US Stock MarketDetailed Quotes

MBT Mobile TeleSystems PJSC

Watchlist
  • 5.500
  • 0.0000.00%
Trading Oct 11 09:30 ET
4.65BMarket Cap8.17P/E (TTM)

Mobile TeleSystems PJSC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
32.63%44.98B
-37.04%9.02B
-8.14%142.85B
18.70%55.05B
-11.21%39.56B
35.31%33.91B
-63.76%14.32B
45.81%155.51B
27.42%46.38B
-31.86%44.56B
Net income from continuing operations
-36.36%11.12B
-75.41%4.02B
3.54%64.27B
3.68%13.75B
-12.05%16.71B
46.79%17.47B
-8.76%16.35B
12.66%62.07B
131.16%13.26B
1.75%18.99B
Operating gains losses
-261.34%-10.91B
364.21%4.47B
53.15%-5.51B
96.79%-53M
59.11%-741M
-61.27%-3.02B
73.61%-1.69B
-1,376.38%-11.75B
-126.06%-1.65B
0.00%-1.81B
Depreciation and amortization
9.26%29.24B
10.46%29.59B
10.86%111.09B
16.39%29.68B
9.90%27.86B
8.56%26.76B
8.43%26.78B
-6.30%100.21B
-4.23%25.5B
-5.86%25.35B
Deferred tax
-32.35%3.48B
-40.29%2.46B
-10.40%15.4B
-102.63%-60M
9.45%6.21B
11.66%5.14B
-11.15%4.11B
-2.72%17.19B
-36.44%2.29B
-12.20%5.67B
Other non cash items
169.85%18.63B
70.99%13.15B
2.24%35.93B
33.43%12.07B
14.86%9.26B
-20.40%6.9B
-17.82%7.69B
314.61%35.14B
-20.25%9.05B
-15.60%8.06B
Change In working capital
95.63%-467M
4.80%-28.93B
-265.21%-44.75B
113.88%4.25B
-13,106.56%-7.93B
13.70%-10.69B
-1,481.62%-30.38B
-361.85%-12.25B
124.91%1.99B
-99.62%61M
-Change in receivables
74.32%-12.44B
265.01%1.42B
-327.54%-5.43B
-40.32%2.21B
2,501.79%41.67B
-4,126.77%-48.44B
-11.07%-863M
137.69%2.39B
-2.33%3.7B
47.61%-1.74B
-Change in inventory
494.92%3.75B
86.03%-295M
-726.35%-5.21B
-2,104.71%-5.11B
-33.16%1.39B
117.75%630M
-457.80%-2.11B
-21,100.00%-630M
140.41%255M
187.08%2.08B
-Change in prepaid assets
-65.15%13.45B
31.40%-20.77B
-292.55%-50.66B
-1,012.17%-4.8B
-8,952.94%-54.18B
452.73%38.59B
-875.48%-30.27B
-309.55%-12.91B
105.98%526M
-95.91%612M
-Change in payables and accrued expense
-256.94%-5.22B
-424.76%-9.29B
1,598.55%16.54B
580.86%11.96B
457.80%3.19B
-261.66%-1.46B
108.91%2.86B
-116.18%-1.1B
-6.51%-2.49B
-113.08%-891M
Cash from discontinued investing activities
Operating cash flow
32.63%44.98B
-37.04%9.02B
-8.14%142.85B
18.70%55.05B
-11.21%39.56B
35.31%33.91B
-63.76%14.32B
45.81%155.51B
27.42%46.38B
-31.86%44.56B
Investing cash flow
Cash flow from continuing investing activities
31.81%-20.19B
-38.47%-41.47B
-43.51%-116.43B
27.79%-21.69B
-70.55%-35.18B
-142.23%-29.61B
-64.20%-29.95B
-174.52%-81.13B
-1,040.54%-30.04B
-1.08%-20.63B
Net PPE purchase and sale
17.23%-13.86B
-48.41%-24.9B
-14.13%-68B
25.74%-14.77B
-39.37%-19.71B
-39.89%-16.75B
-23.54%-16.78B
3.80%-59.58B
9.59%-19.89B
