Financial analysis of JSCo «Lyudinovo diesel locomotive building plant»

This financial profile page contains financial analisys of financial reports of JSCo «Lyudinovo diesel locomotive building plant». Financial analysis of financial reports of JSCo «Lyudinovo diesel locomotive building plant» includes the analisys of income, income and expenses growth rates, analisys of working capital structure and annual dynamics. JSCo «Lyudinovo diesel locomotive building plant» .

Financial reports of JSCo «Lyudinovo diesel locomotive building plant»

This financial profile page of JSCo «Lyudinovo diesel locomotive building plant» cosists of links to annual financial reports of JSCo «Lyudinovo diesel locomotive building plant». Flexible and user-friendly web-instruments enable horizontal and vertical analisys of indexes of financial reports of JSCo «Lyudinovo diesel locomotive building plant».

Liquidity and financial strength of JSCo «Lyudinovo diesel locomotive building plant»

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

* This report is based upon web-open information and data including company annual reports and annual financial statements

 

Balance sheet JSCo «Lyudinovo diesel locomotive building plant»

Profits and losses statement JSCo «Lyudinovo diesel locomotive building plant»

*JSCo «Lyudinovo diesel locomotive building plant»

Foundation 2002
TIN 4024000014
PSRN 1024000912583
Web-site http://www.ludtz.ru
Specialization Production of Rolling Stock
Holding

- Sinara Transport Machines Holding

I.Financial results review

  Units20122013201420152016
Revenues mln RUB3 313,23 372,13 605,52 946,62 359,4
Expenses mln RUB3 257,03 571,13 815,23 115,92 632,7
Operating expenses mln RUB2 996,33 258,93 815,23 115,92 632,6
General and Administrative expenses mln RUB260,7312,10,00,00,0
Commercial expenses mln RUB4,16,23,13,120,0
Operating income/loss mln RUB52,1-205,2-212,8-172,4-293,2
Income/loss before taxation mln RUB23,3-251,7-285,7-570,2-1 297,8
Net income/loss mln RUB13,1-204,1-233,7-463,1-1 062,5
EBITDA mln RUB166,5-101,7-105,8-91,2-429,5
inc.Depreciation mln RUB41,142,145,959,471,7

Comparison of income, expenses and profit growth rates

  Units2013201420152016
Income growth rate %1,86,9-18,3-19,9
Expenditure growth rate %9,76,7-18,3-15,0
Operating expenses growth rate %8,817,1-18,3-15,5
Commercial and Administrative expenses growth rate %20,2-99,00,9547,1
Operating income growth rate %-493,7-3,719,0-70,1
Profit before tax growth rate %-1 182,4-13,5-99,6-127,6

II.Return on capital

  Units Abbr.20122013201420152016
Return on Sales % ROS0,40-6,05-6,48-15,72-45,03
Pretax Profit margin % PPM0,70-7,46-7,92-19,35-55,01
Operating margin % OPM1,57-6,08-5,90-5,85-12,43
EBITDA profitability % EbitdaP5,03-3,02-2,94-3,10-18,20
Return on Assets % ROA0,53-6,52-6,09-10,18-17,57
Return on Invested Capital % ROIC8,13-7,29-14,32-2,03-8,71
Weighted Average Cost of Capital % WACC4,95,55,111,313,5
Cost of Equity % Re0,40,00,00,00,0
Cost of Debt % Rd10,311,111,014,714,4
Assets mln RUB A2 432,33 831,33 844,75 248,56 844,9
Equity mln RUB E613,0408,9175,211,1-1 051,4
Longterm Debt mln RUB D810,0810,00,04 100,03 046,4
Invested Capital mln RUB IC1 423,01 218,9175,24 111,11 995,0
Net Assets mln RUB NA2 432,33 831,33 844,75 248,56 844,9

