print version 

Find company
Home About the ProjectContact usFor the Clients
Enter code or ISIN
 
alpha / industry search

Issuers' Corner
Press Releases
Annual Reports Library

Financial Statements
SEC & FFMS Filings
Corporate Presentations
GM Materials
Issues Documents
Corporate Governance Materials
Russian Company Guide
Company Profiles
Corporate Calendar
Markets Corner
Consensus Estimates
Media Corner
News Line


Get updates



Home  Issuers' Corner  Press Releases REGISTER LOG IN

Press Releases

company search
all press releases
all Rosseti Centre press releases

Rosseti Centre

October 28, 2021

The Rosseti Centre company published its financial statements for 9 months of 2021 under RAS, net profit increased by 115%

The Rosseti Centre company published its financial statements for 9 months of 2021 under RAS, net profit increased by 115% According to the prepared in accordance with the Russian Accounting Standards statements for 9 months of 2021, revenue of Rosseti Centre, PJSC (the ticker — MRKC) was 74 098,2 mln RUB, including from electric energy transmission — 71 170,2 mln RUB, from grid connections — 693,8 mln RUB, from sale of electric energy and power — 406,6 mln RUB and other revenue — 1 827,6 mln RUB. Sales profit was 6 619,2 mln RUB. Earnings before interest, taxes, depreciation and amortization (EBITDA2) reached 15 328,0 mln RUB, EBITDA margin increased against the same period last year and was 20,7%. Net profit increased by 115,3% up to 3 446,6 mln RUB.

Data in million RUB, unless specified otherwise

Indicators

9M 2021

9M 2020

Change

Revenue (total), including:

74 098,2

68 250,1

8,6%

Revenue from electric energy transmission

71 170,2

65 486,5

8,7%

Revenue from grid connection

693,8

696,8

-0,4%

Revenue from sale of electric energy and power

406,6

377,8

7,6%

Other revenue

1 827,6

1 688,9

8,2%

Cost of sales

66 022,0

62 433,8

5,7%

Sales profit1

6 619,2

4 188,0

58,1%

Sales profit margin

8,9%

6,1%

2,8 p.p.

EBITDA2

15 328,0

12 791,4

19,8%

EBITDA margin

20,7%

18,7%

2,0 p.p.

Net profit

3 446,6

1 600,8

115,3%

Net profit margin

4,7%

2,3%

2,4 p.p.

Amount of electric energy transmitted*, million kWh

35 032,9

33194,0

5,5%

Electric energy losses, %

9,33%

9,53%

-0,20p.p.

Indicators

As of 30.09.2021

As of 31.12.2020

Change

Total assets

129 855,0

130 309,7

-0,3%

Net assets

60 610,6

58 593,8

3,4%

Loans and credits

43 433,0

45 297,7

-4,1%

Cash and cash equivalents + Financial investments (short-term)

1 256,8

1 036,2

21,3%

Net debt3

42 176,1

44 261,5

-4,7%

[1] Revenue net of cost of sales, selling and administrative expenses

[2] EBITDA is calculated as follows: net profit + profit tax and other similar mandatory payments + interest payable — interest receivable + depreciation charges

[3] Net debt is calculated as follows: long-term debt + short-term debt — cash and cash equivalents — short-term financial investments

* Taking into account the volume of services for the transmission of electricity in the territory of execution of the functions of the electricity supplier of last resort in the Tver region in the service area of JSC Transservisenergo

The volume of services for the transmission of electricity amounted to 35 032,9 million kWh, compared to the same period last year, there was an increase in volumes by 5,5%, which was a consequence of a significant increase in electricity consumption, which was caused by both the climatic factor and the growth of business activity in connection with the softening of restrictive measures. The level of electricity losses decreased by (-0,20) p.p. and was 9,33%. The main reason for the change in the level of losses is the purposeful implementation of a program of measures to reduce electricity losses.

Revenue for electricity transmission services following the results of 9 months of 2021 increased by 8,7% against the same period of 2020 due to growth in electricity consumption and an increase in the tariff for electricity transmission from 1 July 2021. Revenue from grid connection services following the results of 9 months of 2021 practically did not change relative to the same period in 2020 (a decrease by 0,4%). The provision of services for grid connection took place within the framework of current applications. Other revenue for 9 months of 2021 against the same period of 2020 increased by 8,2% and was 1 827,6 mln RUB. The growth in the other revenue is due to implementation of strategic initiatives to increase non-tariff income.

The Company’s total assets as of 30 September 2021 decreased slightly and amounted to 129 855,0 mln RUB. The Company’s net assets grew up by 3,4% and amounted to 60 610,6 mln RUB. The net debt3 decreased to 42 176,1 mln RUB (as of 31 December 2020 — 44 261,5 mln RUB). The Company’s statements for 9 months of 2021 can be found at: https://www.mrsk-1.ru/en/information/statements/rsbu/2021/.





Search by industry

Agriculture, Foresty and Fishing | Chemicals | Engineering | Ferrous Metals | Financial, Insurance & Real Estate | Food & Kindred Products | General Construction | Information Technology | Media & Publishing | Non-Ferrous Metals | Oil & Gas | Pharmaceuticals | Power Industry | Precious Metals and Diamonds | Telecommunications | Transportation | Wholesale & Retail Trade

Search by alpha index

A B C D F G I K L M N O P R S T U V W X Z


Site Map
© RUSTOCKS.com
Privacy Statement | Disclaimer