investments in joint ventures and associates | 5513494 | 4947403 |
| 11 | VAT receivable | 25050 | 16760 |
| 12 | Advances for non-current assets | 42356 | 52982 |
| 13 | Other non-current non-financial assets | 5059 | 3713 |
| 14 | Loans and receivables due from related parties | 140812 | 129857 |
| 15 | Other non-current financial assets | 23830 | 10672 |
| 16 | Long-term bank deposits | 61505 | 59229 |
| 17 | Deferred income tax assets | 44062 | 44598 |
| 18 | Current assets | ||
| 19 | Inventories | 391057 | 309425 |
| 20 | Trade accounts recelvable | 731426 | 519537 |
| 21 | VAT receivable | 57261 | 42697 |
| 22 | Income Iax prepaid | 31879 | 36167 |
| 23 | Olher current non-financial assels | 147574 | 109137 |
| 24 | Loans and receivables due from related parties | 86478 | 119874 |
| 25 | Olher current financial assels | 73812 | 57057 |
| 26 | Shorl-lerm bank deposits | 702278 | 1178138 |
| 27 | Cash and cash equivalents | 1266.462 | 762.817 |
| 28 | Assels classified as held for sale | 373 | 459 |
| 29 | Total assets | 17600464 | 16650.763 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | JSC "National Company "KazMunayGas" Interim condensed consolidated financial statements (unaudited) | ||
| 1 | INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION (continued) | ||
| 2 | Equity and liabilities | ||
| 3 | Equity | ||
| 4 | Share capital | 916541 | 916541 |
| 5 | Additlonal paid-In capital | 1142 | 1142 |
| 6 | Other equllty | -839 | -1759 |
| 7 | Currency Iranslalion reserve | 4402302 | 4209612 |
| 8 | Retained earnings | 5480777 | 4809455 |
| 9 | Attributable to equity holders of the Parent Company | 10799923 | 9934991 |
| 10 | Non-controlllng interests | 85.216 | -1541 |
| 11 | Total equity | 10714707 | 9873.45 |
| 12 | Non-current liabilities | ||
| 13 | Borrowings and bonds | 3647106 | 3775891 |
| 14 | Lease liabilities | 101583 | 65872 |
| 15 | Olher non-current financial liabilities | 16489 | 15080 |
| 16 | Provisions | 235522 | 210722 |
| 17 | Employee benefil liabilities | 67101 | 66096 |
| 18 | Olher non-current non-financial liabilities | 38507 | 41548 |
| 19 | Deferred Income lax liabiliiles | 1174022 | 999010 |
| 20 | Current liabilities | ||
| 21 | Trade accounts payable | 703303 | 564906 |
| 22 | Borrowings and bonds | 466803 | 367443 |
| 23 | Lease llabililies | 17435 | 15682 |
| 24 | Other current financial liabililies | 114725 | 283717 |
| 25 | Provisions | 28136 | 58107 |
| 26 | Employee benefit liabililies | 4814 | 4969 |
| 27 | Income (ax payable | 25166 | 66648 |
| 28 | Other laxes payable | 124495 | 148477 |
| 29 | Other current non-Iinancial Ilabililies | 420550 | 93145 |
| 30 | Total liabilities | 6885757 | 6777313 |
| 31 | Total equity and liabilities | 17600464 | 16650.763 |
| 32 | Book_value per ordinary share _ Jenge lhousands | 16.098 | 14.678 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Operating CF | 956 772 |
| Investing CF | -66 313 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | JSC "National Company "KazMunayGas" Interim condensed consolidated financial statements (unaudited) | ||
| 1 | INTERIM CONSOLIDATED STATEMENT OF CASH FLOWS | ||
| 2 | Forthe Wine Wonths cuded September 30.2023 | ||
| 3 | In millions ol lenge | ||
| 4 | Cash (lows from operating activities | ||
| 5 | Profit before income tax | 1200441 | 464600 |
| 6 | Adjustments: | ||
| 7 | Depreciation , depletion and amortization | 441317 | 374882 |
| 8 | Impairment(reversal of impairment) of property , plant and | ||
| 9 | equipment , intangible assets and exploration expenses | 200778 | -229 |
| 10 | Realized (gains)losses from derivatives on petroleum products | -451 | 100246 |
| 11 | Finance income | -112964 | -92035 |
