bf/NASDAQ:YNDX_icon.png

COM:YANDEX

Yandex Metrica

  • Stock

USD

Last Close

18.94

15/06 13:34

Market Cap

15.14B

Beta: -

Volume Today

1

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
13.47B
-
17.02B
26.32%
9.68B
43.13%
6.80B
29.77%
8.78B
29.10%
47.59B
442.24%
11.20B
76.47%
24.15B
115.64%
-14.65B
160.68%
47.62B
424.95%
20.82B
56.27%
depreciation and amortization
3.69B
-
4.48B
21.35%
7.79B
73.75%
9.61B
23.31%
11.24B
16.99%
12.14B
7.99%
23.97B
97.51%
30.34B
26.58%
41.72B
37.49%
54.21B
29.94%
51.44B
5.11%
deferred income tax
-197M
-
115M
158.38%
-188M
263.48%
-864M
359.57%
-1.51B
75.12%
-1.86B
23.07%
1.84B
199.09%
685M
62.87%
-5.16B
853.72%
4.57B
188.50%
626.64M
86.28%
stock based compensation
754M
-
1.21B
60.48%
2.72B
124.63%
3.42B
25.90%
4.19B
22.53%
6.55B
56.26%
9.86B
50.41%
15.73B
59.59%
20.83B
32.43%
7.00B
66.41%
-109.03B
1,658.49%
change in working capital
-741M
-
-1.73B
133.60%
329M
119.01%
2.01B
509.73%
-978M
148.75%
-3.94B
302.56%
-8.79B
123.24%
-21.24B
141.71%
-28.75B
35.35%
-22.82B
20.65%
-21.44B
6.04%
accounts receivables
-966M
-
-714M
26.09%
-1.76B
146.92%
-2.38B
35.28%
-2.00B
16.31%
-4.71B
135.72%
-3.47B
26.27%
-6.33B
82.56%
-18.01B
184.40%
-15.90B
11.69%
-60.76B
282.01%
inventory
276M
-
-2.22B
905.80%
-6.18B
177.70%
-991M
83.95%
-1.50B
51.46%
-4.76B
216.86%
-18.31B
284.99%
3.99B
121.82%
accounts payables
3.82B
-
2.92B
23.47%
6.18B
111.43%
991M
83.95%
-16.03B
1,717.26%
22.84B
242.48%
52.58B
130.24%
50.61B
3.73%
other working capital
225M
-
-1.02B
552%
2.09B
305.70%
298M
85.76%
321M
7.72%
768M
139.25%
-5.32B
792.71%
2.62B
149.19%
-28.82B
1,201.34%
-41.18B
42.87%
-15.29B
62.87%
other non cash items
-2.28B
-
-5.55B
143.51%
-753M
86.44%
4.48B
694.95%
2.06B
54.13%
-32.27B
1,670.07%
6.30B
119.52%
-17.06B
370.88%
-4.69B
72.53%
-48.88B
943.19%
131.23B
368.45%
net cash provided by operating activities
14.71B
-
15.55B
5.72%
19.58B
25.92%
25.45B
30.00%
23.77B
6.59%
28.21B
18.68%
44.38B
57.31%
32.60B
26.53%
9.29B
71.50%
41.69B
348.60%
73.65B
76.66%
investments in property plant and equipment
-4.94B
-
-9.68B
96.09%
-13.04B
34.78%
-9.63B
26.22%
-12.39B
28.72%
-28.32B
128.61%
-20.54B
27.47%
-24.55B
19.51%
-44.62B
81.75%
-51.95B
16.43%
-108.41B
108.67%
acquisitions net
-2.44B
-
-6.36B
160.87%
-398M
93.74%
-918M
-
19.84B
2,261.66%
-347M
101.75%
-33.80B
9,640.06%
-8.24B
75.63%
975M
111.84%
-60.08B
6,262.37%
purchases of investments
-11.46B
-
-19.75B
72.26%
-44.43B
125.01%
-74.08B
66.72%
-70.27B
5.14%
-55.75B
20.67%
-91.05B
63.32%
-364.91B
300.79%
-278.00B
23.82%
-4.04B
98.55%
-6.29M
99.84%
sales maturities of investments
18.28B
-
