US Stock MarketDetailed Quotes

KSPI Kaspi.kz

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  • 108.740
  • -0.880-0.80%
Close Nov 27 16:00 ET
  • 108.740
  • 0.0000.00%
Post 16:00 ET
20.66BMarket Cap10.58P/E (TTM)

Kaspi.kz Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
262.33%182.34B
-47.32%292.06B
-178.47%-178.86B
8.34%1.11T
5.01%436.07B
-167.06%-112.33B
36.96%554.45B
582.88%227.94B
1,351.27%1.02T
1,393.94%415.28B
Other non cash items
22.34%247.48B
33.82%242.72B
38.82%203.72B
52.61%788.34B
55.50%257.93B
42.92%202.28B
52.78%181.37B
62.24%146.75B
48.42%516.58B
42.68%165.88B
Change In working capital
67.25%-105.69B
-107.93%-28.28B
-742.24%-419.69B
-25.50%284.94B
-19.63%185.48B
-80,780.00%-322.72B
41.03%356.83B
164.24%65.35B
196.52%382.48B
226.65%230.8B
-Change in receivables
13.09%-412.84B
-289.16%-372.74B
-191.31%-297.71B
-55.03%-1.14T
-44.20%-463.89B
-38.32%-475B
18.76%-95.78B
-305.89%-102.2B
31.02%-733.34B
8.10%-321.69B
-Change in payables and accrued expense
78.55%274.18B
-21.39%347.62B
-136.86%-75.91B
24.85%1.41T
12.80%604.95B
-54.29%153.56B
31.73%442.19B
353.43%205.97B
67.17%1.13T
243.33%536.29B
-Change in other current assets
992.36%20.01B
-538.77%-12.83B
61.32%-12.67B
16.04%-10.4B
1,047.59%17.6B
-71.65%1.83B
-91.49%2.93B
40.17%-32.77B
22.35%-12.39B
-11.23%1.53B
-Change in other current liabilities
2,781.00%17.21B
13.24%7.92B
-737.07%-30.33B
153.62%29.73B
66.04%27B
-115.33%-642M
194.94%6.99B
67.36%-3.62B
-15.77%11.72B
66.93%16.26B
-Change in other working capital
-72.21%-4.26B
254.66%1.75B
-50.49%-3.06B
58.82%-4.19B
88.85%-179M
12.37%-2.47B
132.37%494M
51.88%-2.04B
-100.65%-10.18B
-1,288.89%-1.61B
Cash from discontinued investing activities
Operating cash flow
274.27%195.75B
-49.74%278.65B
-178.47%-178.86B
8.34%1.11T
5.01%436.07B
-167.06%-112.33B
36.96%554.45B
582.88%227.94B
1,351.27%1.02T
1,393.94%415.28B
Investing cash flow
Cash flow from continuing investing activities
-149.56%-122.51B
84.09%-43.79B
135.65%87.41B
55.18%-218.36B
132.47%54.82B
643.73%247.2B
15.55%-275.19B
-562.75%-245.19B
-268.13%-487.16B
-174.61%-168.82B
Net PPE purchase and sale
-125.93%-32.2B
-6.42%-23.13B
-27.33%-9.11B
15.11%-50.04B
75.47%-6.89B
-38.00%-14.25B
-48.29%-21.74B
-22.09%-7.16B
-140.39%-58.94B
-156.50%-28.09B
Net business purchase and sale
--0
--0
--0
---29.05B
---24.23B
--0
--180M
---5B
--0
--0
Net investment purchase and sale
-134.54%-90.32B
91.85%-20.66B
141.42%96.53B
67.48%-139.27B
161.07%85.94B
844.09%261.45B
18.50%-253.63B
-495.99%-233.03B
-236.00%-428.22B
-158.08%-140.73B
Cash from discontinued investing activities
Investing cash flow
-149.56%-122.51B
84.09%-43.79B
135.65%87.41B
55.18%-218.36B
132.47%54.82B
643.73%247.2B
15.55%-275.19B
-562.75%-245.19B
-268.13%-487.16B
-174.61%-168.82B
Financing cash flow
