CD Projekt Financial Statements (OTGLY)

CD Projektsmart-lab.ru   2021 2022 2023 2024 2025   LTM ?
Report date 31.12.2021 31.12.2022 31.12.2023 31.12.2024 31.12.2025   31.12.2025
Currency  
Financial report URL  
Revenue ? 888 172 000 952 576 000 1 230 199 000 985 030 000 828 730 605   828 730 605
Operating Income 232 903 000 377 347 000 469 040 000 365 496 000 441 877 689   386 340 783
EBITDA ? 326 634 000 575 372 000 470 452 000 448 486 000 506 144 794   506 144 794
Net profit ? 208 908 000 347 093 000 481 105 000 469 874 000 503 579 236   503 579 236
OCF ? 967 825 000 406 031 000 521 297 000 609 771 848   429 394 926
CAPEX ? 183 370 000 256 105 000 347 458 000 95 125 524   327 817 091
FCF ? 784 455 000 149 926 000 173 839 000 514 646 324   101 577 834
Dividend payout 503 694 000 100 739 000 99 911 000 95 502 137   26 948 116
Ordinary share dividend yield, % 0.00% 0.00% 0.00% 0.00% 0.00%   0.00%
Dividend payout ratio, % 241.1% 29.0% 0.00% 21.3% 19.0%   5.35%
OPEX 374 146 000 298 535 000 397 345 000 372 382 000 301 136 993   301 136 993
Cost of production 250 234 000 243 974 000 380 567 000 247 152 000 85 715 918   222 018 082
R&D 0.000 0.000 0.000 0.000 36 897 618   28 284 016
Interest expenses 2 797 000 1 347 000 863 000 1 072 000 869 842   702 554
Assets 2 158 735 000 2 274 124 000 2 613 438 000 3 042 424 000 3 498 223 656   3 498 223 656
Net Assets ? 1 894 356 000 2 033 404 000 2 403 490 000 2 800 667 000 3 285 073 183   3 285 073 183
Debt 46 882 000 28 461 000 0.000 20 150 000 26 000 117   26 000 117
Cash 984 351 000 894 672 000 878 978 000 1 188 030 000 634 004 357   634 004 357
Net debt -937 469 000 -866 211 000 -878 978 000 -1 167 880 000 -608 004 240   -608 004 240
Ordinary share price, rub 11.6 7.40 7.20 11.5 16.8   17.7
Number of ordinary shares, mln 104 899 000 402 965 868 401 075 856 399 644 000 399 290 384   399 290 384
Market cap 1 216 828 400 2 981 947 423 2 887 746 163 4 603 898 880 6 688 113 932   7 065 443 345
EV ? 279 359 400 2 115 736 423 2 008 768 163 3 436 018 880 6 080 109 692   6 457 439 105
Book value 1 429 330 000 1 434 607 000 1 749 812 000 1 979 503 000 1 985 523 419   1 985 523 419
EPS, rub ? 1.99 0.86 1.20 1.18 1.26   1.26
FCF/share, rub 7.48 0.37 0.00 0.43 1.29   0.25
BV/share, rub 13.6 3.56 4.36 4.95 4.97   4.97
EBITDA margin, % ? 36.8% 60.4% 38.2% 45.5% 61.1%   61.1%
Net margin, % ? 23.5% 36.4% 39.1% 47.7% 60.8%   60.8%
FCF yield, % ? 64.5% 5.03% 0.00% 3.78% 7.69%   1.44%
ROE, % ? 11.0% 17.1% 20.0% 16.8% 15.3%   15.3%
ROA, % ? 9.68% 15.3% 18.4% 15.4% 14.4%   14.4%
P/E ? 5.82 8.59 6.00 9.80 13.3   14.0
P/FCF 1.55 19.9 26.5 13.0   69.6
P/S ? 1.37 3.13 2.35 4.67 8.07   8.53
P/BV ? 0.85 2.08 1.65 2.33 3.37   3.56
EV/EBITDA ? 0.86 3.68 4.27 7.66 12.0   12.8
Debt/EBITDA -2.87 -1.51 -1.87 -2.60 -1.20   -1.20
R&D/CAPEX, % 0.00% 0.00% 0.00% 38.8%   8.63%
CAPEX/Revenue, % 20.6% 26.9% 0.00% 35.3% 11.5%   39.6%
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