7.71%-14.14B
Net intangibles purchase and sale
10.41%-7.47B
-2.06%-11.34B
-23.91%-38.6B
34.94%-7.52B
-70.13%-11.63B
-20.66%-8.34B
-90.09%-11.11B
-33.87%-31.15B
-66.82%-11.56B
-50.66%-6.84B
Net business purchase and sale
42.09%-2.68B
-532.67%-5.24B
-216.17%-4.37B
881.74%2.26B
-222.69%-3.22B
-298.92%-4.62B
185.65%1.21B
-90.19%3.76B
-99.38%230M
5,726.67%2.62B
Net investment purchase and sale
790.29%4.67B
143.99%882M
-111.85%-1.34B
-107.07%-203M
140.05%346M
-90.43%525M
-152.96%-2.01B
-48.65%11.28B
167.85%2.87B
-209.09%-864M
Net other investing changes
-100.47%-854M
31.13%-876M
24.18%-4.13B
14.02%-1.46B
31.18%-969M
62.92%-426M
-7.07%-1.27B
-17.13%-5.44B
-76.96%-1.7B
-1.66%-1.41B
Cash from discontinued investing activities
Investing cash flow
31.81%-20.19B
-38.47%-41.47B
-43.51%-116.43B
27.79%-21.69B
-70.55%-35.18B
-142.23%-29.61B
-64.20%-29.95B
-174.52%-81.13B
-1,040.54%-30.04B
-1.08%-20.63B
Financing cash flow
Cash flow from continuing financing activities
153.68%10.18B
298.11%25.18B
-160.29%-71.21B
-16.82%-14.04B
40.35%-25.49B
-41.38%-18.97B
-131.15%-12.71B
77.28%-27.36B
77.16%-12.02B
2.86%-42.73B
Net issuance payments of debt
397.35%10.22B
318.28%27.19B
-75.20%15.79B
-44.00%6.7B
11,053.57%24.98B
71.92%-3.44B
-119.54%-12.46B
272.44%63.7B
134.03%11.97B
103.03%224M
Net common stock issuance
--0
--0
-34.03%-21.48B
63.24%-3.09B
58.64%-2.7B
-1,323.81%-15.49B
---200M
-0.67%-16.03B
---8.42B
-28,269.57%-6.53B
Cash dividends paid
0.00%-1M
---8M
17.31%-61.96B
-13.33%-17.65B
-21.61%-44.3B
0.00%-1M
--0
-42.70%-74.92B
2.42%-15.58B
0.30%-36.43B
Net other financing activities
12.20%-36M
-3,534.55%-2B
-3,236.45%-3.57B
0.00%-1M
---3.47B
53.41%-41M
-205.56%-55M
99.29%-107M
99.93%-1M
--0
Cash from discontinued financing activities
Financing cash flow
153.68%10.18B
298.11%25.18B
-160.29%-71.21B
-16.82%-14.04B
40.35%-25.49B
-41.38%-18.97B
-131.15%-12.71B
77.28%-27.36B
77.16%-12.02B
2.86%-42.73B
Net cash flow
Beginning cash position
-38.96%34.96B
-52.51%40.59B
124.50%85.47B
-74.18%21.34B
-56.92%42.33B
-43.39%57.27B
124.50%85.47B
-54.72%38.07B
57.37%82.65B
91.74%98.25B
Current changes in cash
338.46%34.97B
74.34%-7.27B
-195.29%-44.8B
347.46%19.32B
-12.28%-21.11B
-2,437.37%-14.67B
-145.66%-28.34B
208.45%47.01B
133.12%4.32B
-1,983.57%-18.8B
Effect of exchange rate changes
-4,292.00%-12.08B
1,056.34%1.64B
-120.52%-79M
95.66%-65M
-96.27%119M
88.21%-275M
-86.08%142M
114.50%385M
-6.02%-1.5B
1,053.07%3.19B
End cash Position
36.68%57.85B
-38.96%34.96B
-52.47%40.59B
-52.47%40.59B
-74.18%21.34B
-56.92%42.33B
-43.39%57.27B
124.34%85.41B
124.34%85.41B
