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Ozon Holdings PLC
SIC 5961 · Retail-Catalog & Mail-Order Houses
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Ozon Holdings PLC
SIC 5961 · Retail-Catalog & Mail-Order Houses
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Ozon Holdings PLC
SIC 5961 · Retail-Catalog & Mail-Order Houses
Support
about
terms
Ozon Holdings PLC
CIK:
0001822829
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.23.1
Consolidated Statements of Profit Or Loss And Other Comprehensive Income - RUB (₽)
₽ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Revenue:
Sales of goods
₽ 135,278
₽ 120,792
₽ 81,414
Service revenue
141,837
57,423
22,936
Total revenue
277,115
178,215
104,350
Operating expenses:
Cost of sales
(121,475)
(112,548)
(72,859)
Fulfillment and delivery
(122,518)
(76,240)
(30,676)
Sales and marketing
(24,508)
(23,535)
(10,015)
Technology and content
(22,851)
(12,862)
(4,394)
General and administrative
(19,747)
(11,886)
(3,729)
Losses related to the fire incident
(10,165)
0
0
Total operating expenses
(321,264)
(237,071)
(121,673)
Operating loss
(44,149)
(58,856)
(17,323)
Loss on convertible bonds
(8,567)
0
0
Expected credit losses on financial assets
(348)
0
0
Loss on disposal of non-current assets
(824)
(33)
(35)
Interest expense
(11,860)
(5,802)
(2,115)
Interest income
2,869
1,484
311
Net gain on revaluation of financial instruments at fair value through profit or loss
726
6,341
0
Share of profit of an associate
289
197
112
Impairment of non-financial assets
(255)
0
0
Foreign currency exchange gain / (loss), net
4,963
(108)
(1,984)
Other non-operating expenses
(6)
0
(1,000)
Total non-operating (expense) / income
(13,013)
2,079
(4,711)
Loss before income tax
(57,162)
(56,777)
(22,034)
Income tax expense
(1,025)
(2)
(230)
Loss for the year
(58,187)
(56,779)
(22,264)
Items that are or may be reclassified to profit or loss (net of tax):
Exchange differences on translation of foreign operations
(67)
(3)
0
Net other comprehensive loss that may be reclassified to profit or loss
(67)
(3)
0
Other comprehensive income, net of tax
(67)
(3)
0
Total comprehensive income for the year
₽ (58,254)
₽ (56,782)
₽ (22,264)
Basic and diluted loss per share attributable to ordinary equity holders of the parent, RUB
₽ (278.7)
₽ (276.1)
₽ (135.1)
Basic and diluted weighted average number of ordinary shares
208,752,123
205,619,832
164,605,952
v3.23.1
Consolidated Statements of Cash Flows - RUB (₽)
₽ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities
Loss before income tax
₽ (57,162)
₽ (56,777)
₽ (22,034)
Adjusted for:
Depreciation and amortization of non-current assets
19,770
9,880
4,963
Interest expense
11,860
5,802
2,115
Interest income
(2,869)
(1,484)
(311)
Foreign currency exchange (gain)/loss, net
(4,963)
108
1,984
Write-downs and losses of inventories
5,591
3,317
482
Loss on disposal of non-current assets
2,157
33
35
Forgiveness of lease payments
0
0
(21)
Share of profit of an associate
(289)
(197)
(112)
Changes in expected credit losses
652
(19)
131
Loss on convertible bonds
8,567
0
0
Share-based compensation expense
10,999
7,820
644
Derecognition and impairment of non-current assets
668
0
0
Net gain on revaluation of financial instruments at fair value through profit or loss
(726)
(6,341)
0
Changes in working capital:
Changes in inventories
(13,801)
(14,278)
(5,005)
Changes in accounts receivable
164
(3,125)
(482)
Changes in loans to customers
(5,185)
0
0
Changes in other assets
