Financial analysis of BaltTransServis LLC

This financial profile page contains financial analisys of financial reports of BaltTransServis LLC. Financial analysis of financial reports of BaltTransServis LLC includes the analisys of income, income and expenses growth rates, analisys of working capital structure and annual dynamics. BaltTransServis LLC .

Financial reports of BaltTransServis LLC

This financial profile page of BaltTransServis LLC cosists of links to annual financial reports of BaltTransServis LLC. Flexible and user-friendly web-instruments enable horizontal and vertical analisys of indexes of financial reports of BaltTransServis LLC.

Liquidity and financial strength of BaltTransServis LLC

This financial profile page includes dynamic analisys of liquidity and financial strength of BaltTransServis LLC. Calculation of financial strength rating is based upon JSCo «Russian railways» methodics. Moreover, it presents Cash flow statement by indirect method for BaltTransServis LLC with the user-opportunity to change analitical period of cash flows of BaltTransServis LLC. Cash flow statement by indirect metod illustrates the directions of cash flows of BaltTransServis LLC in the certain period.

* This report is based upon data and information of spart-interfax.ru

 

Balance sheet BaltTransServis LLC

Profits and losses statement BaltTransServis LLC

*BaltTransServis LLC

Foundation 1999
TIN 7804099031
PSRN 1027802508766
Web-site http://bts.ru
Specialization Freight and cargo
Holding

- Globaltrans Holding

I.Financial results review

  Units20122013201420152016
Revenues mln RUB14 289,219 825,119 738,521 645,119 311,8
Expenses mln RUB10 675,413 620,713 886,314 348,113 720,2
Operating expenses mln RUB10 272,713 178,113 369,413 649,612 971,6
General and Administrative expenses mln RUB402,7442,5516,9698,6748,6
Commercial expenses mln RUB0,00,00,00,00,0
Operating income/loss mln RUB3 613,86 204,45 852,27 297,05 591,5
Income/loss before taxation mln RUB3 587,86 175,65 950,57 179,05 361,3
Net income/loss mln RUB2 861,24 928,64 747,65 724,24 264,3
EBIT mln RUB3 638,76 297,96 270,87 616,85 709,7

Comparison of income, expenses and profit growth rates

  Units2013201420152016
Income growth rate %38,7-0,49,7-10,8
Expenditure growth rate %27,62,03,3-4,4
Operating expenses growth rate %28,31,52,1-5,0
Commercial and Administrative expenses growth rate %9,916,835,17,2
Operating income growth rate %71,7-5,724,7-23,4
Profit before tax growth rate %72,1-3,620,6-25,3

II.Return on capital

  Units Abbr.20122013201420152016
Return on Sales % ROS20,0224,8624,0526,4522,08
Pretax Profit margin % PPM25,1131,1530,1533,1727,76
Operating margin % OPM25,2931,3029,6533,7128,95
EBIT profitability % EbitP25,4631,7731,7735,1929,57
Return on Assets % ROA32,8051,9744,0053,7045,81
Return on Invested Capital % ROIC38,0460,1355,7973,9765,55
Weighted Average Cost of Capital % WACC36,152,368,180,572,0
Cost of Equity % Re38,457,483,6105,490,0
Cost of Debt % Rd7,113,112,111,911,5
Assets mln RUB A9 039,09 927,211 655,19 665,58 951,3
Equity mln RUB E7 178,37 806,86 554,45 778,65 145,7
Longterm Debt mln RUB D760,01 055,72 750,61 577,91 571,0
Invested Capital mln RUB IC7 938,38 862,59 305,07 356,46 716,7
Net Assets mln RUB NA9 039,09 927,211 655,19 665,58 951,3