57.37%82.65B
Free cash flow
182.31%22.9B
-88.41%-28.32B
-46.36%31.16B
140.17%31.59B
-69.36%6.49B
81.99%8.11B
-177.88%-15.03B
289.50%58.1B
119.00%13.15B
-51.14%21.19B
Currency Unit
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 32.63%44.98B-37.04%9.02B-8.14%142.85B18.70%55.05B-11.21%39.56B35.31%33.91B-63.76%14.32B45.81%155.51B27.42%46.38B-31.86%44.56B
Net income from continuing operations -36.36%11.12B-75.41%4.02B3.54%64.27B3.68%13.75B-12.05%16.71B46.79%17.47B-8.76%16.35B12.66%62.07B131.16%13.26B1.75%18.99B
Operating gains losses -261.34%-10.91B364.21%4.47B53.15%-5.51B96.79%-53M59.11%-741M-61.27%-3.02B73.61%-1.69B-1,376.38%-11.75B-126.06%-1.65B0.00%-1.81B
Depreciation and amortization 9.26%29.24B10.46%29.59B10.86%111.09B16.39%29.68B9.90%27.86B8.56%26.76B8.43%26.78B-6.30%100.21B-4.23%25.5B-5.86%25.35B
Deferred tax -32.35%3.48B-40.29%2.46B-10.40%15.4B-102.63%-60M9.45%6.21B11.66%5.14B-11.15%4.11B-2.72%17.19B-36.44%2.29B-12.20%5.67B
Other non cash items 169.85%18.63B70.99%13.15B2.24%35.93B33.43%12.07B14.86%9.26B-20.40%6.9B-17.82%7.69B314.61%35.14B-20.25%9.05B-15.60%8.06B
Change In working capital 95.63%-467M4.80%-28.93B-265.21%-44.75B113.88%4.25B-13,106.56%-7.93B13.70%-10.69B-1,481.62%-30.38B-361.85%-12.25B124.91%1.99B-99.62%61M
-Change in receivables 74.32%-12.44B265.01%1.42B-327.54%-5.43B-40.32%2.21B2,501.79%41.67B-4,126.77%-48.44B-11.07%-863M137.69%2.39B-2.33%3.7B47.61%-1.74B
-Change in inventory 494.92%3.75B86.03%-295M-726.35%-5.21B-2,104.71%-5.11B-33.16%1.39B117.75%630M-457.80%-2.11B-21,100.00%-630M140.41%255M187.08%2.08B
-Change in prepaid assets -65.15%13.45B31.40%-20.77B-292.55%-50.66B-1,012.17%-4.8B-8,952.94%-54.18B452.73%38.59B-875.48%-30.27B-309.55%-12.91B105.98%526M-95.91%612M
-Change in payables and accrued expense -256.94%-5.22B-424.76%-9.29B1,598.55%16.54B580.86%11.96B457.80%3.19B-261.66%-1.46B108.91%2.86B-116.18%-1.1B-6.51%-2.49B-113.08%-891M
Cash from discontinued investing activities
Operating cash flow 32.63%44.98B-37.04%9.02B-8.14%142.85B18.70%55.05B-11.21%39.56B35.31%33.91B-63.76%14.32B45.81%155.51B27.42%46.38B-31.86%44.56B
Investing cash flow
Cash flow from continuing investing activities 31.81%-20.19B-38.47%-41.47B-43.51%-116.43B27.79%-21.69B-70.55%-35.18B-142.23%-29.61B-64.20%-29.95B-174.52%-81.13B-1,040.54%-30.04B-1.08%-20.63B
Net PPE purchase and sale 17.23%-13.86B-48.41%-24.9B-14.13%-68B25.74%-14.77B-39.37%-19.71B-39.89%-16.75B-23.54%-16.78B3.80%-59.58B9.59%-19.89B7.71%-14.14B
Net intangibles purchase and sale 10.41%-7.47B-2.06%-11.34B-23.91%-38.6B34.94%-7.52B-70.13%-11.63B-20.66%-8.34B-90.09%-11.11B-33.87%-31.15B-66.82%-11.56B-50.66%-6.84B