7.93B
56.63%
46.11B
481.51%
70.97B
53.93%
75.89B
6.92%
92.50B
21.90%
62.58B
32.35%
303.29B
384.65%
352.58B
16.25%
32.88B
90.67%
167.66M
99.49%
other investing activites
-154M
-
-731M
374.68%
93M
112.72%
-373M
501.08%
-93M
75.07%
-2.32B
2,392.47%
222M
109.58%
25M
88.74%
268M
972.00%
-601M
324.25%
-3.82B
535.19%
net cash used for investing activites
-710M
-
-28.59B
3,926.62%
-11.68B
59.16%
-13.11B
12.25%
-7.79B
40.58%
25.96B
433.32%
-49.14B
289.28%
-119.95B
144.11%
21.99B
118.34%
-22.74B
203.38%
-172.15B
657.09%
debt repayment
-6.41B
-
-6.10B
4.96%
-5.40B
11.47%
-668M
87.62%
-21.28B
3,085.78%
-240M
98.87%
-374M
55.83%
-1.14B
203.48%
-54.16B
4,671.81%
-90.28B
66.69%
common stock issued
149.75M
-
72.65B
48,414.98%
1.18B
98.38%
common stock repurchased
-8.52B
-
-8.42B
1.12%
-77M
-
-10.09B
12,997.40%
-1.42B
85.90%
-10.16B
614.84%
-6.97B
31.47%
dividends paid
-29M
-
-90.25M
-
-82.79B
91,632.71%
-1.18B
98.58%
other financing activites
19.98B
-
3.13B
84.33%
102M
96.74%
376M
268.63%
158M
57.98%
-1.44B
1,010.13%
-791.50M
44.96%
160.36B
20,359.88%
-76.74B
147.86%
48.64B
163.38%
13.65B
71.93%
net cash used provided by financing activities
11.46B
-
-11.71B
202.15%
-6.02B
48.55%
-5.02B
16.64%
-587M
88.31%
-32.80B
5,488.42%
-2.39B
92.70%
139.68B
5,934.42%
-84.84B
160.74%
-5.52B
93.50%
103.93B
1,983.13%
effect of forex changes on cash
513M
-
9.00B
1,654.58%
4.72B
47.61%
-3.33B
170.57%
-976M
70.67%
4.29B
539.34%
-5.28B
223.18%
23.66B
547.94%
511M
97.84%
-8.39B
1,741.88%
6.51B
177.63%
net change in cash
25.97B
-
-15.75B
160.65%
6.59B
141.86%
3.99B
39.42%
14.42B
261.07%
25.66B
77.90%
-12.43B
148.46%
75.99B
711.22%
-53.05B
169.81%
5.04B
109.50%
11.94B
136.92%
cash at beginning of period
7.42B
-
33.39B
349.75%
17.64B
47.16%
24.24B
37.36%
28.81B
18.86%
43.23B
50.06%
68.89B
59.34%
56.45B
18.05%
132.45B
134.61%
79.40B
40.05%
84.89B
6.92%
cash at end of period
33.39B
-
17.64B
47.16%
24.24B
37.36%
28.23B
16.48%
43.23B
53.13%
68.89B
59.34%
56.45B
18.05%
132.45B
134.61%
79.40B
40.05%
84.44B
6.35%
96.84B
14.68%
operating cash flow
14.71B
-
15.55B
5.72%
19.58B
25.92%
25.45B
30.00%
23.77B
6.59%
28.21B
18.68%
44.38B
57.31%
32.60B
26.53%
9.29B
71.50%
41.69B
348.60%
73.65B
76.66%
capital expenditure
-4.94B
-
-9.68B
96.09%
-13.04B
34.78%
-9.63B
26.22%
-12.39B
28.72%
-28.32B
128.61%
-20.54B
27.47%
-24.55B
19.51%
-44.62B
81.75%
-51.95B
16.43%
-108.41B
108.67%
free cash flow
9.77B
-
5.87B
39.94%
6.53B
11.32%
15.82B
142.29%
11.38B
28.06%
-111M
100.98%
23.84B
21,573.87%
8.05B
66.21%
-35.33B
538.69%
-10.26B
70.95%
-34.76B
238.67%

All numbers in USD (except ratios and percentages)