III.Working capital

  Units20122013201420152016
Working capital mln RUB242,9198,6655,13 094,34 078,2
Current assets mln RUB1 248,32 498,13 017,63 929,05 295,7
Inventories mln RUB981,82 000,42 059,51 884,82 481,8
Accounts receivable mln RUB255,2334,2394,11 882,72 619,0
Cash and cash equivalents mln RUB2,40,90,464,41,7
Curent financial assets mln RUB1,21,2319,51,2128,1
Other current assets mln RUB7,7161,4244,195,965,2
Current liabilities mln RUB1 005,42 299,52 362,5834,71 217,5
Accounts payable mln RUB987,72 283,12 320,8822,61 189,7
Other current liabilities mln RUB17,716,441,712,127,8

Working capital turnover

  Units20122013201420152016
Working capital turnover days47,123,943,2232,2556,3
Current assets turnover days142,4202,8279,2430,2715,5
Inventories turnover days100,2161,4205,5244,3338,7
Accounts receivable turnover days41,031,936,9141,0349,2
Current liabilities turnover days95,3178,9236,0198,0159,2
Accounts payable turnover days93,1177,0233,0194,7156,1

IV.Liquidity and financial strength

Methodology for Financial strength evaluation

sustainable

satisf.

poor

crisis

  Units20122013201420152016
Financial strength Rating cat.DDDC2D
Financial strength Score point7,004,004,258,505,75
Level of financial strength -crisiscrisiscrisispoorcrisis
Liquidy coefficients
Current Ratio -1,24| 3p.0,96| 1p.0,82| 1p.3,45| 4p.1,09| 2p.
Quick Ratio -0,26| 1p.0,13| 1p.0,19| 1p.1,71| 4p.0,57| 2p.
Absolute Liquid Ratio -0,00| 1p.0,00| 1p.0,00| 1p.0,06| 3p.0,00| 1p.
Indexes of financial stability
Financial independence ratio -0,25| 1p.0,11| 1p.0,05| 1p.0,00| 1p.-0,15| 1p.
Return indexes
Return on Sales %0,40| 2p.-6,05| 1p.-6,48| 1p.-15,72| 1p.-45,03| 1p.
Resurn on Equity %2,16| 3p.-39,94| 1p.-80,04| 1p.-497,19| 1p.204,27| 4p.
Return on Assets %0,53| 2p.-6,52| 1p.-6,09| 1p.-10,18| 1p.-17,57| 1p.
Indexes of economic activity
Accounts receivable growth rate %-47,52| 4p.30,99| 1p.17,92| 1p.377,67| 1p.39,11| 1p.
Accounts payable growth rate %41,56| 1p.131,16| 1p.1,65| 2p.-64,55| 4p.44,62| 1p.
Accounts receivable to Accounts payable ratio -0,26| 1p.0,15| 1p.0,17| 1p.2,29| 1p.2,20| 1p.
Accounts receivable to Accounts payable turnovers' ratio -0,44| 1p.0,18| 1p.0,16| 1p.0,72| 2p.2,24| 1p.

V.Cash flow statement indirect method

from till

  Units20122013201420152016
Cash at the beginning of the period mln RUB0,22,40,90,464,4
Net profit mln RUB13,1-204,1-233,7-463,1-1 062,5
Amortization mln RUB41,142,145,959,471,7
Revaluation and deferred taxes [+] mln RUB5,5-47,9-53,5190,8-238,0
Decrease in Inventories mln RUB-149,2-1 018,6-59,0174,6-596,9
Descrease in Accounts receivable mln RUB231,1-79,1-59,9-1 488,6-736,3
Increase in Accounts payable mln RUB290,01 295,437,7-1 498,2367,1
Changes in other working capital mln RUB-2,4-154,9-57,4118,546,5
Net cash used in investing activities mln RUB-73,2-143,4513,8-443,5-63,4
Net cash from financial activities mln RUB-346,8309,0-134,23 414,02 149,2
Contribution to share capital [+] mln RUB0,00,00,00,00,0
Dividends and other distrubution of net profit [-] mln RUB-7,00,00,00,00,0
Cash at the end of the period mln RUB2,40,90,464,41,7

* This report is based upon web-open information and data including company annual reports and annual financial statements