Net business purchase and sale 42.09%-2.68B-532.67%-5.24B-216.17%-4.37B881.74%2.26B-222.69%-3.22B-298.92%-4.62B185.65%1.21B-90.19%3.76B-99.38%230M5,726.67%2.62B
Net investment purchase and sale 790.29%4.67B143.99%882M-111.85%-1.34B-107.07%-203M140.05%346M-90.43%525M-152.96%-2.01B-48.65%11.28B167.85%2.87B-209.09%-864M
Net other investing changes -100.47%-854M31.13%-876M24.18%-4.13B14.02%-1.46B31.18%-969M62.92%-426M-7.07%-1.27B-17.13%-5.44B-76.96%-1.7B-1.66%-1.41B
Cash from discontinued investing activities
Investing cash flow 31.81%-20.19B-38.47%-41.47B-43.51%-116.43B27.79%-21.69B-70.55%-35.18B-142.23%-29.61B-64.20%-29.95B-174.52%-81.13B-1,040.54%-30.04B-1.08%-20.63B
Financing cash flow
Cash flow from continuing financing activities 153.68%10.18B298.11%25.18B-160.29%-71.21B-16.82%-14.04B40.35%-25.49B-41.38%-18.97B-131.15%-12.71B77.28%-27.36B77.16%-12.02B2.86%-42.73B
Net issuance payments of debt 397.35%10.22B318.28%27.19B-75.20%15.79B-44.00%6.7B11,053.57%24.98B71.92%-3.44B-119.54%-12.46B272.44%63.7B134.03%11.97B103.03%224M
Net common stock issuance --0--0-34.03%-21.48B63.24%-3.09B58.64%-2.7B-1,323.81%-15.49B---200M-0.67%-16.03B---8.42B-28,269.57%-6.53B
Cash dividends paid 0.00%-1M---8M17.31%-61.96B-13.33%-17.65B-21.61%-44.3B0.00%-1M--0-42.70%-74.92B2.42%-15.58B0.30%-36.43B
Net other financing activities 12.20%-36M-3,534.55%-2B-3,236.45%-3.57B0.00%-1M---3.47B53.41%-41M-205.56%-55M99.29%-107M99.93%-1M--0
Cash from discontinued financing activities
Financing cash flow 153.68%10.18B298.11%25.18B-160.29%-71.21B-16.82%-14.04B40.35%-25.49B-41.38%-18.97B-131.15%-12.71B77.28%-27.36B77.16%-12.02B2.86%-42.73B
Net cash flow
Beginning cash position -38.96%34.96B-52.51%40.59B124.50%85.47B-74.18%21.34B-56.92%42.33B-43.39%57.27B124.50%85.47B-54.72%38.07B57.37%82.65B91.74%98.25B
Current changes in cash 338.46%34.97B74.34%-7.27B-195.29%-44.8B347.46%19.32B-12.28%-21.11B-2,437.37%-14.67B-145.66%-28.34B208.45%47.01B133.12%4.32B-1,983.57%-18.8B
Effect of exchange rate changes -4,292.00%-12.08B1,056.34%1.64B-120.52%-79M95.66%-65M-96.27%119M88.21%-275M-86.08%142M114.50%385M-6.02%-1.5B1,053.07%3.19B
End cash Position 36.68%57.85B-38.96%34.96B-52.47%40.59B-52.47%40.59B-74.18%21.34B-56.92%42.33B-43.39%57.27B124.34%85.41B124.34%85.41B57.37%82.65B
Free cash flow 182.31%22.9B-88.41%-28.32B-46.36%31.16B140.17%31.59B-69.36%6.49B81.99%8.11B-177.88%-15.03B289.50%58.1B119.00%13.15B-51.14%21.19B
Currency Unit RUBRUBRUBRUBRUBRUBRUBRUBRUBRUB
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg