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: Link
PDF (local): /home/ubuntu/projects/frontier/data/raw_pdfs/KZTO/2025-09-30_Q3_interim-condensed-consolidated-financial-statements-for-the-.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 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 | 254 149.59 | Row: revenue (mln KZT, batch apply) · dashboard=254,149.592 mln — [DeepSeek] revenue (mln KZT, batch apply) |
| Operating profit | 38 141.5 | Row: operating_profit (mln KZT, batch apply) · dashboard=38,141.496 mln — [DeepSeek] operating_profit (mln KZT, batch apply) |
| D&A | 49 381.93 | Row: da (mln KZT, batch apply) · dashboard=49,381.932 mln — [DeepSeek] da (mln KZT, batch apply) |
| EBITDA | 87 523.43 | Row: ebitda (mln KZT, batch apply) · dashboard=87,523.428 mln — [DeepSeek] ebitda (mln KZT, batch apply) |
| Net profit | 39 155.06 | Row: net_profit (mln KZT, batch apply) · dashboard=39,155.062 mln — [DeepSeek] net_profit (mln KZT, batch apply) |
| Cash | 114 717.44 | Row: cash (mln KZT, batch apply) · dashboard=114,717.438 mln — [DeepSeek] cash (mln KZT, batch apply) |
| Debt short | 19 905.62 | Row: debt_short (mln KZT, batch apply) · dashboard=19,905.624 mln — [DeepSeek] debt_short (mln KZT, batch apply) |
| Debt long | 89 515.14 | Row: debt_long (mln KZT, batch apply) · dashboard=89,515.141 mln — [DeepSeek] debt_long (mln KZT, batch apply) |
| Net debt | -5 296.67 | Components: short debt 19 905.62 + long debt 89 515.14 + other financial liab. 0 + NCI 0 − cash 114 717.44 = net debt -5 296.67.Row: net_debt (mln KZT, batch apply) · dashboard=-5,296.673 mln — [DeepSeek] net_debt (mln KZT, batch apply) |
| Operating CF | 80 101.06 | Row: operating_cash_flow (mln KZT, batch apply) · dashboard=80,101.059 mln — [DeepSeek] operating_cash_flow (mln KZT, batch apply) |
| Investing CF | -830.67 | Row: investing_cash_flow (mln KZT, batch apply) · dashboard=-830.668 mln — [DeepSeek] investing_cash_flow (mln KZT, batch apply) |
| Assets | 1 396 616.33 | Row: total_assets (mln KZT, batch apply) · dashboard=1,396,616.332 mln — [DeepSeek] total_assets (mln KZT, batch apply) |
| Equity | 1 012 939.79 | Row: total_equity (mln KZT, batch apply) · dashboard=1,012,939.785 mln — [DeepSeek] total_equity (mln KZT, batch apply) |
| ✓ | Balance sheet identity (A = L + E) | TA (1,396,616) ≈ TL (383,677) + TE (1,012,940); residual +0 within 1%. |
| ✓ | Net debt formula | net_debt -5,297 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -5,297. |
| ✓ | EBITDA = OP + D&A | EBITDA (87,523) ≈ OP (38,141) + D&A (49,382) = 87,523. |
| ✓ | Net profit vs operating profit | Net profit (39,155) sits within a plausible band vs operating profit (38,141). |
| ✓ | Cash ≤ total assets | Cash (114,717) ≤ total assets (1,396,616). |
| Form | Pages |
|---|---|
| P&L | 6, 7 |
| BS | 4, 5 |
| CF | 8, 9 |
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 | 254 149.59 |
| Operating profit | 38 141.5 |
| EBITDA | 87 523.43 |
| Net profit | 39 155.06 |
| D&A | 49 381.93 |
No Camelot table — OCR (v8) below.
| # | Joined label | 2025 | 2024 | 2025 | 2024 |
|---|---|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF COMPREHENSIVE | ||||
| 2 | INCOME | ||||
| 3 | In thousands Ol Tenge | 2025 | 2024 | 2025 | 2024 |
| 4 | Revenue | 91001891 | 79051295 | 254149592 | 230060511 |
| 5 | Cost ol sales | -69882223 | -64123.938 | -204789515 | -192.2125 |
| 6 | Gross profit | 21119668 | 14927357 | 49360077 | 37848001 |
| 7 | General and administralive expenses | -4051452 | 3.645 | -12202933 | -11589294 |
| 8 | Other operating income | 303580 | 527229 | 1975351 | 1779462 |
| 9 | Qther operating expenses | 243.586 | -1200578 | 990.999 | 353.572 |
| 10 | Operating profit | 17128210 | 10608543 | 38141496 | 27684597 |
| 11 | Net foreign exchange gainv(lss) | 757572 | 52 | 274309 | 147548 |
| 12 | Finance income | 3733248 | 2853636 | 10343300 | 8650418 |
| 13 | Finance costs | -5275195 | -4097553 | -15544807 | -13308367 |
| 14 | Share in income of joint ventures | 4987900 | 5066838 | 13447626 | 13856231 |
| 15 | Profit bafore Income tax | 21331735 | 14179464 | 46662124 | 37030427 |
| 16 | Income tax expense | 3.756 | -2048.828 | -4507062 | 6.376 |
| 17 | Net proflt tor the period _ | 17575430 | 12130636 | 39155062 | 31653568 |
| 18 | Basic and diluted earnings | ||||
| 19 | per share (in Tenge) | 46 | 32 | 102 | 82 |
| 20 | Other comprehensive incomelloss) | ||||
| 21 | Other comprehensive income t0 be reclassified | ||||
| 22 | to_profit or loss in subsequent periods | ||||
| 23 | Exchange difiference from translation of foreign | ||||
| 24 | operations ol the Group | 3920751 | 2014843 | 4080970 | 3016.691 |
| 25 | Total other comprehensive Income to ba | ||||
| 26 | reclassified to profit or loss in gubsequent | ||||
| 27 | periods net | 3920751 | 2014.843 | 4080.97 | 3016691 |
No Camelot table — OCR (v8) below.
| # | Joined label | 2025 | 2024 | 2025 | 2024 |
|---|---|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF COMPREHENSIVE | ||||
| 2 | INCOME (continued) | ||||
| 3 | In thousands of [0ng0 | 2025 | 2024 | 2025 | 2024 |
| 4 | Other comprehensive incomel(loss) not | ||||
| 5 | to be reclassified to profit or loss in | ||||
| 6 | subsequent periods | ||||
| 7 | Revaluationk(impairment) of property, plant | ||||
| 8 | and equipmeni of the Group, net | 5104620 | -3631122 | 8992314 | 5222324 |
| 9 | Income tax effect | 20.924 | 726224 | -1798463 | -1044465 |
| 10 | Impairment of property. plant and equipment | ||||
| 11 | of the joint ventures , net | 0 | 0 | -12482 | 0 |
| 12 | Income tax effect | 0 | 2497 | 0 | |
| 13 | Income tax effect On disposals of property, | ||||
| 14 | plant and equipment | 0 | 0 | 1716.929 | 0 |
| 15 | Decreasel(charge) of provision for asset | ||||
| 16 | retirement and land recultivation obligation | ||||
| 17 | of the Group | 0 | -3638070 | 1075656 | -2892848 |
| 18 | Income_lax eftect | 727814 | -215132 | 578570 | |
| 19 | Decreasel(charge) of provision for assel | ||||
| 20 | retiremenl and land recultivation obligation | ||||
| 21 | of the joint venlures | -11225 | -378329 | 111767 | 126140 |
| 22 | Income_tax effect | 2244 | 75666 | 22.354 | -25228 |
| 23 | Actuarial loss from employee benefit | ||||
| 24 | obligations of the Group | 0 | 0 | 2.286 | |
| 25 | Income tax etfecl | 0 | 0 | 62851 | |
| 26 | Total other comprehensive incomelloss) | ||||
| 27 | not to be reclassified to profit or loss In | ||||
| 28 | subsequent periodsnet | 4074.715 | -6118.017 | 9850732 | -259.427 |
| 29 | Total other comprehensive incomel(loss) | ||||
