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KZ:KASPI

Kaspi.kz

  • Stock

Last Close

103.83

22/11 21:00

Market Cap

25.48B

Beta: -

Volume Today

241.46K

Avg: -

Preview

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Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
65.35B
-
359.05B
449.44%
-324.55B
190.39%
185.09B
157.03%
-419.69B
326.75%
-28.28B
93.26%
accounts receivables
-372.74B
-
inventory
accounts payables
-179.65B
-
424.49B
336.29%
other working capital
-3.06B
-
-80.04B
2,512.14%
other non cash items
839.50B
-
203.72B
75.73%
306.93B
50.66%
net cash provided by operating activities
227.94B
-
554.45B
143.25%
-112.33B
120.26%
436.07B
488.21%
-178.86B
141.02%
278.65B
255.79%
investments in property plant and equipment
-7.19B
-
-21.84B
203.68%
-14.26B
34.70%
-6.96B
51.23%
-9.16B
31.66%
-23.24B
153.72%
acquisitions net
-5B
-
180M
103.60%
-24.23B
-
purchases of investments
-458.50B
-
-1.03T
123.78%
-492.34B
52.01%
-643.65B
30.73%
-299.31B
53.50%
-94.83B
68.32%
sales maturities of investments
225.47B
-
772.38B
242.57%
753.79B
2.41%
729.59B
3.21%
395.84B
45.75%
74.17B
81.26%
other investing activites
103M
-
net cash used for investing activites
-245.19B
-
-275.19B
12.24%
247.20B
189.83%
54.82B
77.83%
87.41B
59.47%
-43.79B
150.10%
debt repayment
-46.56B
-
-51.20B
-
common stock issued
common stock repurchased
-20.13B
-
-15.49B
23.03%
-9.61B
37.98%
-15.47B
60.98%
-2.85B
81.56%
dividends paid
-95.79B
-
-114.31B
19.34%
-142.34B
-
-161.06B
13.15%
other financing activites
-774M
-
-286.05B
36,857.24%
net cash used provided by financing activities
-67.64B
-
-273.23B
303.91%
-152.54B
44.17%
-182.56B
19.68%
-54.82B
69.97%
-286.05B
421.79%
effect of forex changes on cash
-9.63B
-
405M
104.21%
18.90B
4,566.91%
-16.37B
186.61%
-6.14B
62.48%
15.33B
349.64%
net change in cash
-94.52B
-
6.44B
106.82%
1.24B
80.83%
291.95B
23,539.76%
-152.41B
152.20%
-73.20B
51.97%
cash at beginning of period
615.36B
-
520.84B
15.36%
527.28B
1.24%
528.51B
0.23%
820.47B
55.24%
668.06B
18.58%
cash at end of period
520.84B
-
527.28B
1.24%
528.51B
0.23%
820.47B
55.24%
668.06B
18.58%
594.86B
10.96%
operating cash flow
227.94B
-
554.45B
143.25%
-112.33B
120.26%
436.07B
488.21%
-178.86B
141.02%
278.65B
255.79%
capital expenditure
-7.19B
-
-21.84B
203.68%
-14.26B
34.70%
-6.96B
51.23%
-9.16B
31.66%
-23.24B
153.72%
free cash flow
220.75B
-
532.61B
141.28%
-126.59B
123.77%
429.11B
438.98%
-188.02B
143.82%
255.41B
235.85%

All numbers in (except ratios and percentages)