| 12 | Finance costs | 233690 | 227621 |
| 13 | Share in profil of joint ventures and associales, nel | -565159 | -778508 |
| 14 | Movements in provisions | -10335 | 63937 |
| 15 | Nel foreign exchange (gain)lloss | -65781 | 8396 |
| 16 | Gain on disposal of subsidiary | -186225 | 0 |
| 17 | Wrile aff of inventories to net realizable value | 912 | 10705 |
| 18 | (Gain)/loss on disposal of property, plant and equipment, intangible | ||
| 19 | assets , Iinvestment property and assets held for sale , net | -536 | 1387 |
| 20 | Olher adjustments | 8884 | 7984 |
| 21 | Operating profit before working capital changes | 1144571 | 388986 |
| 22 | Change in VAT receivable | -22638 | 7484 |
| 23 | Change in inventory | -75000 | -104690 |
| 24 | Change in trade accounts receivable and olher current assets | -205077 | -103647 |
| 25 | Change in Irade and other payables and contract liabilities | 131118 | 17993 |
| 26 | Change in olher taxes payable | -56450 | 14.915 |
| 27 | Cash generated from operating activities | 916524 | 1221041 |
| 28 | Divldends received from joint ventures and associates | 215798 | 250381 |
| 29 | Income Iaxes paid | -114055 | -84192 |
| 30 | Interest received | 84311 | 33722 |
| 31 | Interest paid | -145806 | -132.154 |
| 32 | Net cash flow from operating activities | 956772 | 1288.798 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | JSC ~National Company "KazMunayGas" Interim condensed consolidated financial statements (unaudited) | ||
| 1 | INTERIM CONSOLIDATED STATEMENT OF CASH FLOWS (continued) | ||
| 2 | In millions ol tenge | ||
| Investing activities | |||
| 3 | Cash flows from investing activities | ||
| 4 | Placement of bank deposits | -1018100 | -961876 |
| 5 | Withdrawal of bank deposits | 1503410 | 908555 |
| 6 | Purchase of property, plant and equipment, intangible assets and | ||
| 7 | exploration and evaluation assets | -498042 | -292923 |
| 8 | Proceeds from sale of property, plant and equipment, exploralion and | 4 | |
| 9 | evaluation assels and assets held for sale | 3009 | 1816 |
| 10 | Additional contributions to joint ventures wilhout changes in ownership 19 | -19617 | -67 |
| 11 | Acquisition of subsidiary | -163770 | -1022663 |
| 12 | Proceeds from disposal of subsidiaries, net of cash disposed | 94624 | |
| 13 | Loans given t0 related parties | -29950 | -39402 |
| 14 | Repayment of loans due from related parties | 13600 | 12958 |
| 15 | Proceeds from sale of noles of the Nalional Bank of RK | 375240 | 0 |
| 16 | Acquisition of noles of the Nalional Bank of RK | -327692 | -7000 |
| 17 | Olher | 975 | -749 |
| 18 | Net cash flows used in investing activities | -66313 | -1401.351 |
| Financing activities | |||
| 19 | Cash flows from financing activities | ||
| 20 | Proceeds from borrowings | 288560 | 877566 |
| 21 | Repayment of borrowings | -375931 | -153220 |
| 22 | Dividends paid to shareholders | -300002 | -199997 |
| 23 | Dividends paid (0 non-controlling Interests | -1566 | -1020 |
| 24 | Distributions to Samruk-Kazyna | -183 | -265833 |
| 25 | Contribution from the relaled party | 0 | 3742 |
| 26 | Olher operalions | -8962 | 0 |
| 27 | Repayment ol principal portion of lease_liabilities_ | -18233 | -16075 |
| 28 | Net cash flows (used inJfrom financing activities | -416317 | 245163 |
| 29 | Effecls of exchange rale changes on cash and cash equivalents | 29511 | 98001 |
| 30 | Change _in allowance for expected credit losses | -8 | 111 |
| 31 | Net change in cash and cash equivalents | 503645 | 231322 |
| 32 | Cash and cash equivalenls_at the beginning of the period | 762.817 | 1144.193 |
| 33 | Cash and cash equivalents at the end of the period | 1266.462 | 1375.515 |