(9,619)
(7,042)
(481)
Changes in accounts payable and other liabilities
17,921
53,311
26,087
Changes in customer deposits and other financial liabilities
6,138
0
0
Cash (used in) / generated from operations
(10,127)
(8,992)
7,995
Interest paid
(8,345)
(4,485)
(1,356)
Income tax paid
(281)
(149)
(69)
Net cash (used in) / generated from operating activities
(18,753)
(13,626)
6,570
Cash flows from investing activities
Interest received
2,775
1,267
260
Purchase of property and equipment
(35,422)
(18,680)
(6,714)
Purchase of intangible assets
(391)
(661)
(126)
Proceeds from disposal of property and equipment
204
0
0
Advances on lease contracts not yet commenced
(1,085)
0
0
Dividends received from an associate
205
211
0
Placement of bank deposits
0
(17,200)
0
Return of bank deposits
18,297
0
0
Issuance of loans to employees
(623)
(340)
0
Net cash used in investing activities
(16,040)
(35,403)
(6,580)
Cash flows from financing activities
Equity instruments issue proceeds, net of transaction costs
0
0
90,480
Convertible loans issue proceeds
0
0
6,171
Proceeds from exercise of share option
0
313
0
Proceeds from borrowings, net of transaction costs
40,725
10,371
8,711
Proceeds from issue of a convertible bond, net of transaction costs
0
54,499
0
Amounts deposited for the convertible bond restructuring
(2,264)
0
0
Repayment of borrowings
(10,834)
(6,522)
(499)
Payment on principal portion of lease liabilities
(9,233)
(4,769)
(2,296)
Net cash generated from financing activities
18,394
53,892
102,567
Net (decrease)/increase in cash and cash equivalents
(16,399)
4,863
102,557
Cash and cash equivalents at the beginning of the year
108,037
103,702
2,994
Effects of exchange rate changes on the balance of cash held in foreign currencies
(1,169)
(528)
(1,849)
Cash and cash equivalents at the end of the year
₽ 90,469
₽ 108,037
₽ 103,702
v3.23.1
Consolidated Statements of Financial Position - RUB (₽)
₽ in Millions
Dec. 31, 2022
Dec. 31, 2021
Non-current assets
Property, plant and equipment
₽ 55,754
₽ 29,970
Right-of-use assets
68,439
39,940
Intangible assets
661
1,171
Investments in an associate
1,269
1,238
Deferred tax assets
133
80
Other financial assets
2,610
2,312
Other non-financial assets
1,052
41
Total non-current assets
129,918
74,752
Current assets
Inventories
34,615
26,362
Accounts receivable
7,151
6,611
Other financial assets
3,488
32
Other non-financial assets
13,014
4,107
VAT receivable
1,025
3,440
Short-term bank deposits
0
17,954
Loans to customers
5,141
43
Cash and cash equivalents
90,469
108,037
Total current assets
154,903
166,586
Total assets
284,821
241,338
Equity
Share capital
12
12
Share premium
135,523
134,924
Treasury shares
(1)
(1)
Equity-settled employee benefits reserves
18,200
7,800
Other capital reserves
(70)
(3)
Accumulated losses
(170,311)
(112,124)
Total equity
(16,647)
30,608
Non-current liabilities
Borrowings
38,900
50,577
Lease liabilities
64,151
34,770
Derivative liabilities
3,000
594
Deferred tax liabilities
21
46
Deferred income
230
289
Trade and other payables
292
518
Total non-current liabilities
106,594
86,794
Current liabilities
Trade and other payables
94,749
89,273
Borrowings
55,215
11,539
Lease liabilities
10,344
7,697
Taxes payable
1,654
1,077
Accrued expenses
8,936
4,716
Contract liabilities and deferred income
17,838
9,634
Customer deposits and other financial liabilities
6,138
0
Total current liabilities
194,874
123,936
Total liabilities
301,468
210,730
Total equity and liabilities
₽ 284,821
₽ 241,338