III.Working capital

  Units20122013201420152016
Working capital mln RUB2 119,23 172,34 294,94 191,03 598,7
Current assets mln RUB3 164,44 104,85 139,24 783,84 461,5
Inventories mln RUB691,6693,4780,8667,8612,0
Accounts receivable mln RUB1 798,61 934,11 946,41 602,41 416,6
Cash and cash equivalents mln RUB674,31 477,32 411,91 599,32 427,4
Curent financial assets mln RUB0,00,00,0815,00,0
Other current assets mln RUB0,00,00,099,35,5
Current liabilities mln RUB1 045,2932,4844,3592,8862,8
Accounts payable mln RUB994,9877,1778,8490,0792,8
Other current liabilities mln RUB50,355,365,4102,870,0

Working capital turnover

  Units20122013201420152016
Working capital turnover days63,848,769,071,573,8
Current assets turnover days85,266,985,583,787,6
Inventories turnover days14,612,713,612,212,1
Accounts receivable turnover days44,134,435,929,928,6
Current liabilities turnover days21,418,216,412,113,8
Accounts payable turnover days20,217,215,310,712,2

IV.Liquidity and financial strength

Methodology for Financial strength evaluation

sustainable

satisf.

poor

crisis

  Units20122013201420152016
Financial strength Rating cat.B1A3B1B1B1
Financial strength Score point12,5013,7512,5013,0012,25
Level of financial strength -satisf.sustainablesatisf.satisf.satisf.
Liquidy coefficients
Current Ratio -3,03| 4p.4,16| 4p.2,26| 4p.2,15| 4p.2,08| 4p.
Quick Ratio -2,36| 4p.3,46| 4p.1,92| 4p.1,80| 4p.1,79| 4p.
Absolute Liquid Ratio -0,64| 4p.1,50| 4p.1,06| 4p.0,72| 4p.1,13| 4p.
Indexes of financial stability
Financial independence ratio -0,79| 3p.0,79| 3p.0,56| 2p.0,60| 2p.0,57| 2p.
Return indexes
Return on Sales %20,02| 4p.24,86| 4p.24,05| 4p.26,45| 4p.22,08| 4p.
Resurn on Equity %40,23| 4p.65,78| 4p.66,12| 4p.92,83| 4p.78,07| 4p.
Return on Assets %32,80| 4p.51,97| 4p.44,00| 4p.53,70| 4p.45,81| 4p.
Indexes of economic activity
Accounts receivable growth rate %9,60| 2p.7,53| 2p.0,64| 2p.-17,67| 4p.-11,60| 4p.
Accounts payable growth rate %71,66| 1p.-11,84| 4p.-11,21| 4p.-37,09| 4p.61,80| 1p.
Accounts receivable to Accounts payable ratio -1,81| 1p.2,20| 1p.2,50| 1p.3,27| 1p.1,79| 1p.
Accounts receivable to Accounts payable turnovers' ratio -2,18| 1p.1,99| 3p.2,34| 1p.2,80| 1p.2,35| 1p.

V.Cash flow statement indirect method

from till

  Units20122013201420152016
Cash at the beginning of the period mln RUB1 394,2674,31 477,32 411,91 599,3
Net profit mln RUB2 861,24 928,64 747,65 724,24 264,3
Amortization mln RUB0,00,00,00,00,0
Revaluation and deferred taxes [+] mln RUB0,418,5-5,1-16,312,2
Decrease in Inventories mln RUB-243,7-1,8-87,4113,055,8
Descrease in Accounts receivable mln RUB-157,5-135,5-12,3344,0185,9
Increase in Accounts payable mln RUB415,3-117,7-98,3-288,8302,8
Changes in other working capital mln RUB10,45,010,2-61,960,9
Net cash used in investing activities mln RUB-954,257,5-687,21 653,5382,7
Net cash from financial activities mln RUB78,2348,53 067,3-1 780,2460,8
Contribution to share capital [+] mln RUB0,00,00,00,020,8
Dividends and other distrubution of net profit [-] mln RUB-2 730,0-4 300,0-6 000,0-6 500,0-4 918,0
Cash at the end of the period mln RUB674,31 477,32 411,91 599,32 427,4

* This report is based upon data and information of spart-interfax.ru