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KMGZ 2024-12-31 FY — report review

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/2024-12-31_FY_12m2024-conso-fs-kmg-eng-final.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)

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
Revenue9 242 104Row: Total revenue and other income · value=9,242,104 · pages 7, 8, 9 — [PL OCR v8 pages 7,8,9] Total revenue and other income value=9242104.0
Operating profit964 518Row: derived from IFRS PBT bridge (no explicit Operating profit line on OCR) · value=964,518,000 · pages 7, 8, 9 — [PL OCR v8 pages 7,8,9] derived from IFRS PBT bridge (no explicit Operating profit line on OCR) value=964518000.0
D&A599 543Row: Depreciation, depletion and amortization · value=599,543,000 · pages 7, 8, 9 — [PL OCR v8 pages 7,8,9] Depreciation, depletion and amortization value=599543000.0
EBITDA1 564 061Row: ebitda (mln KZT, batch apply) · dashboard=1,564,061.000 mln — [DeepSeek] ebitda (mln KZT, batch apply)
Net profit1 094 247Row: Net profit for the year · value=1,094,247,000 · pages 7, 8, 9 — [PL OCR v8 pages 7,8,9] Net profit for the year value=1094247000.0
Cash1 050 873Row: Cash and cash equivalents · value=1,050,873,000 · pages 9, 10, 11, 12 — [BS OCR v8 pages 9,10,11,12] Cash and cash equivalents value=1050873000.0
Debt short344 172Row: Borrowings; Lease liabilities; Other non-current financial liabilities · value=3,472,359,000 · pages 9, 10, 11, 12 — [BS OCR v8 pages 9,10,11,12] Borrowings ; Lease liabilities ; Other non-current financial liabilities value=3472359000.0
Debt long3 747 445Row: Borrowings; Lease liabilities; Other current financial liabilities · value=554,711,000 · pages 9, 10, 11, 12 — [BS OCR v8 pages 9,10,11,12] Borrowings ; Lease liabilities ; Other current financial liabilities value=554711000.0
Net debt3 140 148Components: short debt 344 172 + long debt 3 747 445 + other financial liab. 0 + NCI 99 404 − cash 1 050 873 = net debt 3 140 148.Row: net_debt (mln KZT, batch apply) · dashboard=3,140,148.000 mln — [DeepSeek] net_debt (mln KZT, batch apply)
Operating CF1 843 852Row: Net cash flow from operating activities · value=1,843,852,000 · pages 11, 12, 13, 14, 15 — [CF OCR v8 pages 11,12,13,14,15] Net cash flow from operating activities value=1843852000.0
Investing CF-1 042 955Row: Net cash flows_used in investing activities · value=1,042 · pages 11, 12, 13, 14, 15 — [CF OCR v8 pages 11,12,13,14,15] Net cash flows_used in investing activities value=1042.0
Assets16 941 101Row: Total assets · value=16,941,101,000 · pages 9, 10, 11, 12 — [BS OCR v8 pages 9,10,11,12] Total assets value=16941101000.0
Equity10 396 614Row: Total equity · value=10,396,614,000 · pages 9, 10, 11, 12 — [BS OCR v8 pages 9,10,11,12] Total equity value=10396614000.0

Consistency checks · All checks passed

Balance sheet identity (A = L + E)TA (16,941,101) ≈ TL (6,544,487) + TE (10,396,614); residual +0 within 1%.
Net debt formulanet_debt 3,140,148 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 3,140,148.
EBITDA = OP + D&AEBITDA (1,564,061) ≈ OP (964,518) + D&A (599,543) = 1,564,061.
Net profit vs operating profitNet profit (1,094,247) sits within a plausible band vs operating profit (964,518).
Cash ≤ total assetsCash (1,050,873) ≤ total assets (16,941,101).

Statement pages (discovery)

FormPages
P&L8, 9
BS10, 11
CF12, 13

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
Revenue9 242 104
Operating profit964 518
EBITDA1 564 061
Net profit1 094 247
D&A599 543
P&L — PDF page 8
PDF page scan — P&L — 8
P&L PDF page 8