| 30 | for tha period,net of tax | 7995466 | -4103174 | 13931702 | 2757.264 |
| 31 | Tolal comprehensive Incomo for | ||||
| 32 | theperiodnet of tax | 25570896 | 8027462 | 53086764 | 34410832 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Cash | 114 717.44 |
| Debt Short | 19 905.62 |
| Debt Long | 89 515.14 |
| Assets | 1 396 616.33 |
| Equity | 1 012 939.79 |
| Net debt | -5 296.67 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION | ||
| 2 | In thousands of Tenge | ||
| 3 | Assets | ||
| 4 | Non-current assets | ||
| 5 | Property . plant and equipment | 1076242553 | 1092284434 |
| 6 | Intangible assets | 9044788 | 8706512 |
| 7 | Right-of-use assets | 4860121 | 5730642 |
| 8 | Investments in joint ventures | 113166119 | 116679065 |
| 9 | Advances to suppliers for property , plant and equipment | 894716 | 2999451 |
| 10 | VAT recoverable | 9866117 | 11417747 |
| 11 | Other long-term accounts receivable | 793484 | 691020 |
| 12 | Long-term bank deposits | 262259 | 412163 |
| 13 | Deferred tax assets | 1886089 | 988119 |
| 14 | Other non-current assets | 138912 | 132853 |
| 15 | Current assets | ||
| 16 | Inventories | 10117598 | 8108007 |
| 17 | Trade and olher accounts receivable | 11459363 | 9063837 |
| 18 | Advances to suppliers | 2018795 | 321816 |
| 19 | Prepayment for income tax | 390544 | 385186 |
| 20 | VAT recoverable and other prepaid taxes | 3517256 | 5670000 |
| 21 | Other current assets | 10260972 | 6611565 |
| 22 | Other financial assets | 25979208 | 37255196 |
| 23 | Cash and cash equivalents | 114717438 | 72843539 |
| 24 | Totalassets | 1396616332 | 4380081.152 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION | ||
| 2 | (continued) | ||
| 3 | In thousands f Tenge | ||
| 4 | Equity and liabilitles | ||
| 5 | Equity | ||
| 6 | Share capital | 61937567 | 61937567 |
| 7 | Treasury shares repurchased from shareholders | -9549 | -9549 |
| 8 | Asset revaluation reserve | 323092794 | 382625789 |
| 9 | Foreign currency translation reserve | 57663638 | 53582668 |
| 10 | Other capital reserves | 1205950 | 205950 |
| 11 | Retained eamings | 569049.385 | 513588632 |
| 12 | Total equity | 1012939785 | 992931.037 |
| 13 | Non-current Iiabilities | ||
| 14 | Loans received | 47759942 | 46269207 |
| 15 | Issued debt securties | 38102421 | 38897921 |
| 16 | Employee beneiit obligations | 20201835 | 19295878 |
| 17 | Deferred tax liabilities | 95033478 | 97344310 |
| 18 | Provision for asset retirement and land recultivation obligation | 39258457 | 37405274 |
| 19 | Contract liabilities to customers | 28962407 | 30952291 |
| 20 | Lease Iiabil ties | 3652778 | 4462431 |
| 21 | Other non-current accounts payable | 347006 | 331870 |
| 22 | Current Iiabilities | ||
| 23 | Loans received | 8998856 | 6994743 |
| 24 | Issued debt securities | 8396605 | 6975078 |
| 25 | Current part of employee benefit obligations | 1385724 | 348358 |
| 26 | Income tax payable | 1781386 | 1176536 |
| 27 | Trade and other accounts payable | 12540660 | 28212066 |
| 28 | Lease liabilities | 2510363 | 2512325 |
| 29 | Contract liabilities to customers | 32563922 | 28391963 |
| 30 | Other taxes payable | 3257784 | 535143 |
| 31 | Provisions | 1610958 | 1498155 |
| 32 | Other curent liabilities | 37.3122 | 33.5466 |
| 33 | Total Ilabilities | 383676547 | 387150115 |
| 34 | Total equity and iabilities | 1396616332 | 1380081.152 |
| 35 | Book value per ordinary share (in Tenge)_ | 2610 | 2559 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Operating CF | 80 101.06 |
| Investing CF | -830.67 |
No Camelot table — OCR (v8) below.