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 8 (29 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 label2024Column 3
0JSC NC "KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
2For the year ended December 31,.2024
3In millions of tenge2024
4Revenue and ther income
5Revenue from contracts with customers83302618319543
6Share in profit of joint ventures and associates, net531230534177
7Gain from disposal of subsidiary16410186225
8Interest revenue calculated using the effective interest method184392139449
9Other finance income1232907332
10Qther_operating_income5237755378
11Total revenue and other income92379609242.104
12Costs and expenses
13Cost of purchased oil, gas, petroleum products and other materials-4347011-4621881
14Production expenses-1398604219.722
15Taxes other than income tax-592984-594080
16Depreciation, depletion and amortization-642666-599543
17Transportation and selling expenses-267824-245525
18General and administrative expenses-254148-165897
19Impairment of property, plant and equipment, intangible assets
20non-current advances for fixed assets and exploration expenses-69733-248140
21Finance costs-346096-321630
22Foreign exchange gain, net18545925222
23Expected credit losses-8316-11874
24Other expenses38.7033-42564
25Total costs and expenses-7806268.045
26Profit before income tax14573341196470
27Income tax expenses363.0873-269792
28Net profit for the year1094247926678
P&L — PDF page 9
PDF page scan — P&L — 9
P&L PDF page 9

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 9 (29 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 label2024Column 3
0JSC NC #KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (continued)
2In millions of tenge2024
3Other comprehensive incomel(loss)
4Other comprehensive (loss)income to be reclassified to profit or
5loss in subsequent periods
6Hedging effect-1463849
7Exchange differences on translation of foreign operations1492858-176814
8Net (loss)Igain on hedge of a net investment-35884746152
9Tax effect-9071211101
10Net other comprehensive incomel(loss) to be reclassified to
11profit or loss in the subsequent periods_net of tax1041.836118.512
12Other comprehensive incomel(loss) not to be reclassified to profit
13or loss in subsequent periods
14Actuarial gain on defined benefit plans of the Group870341
15Actuarial gain on defined benefit plans of the joint ventures114651
16Tax effect1327
17Net other comprehensive income not to be reclassified to
18profit or loss in the subsequent periods,net of tax985665
19Net other comprehensive incomellloss)for_the_Year_net of tax1042821-117847
20Total comprehensive_income for the year;net of tax2137068808831
21Net profitl(loss) for the year attributable to:
22Equity holders of the Parent Company1094438962700
23Non-controlling_interests191-36022
24Total comprehensive incomellloss) for the year attributable to:
25Equity holders of the Parent Company2136253845194
26Non-controlling interests81536.363
27Earnings per share** tenge thousands
28Basic and diluted1.7941.578

BS

Extracted metrics for this form (this period row)

MetricValue
Cash1 050 873
Debt Short344 172
Debt Long3 747 445
Assets16 941 101
Equity10 396 614
Net debt3 140 148
BS — PDF page 10
PDF page scan — BS — 10
BS PDF page 10

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 10 (31 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 label20242023
0JSC NC #KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF FINANCIAL POSITION
2As at December 34,.2024
3In millions of tenge20242023
4Assets
5Non-current assets
6Exploration and evaluation assets216448174.187
7Property, plant and equipment78341607171242
8Investment property1237419383
9Intangible assets943156883283
10Right-of-use assets122991101765
11Investments in joint ventures and associates53785134821427
12VAT receivable3039630360
13Advances for non-current assets8821650954
14Other non-current non-financial assets77674192
15Loans and receivables due from related parties12167394334
16Other non-current financial assets4824923217
17Long-term bank deposits7432963891
18Deferred income tax assets5070565829
19Current assets
20Inventories413741376444
21Trade accounts receivable443057561258
22VAT receivable4840860523
23Income tax prepaid4117033051
24Other current non-financial assets180754157257
25Loans and receivables due from related parties84240125569
26Other current financial assets6352874870
27Short-term bank deposits1513816997012
28Cash and cash equivalents1216.4511050873
29Assets classified as held for sale505180
30Total assets1893464716941101
BS — PDF page 11
PDF page scan — BS — 11
BS PDF page 11

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 11 (34 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 label20242023
0JSC NC *KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF FINANCIAL POSITION (continued)
2In millions of tenge20242023
3Equity and liabilities
4Equity
5Share capital916541916541
6Additional paid-in capital11421142
7Other equity-2373-910
8Currency translation reserve51328681090.281
9Retained earnings59858945488.964
10Attributable to equity holders of the Parent Company1203407210496.018
11Non-controlling interests-109788-99404
12Total equity1192428410396614
13Non-current liabilities
14Borrowings36441113365736
15Lease liabilities10333487880
16Other non-current financial liabilities709618743
17Provisions308129306219
18Employee benefit liabilities7599970975
19Other non-current non-financial liabilities3617537777
20Deferred income tax liabilities13918361122.939
21Current liabilities
22Trade accounts payable598787663930
23Borrowings323290391358
24Lease liabilities2088217400
25Other current financial liabilities169150145953
26Provisions1952433576
27Employee benefit liabilities65165703
28Income tax payable1560028285
29Other taxes payable83631116500
30Other current non-financial liabilities206303131.513
31Total liabilities70103636544487
32Total ecuity and liabilities1893464716941101
33Book value per ordinary share tenge thousands17.99815.593

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF1 843 852
Investing CF-1 042 955
CF — PDF page 12
PDF page scan — CF — 12
CF PDF page 12

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 12 (38 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 label2024Column 3
0JSC NC "KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF CASH FLOWS
2For the year ended December 31,2024
3In millions of tenge2024
Operating activities
4Cash flows from operating activities
5Profit before income tax14573341196470
6Adjustments:
7Depreciation, depletion and amortization642666599543
8Impairment of property, plant and equipment; intangible assets
9non-current advances for fixed assets and exploration expenses69733248140
10Gain on disposal of subsidiary-16410-186225
11Realized gain from derivatives on petroleum products-1950269
12Interest revenue calculated using the effective interest method-184392-139449
13Other finance income-1232900.332
14Finance costs346096321630
15Loss on disposal of joint venture192890
16Share in profit of joint ventures and associates, net-531230-534177
17Movements in provisions-15912-6158
18Net foreign exchange gain-184029-29107
19Write-off of inventories to net realizable value9424646
20Loss on disposal of property, plant and equipment, intangible
21assets, investment property and assets held for sale, net5241501
22Impairment/(reversal of impairment) of VAT receivable7063-282
23Change in financial guarantees1765344
24VAT non-recoverable12375811
25Allowance of expected credit loss831611874
26Operating profit before working capital changes1467556486250
27Change in VAT receivable6180-37306
28Change in inventory36690-76763
29Change in trade accounts receivable and other current assets1999364630
30Change in trade and other payables and contract liabilities-14266778727
31Change_in other taxes payable-134049-127565
32Cash generated from operations14336461327973
33Dividends received from joint ventures and associates701104619826
34Income taxes paid-182227-147166
35Interest received138511123389
36Interest_paid_-247182-256408
37Net cash flow from operating activities18438521667614
CF — PDF page 13
PDF page scan — CF — 13
CF PDF page 13

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 13 (47 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 label2024Column 3
0JSC NC "KazMunayGas" Consolidated financial statements
1CONSOLIDATED STATEMENT OF CASH FLOWS (continued)
2In millions of tenge2024
Investing activities
3Cash flows from investing activities
4Placement of bank deposits-20680611.46
5Withdrawal of bank deposits17344531614940
6Acquisition of subsidiary, net of cash acquired0-156388
7Deferred consideration paid for the acquisition of subsidiary-1520163.77
8Purchase of property , plant and equipment; intangible assets and
9exploration and evaluation assets-644752-683439
10Proceeds from sale of property, plant and equipment, exploration
11and evaluation assets and assets held for sale19393317
12Proceeds from disposal of subsidiary, net of cash disposed801094624
13Proceeds from disposal of share in joint venture129950
14Additional contributions to joint ventures without changes in
15ownership-74209-20117
16Loans given to related parties-67980-44672
17Repayment of loans due from related parties4502335963
18Acquisition of debt securities-1804163
19Proceeds from sale of debt securities13736289
20Guaranteed and other payments receivable from a joint venture
21participant99050
22Redeem of notes of the National Bank of RK308147451598
23Acquisition of notes of the National Bank of RK-302600-425263
24Other0697
25Net cash flows_used in investing activities1.042759.636
Financing activities
26Cash flows from financing activities
27Proceeds from borrowings214894385304
28Repayment of borrowings-647409-666232
29Dividends paid to shareholders-300002300.002
30Dividends paid to non-controlling interests-2759-1572
31Distribution of net assets of
32KazMunayGas Exploration Production JSC to non-controlling
33interest-59010
34Distributions to Samruk-Kazyna-2059-120
35Contribution from the related party014155
36Payment of principal portion of lease liabilities-26118-26933
37Proceeds from the repo agreements220740
38Repayment of the repo agreements-220740
39Other operations with Samruk-Kazyna-66528.962
40Other-45540
41Net cash flows used in financing activities780.56604.362
42Effects of exchange rate changes on cash and cash equivalents145268-15942
43Change in allowance for expected credit losses2714
44Net change in cash and cash equivalents165578287688
45Cash and cash equivalents_at the beginning_of theYear1050873763185
46Cash and cash equivalents,at the end of the year1216.45150873

Formulas used