| # | Joined label | 2025 | 2024 |
|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS | ||
| 2 | In thousands of Tenge | 2025 | 2024 |
| 3 | Cash flows from operating actlvitles | ||
| 4 | Profit before income tax | 46662124 | 37030427 |
| 5 | Adjustment to reconcile profit before income tax to net cash | ||
| 6 | flows | ||
| 7 | Depreciation and amortization | 49381932 | 49637340 |
| 8 | Finance costs | 15544807 | 13308367 |
| 9 | Share in income of joint ventures | 13.447 | 13.856 |
| 10 | Finance income | 10.343 | -8650418 |
| 11 | Amortization of deferred income | -2387480 | -2323172 |
| 12 | Employee benefits expenses, current service costs | 550299 | 606969 |
| 13 | Impairment of property, plant and equipment and intangible | ||
| 14 | assets | 665803 | 4.583 |
| 15 | Revision of estimates and reversal on provision for asset | ||
| 16 | retirement and land recultivation obligation; net | -535004 | -287524 |
| 17 | Foreign exchange gain, net | -274309 | -147548 |
| 18 | (IncomeJloss on disposal of property, plant and equpment and | 3 | |
| 19 | intangible assets, net | -190579 | 34.744 |
| 20 | Write-off of VAT recoverable | 155082 | 137619 |
| 21 | (Reversal)Icharge of allowance for expected credit losses, net | -84372 | 40456 |
| 22 | Actuarial gain | 3 | -110265 |
| 23 | Others | 1814 | 158.513 |
| 24 | Operating cash flows before worklng capltal changes | 85625343 | 75286834 |
| 25 | (Increase)ldecrease in operating assets | ||
| 26 | Inventories | -1326869 | -355362 |
| 27 | Trade and other accounts receivable | 479.587 | -1266693 |
| 28 | Advances to suppliers | 1.492 | 215105 |
| 29 | VAT recoverable and other prepaid taxes | 256501 | 7237091 |
| 30 | Other current assets | -3892983 | 277366 |
| 31 | Increasel(decrease) in operatlng liabilities | ||
| 32 | Trade and other accounts payable | -3980751 | -3857841 |
| 33 | Contract liabilities to customers | 4088845 | -2849909 |
| 34 | Other taxes payable | 4095683 | -3319962 |
| 35 | Other current and non-current liabilities and employee benefit | ||
| 36 | obligations | 1178240 | 5.931 |
| 37 | Cash generated from operating activities | 83051507 | 65415012 |
| 38 | Income taxes paid | -9550190 | 0.469 |
| 39 | Interest received | 9430622 | 6967520 |
| 40 | Interest pald | 2.83 | 160.278 |
| 41 | Net cash flows from operating activities | 80101.059 | 64753165 |
No Camelot table — OCR (v8) below.
| # | Joined label | 2025 | 2024 |
|---|---|---|---|
| 0 | KazTransOil JSC Interim condensed consolidated financial statements | ||
| 1 | INTERIM CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS (continued) | ||
| 2 | In thousends ot Tenge | 2025 | 2024 |
| Investing activities | |||
| 3 | Cash flows from investing activities | ||
| 4 | Proceeds from redemption of notes of the National Bank | 226063546 | 161685032 |
| 5 | Purchase of notes of Ihe National Bank | -224563545 | -185148964 |
| 6 | Purchase of property, plant and equipment and intangible assets | -38394675 | 36974927 |
| 7 | Dividends received from joint ventures | 17040000 | 9564571 |
| 8 | Proceeds from redemption of bonds of Samruk-Kazyna | 20000000 | 0 |
| 9 | Purchase of bonds of Samruk-Kazyna | -10000000 | |
| 10 | Purchase of debt securities of foreign countries | -511965 | 0 |
| 11 | Proceeds of debt securities of foreign countries | 511965 | 0 |
| 12 | Placement of time bank deposits | -1095731 | 1393477 |
| 13 | Withdrawal of time bank deposits | 184781 | 214295 |
| 14 | Proceeds from sale property , plant and equipment of non-current | ||
| 15 | assets held far sale | 8905177 | 10562 |
| 16 | Proceeds_irom coorate bonds redemption | 29779 | 0 |
| 17 | Net cash flows_ recelved Trom Investing actlvltles | -830868 | 29.255 |
| Financing activities | |||
| 18 | Cash flows from financing activities | ||
| 19 | Dividends paid | -33078016 | -25000826 |
| 20 | Proceeds from loans received | 3 | 21000000 |
| 21 | Repayment of loans received | 0 | -21000000 |
| 22 | Payment on debt securities | 2.993 | 0 |
| 23 | Payment of lease liabilities | -2045807 | -1955149 |
| 24 | Net cash flows_used In financing activities | -38117558 | 26.955 |
| 25 | Net change in cash and cash equivalents | 41152833 | 8541236 |
| 26 | Net foreign exchange difference | 926089 | 867204 |
| 27 | Change in allowance for expected credit losses | -5023 | -848 |
| 28 | Cash and cash equivalents at the beginning of the perod | 72643539 | 76672.612 |
| 29 | Cash and cash eguivalents atthe end of the period | 114717438 | 86080204 |