Cash flow from continuing financing activities
-6.68%-162.73B
-18.36%-323.39B
18.96%-54.82B
-145.00%-675.97B
-28.49%-182.56B
-31.75%-152.54B
-1,458.17%-273.23B
-12,858.81%-67.65B
21.75%-275.91B
-56.59%-142.08B
Net issuance payments of debt
--0
--0
-9.95%-51.2B
---46.56B
--0
--0
--0
---46.56B
--0
--0
Net common stock issuance
--0
--0
85.83%-2.85B
4.66%-60.7B
43.40%-15.47B
50.42%-9.61B
8.67%-15.49B
---20.13B
---63.67B
---27.33B
Cash dividends paid
-13.47%-161.51B
----
----
-166.60%-560.13B
-40.90%-161.07B
-48.60%-142.34B
----
----
38.27%-210.1B
-27.10%-114.32B
Net other financing activities
-6,433.90%-38.55B
3,779.50%36.98B
18.78%-774M
-301.22%-8.57B
-1,288.48%-6.03B
3.28%-590M
-76.01%-1.01B
-82.57%-953M
-15.70%-2.14B
-14.51%-434M
Cash from discontinued financing activities
Financing cash flow
-31.16%-200.06B
-4.69%-286.05B
18.96%-54.82B
-145.00%-675.97B
-28.49%-182.56B
-31.75%-152.54B
-1,458.17%-273.23B
-12,858.81%-67.65B
21.75%-275.91B
-56.59%-142.08B
Net cash flow
Beginning cash position
12.82%594.86B
28.27%668.06B
33.33%820.47B
79.88%615.36B
2.10%528.52B
3.69%527.28B
16.95%520.84B
79.88%615.36B
3.54%342.1B
119.61%517.66B
Current changes in cash
-406.54%-89.49B
-1,566.44%-88.53B
-72.29%-146.27B
-17.88%211.8B
195.38%308.32B
-382.66%-17.67B
-90.17%6.04B
-198.90%-84.9B
3,330.59%257.91B
0.93%104.38B
Effect of exchange rate changes
-93.34%1.26B
3,685.93%15.33B
36.20%-6.14B
-143.60%-6.69B
-144.85%-16.37B
553.56%18.9B
-76.68%405M
-155.31%-9.63B
267.68%15.35B
-325.95%-6.69B
End cash Position
-4.14%506.63B
12.82%594.86B
28.27%668.06B
33.33%820.47B
33.33%820.47B
2.10%528.52B
3.69%527.28B
16.95%520.84B
79.88%615.36B
79.88%615.36B
Free cash flow
229.10%163.43B
-52.04%255.42B
-185.17%-188.02B
9.81%1.06T
9.90%429.11B
-182.36%-126.59B
36.51%532.61B
711.53%220.75B
2,015.55%961.52B
1,004.96%390.46B
Currency Unit
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
KZT
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 262.33%182.34B-47.32%292.06B-178.47%-178.86B8.34%1.11T5.01%436.07B-167.06%-112.33B36.96%554.45B582.88%227.94B1,351.27%1.02T1,393.94%415.28B
Other non cash items 22.34%247.48B33.82%242.72B38.82%203.72B52.61%788.34B55.50%257.93B42.92%202.28B52.78%181.37B62.24%146.75B48.42%516.58B42.68%165.88B
Change In working capital 67.25%-105.69B-107.93%-28.28B-742.24%-419.69B-25.50%284.94B-19.63%185.48B-80,780.00%-322.72B41.03%356.83B164.24%65.35B196.52%382.48B226.65%230.8B
-Change in receivables 13.09%-412.84B-289.16%-372.74B-191.31%-297.71B-55.03%-1.14T-44.20%-463.89B-38.32%-475B18.76%-95.78B-305.89%-102.2B31.02%-733.34B8.10%-321.69B
-Change in payables and accrued expense 78.55%274.18B-21.39%347.62B-136.86%-75.91B24.85%1.41T12.80%604.95B-54.29%153.56B31.73%442.19B353.43%205.97B67.17%1.13T243.33%536.29B
-Change in other current assets 992.36%20.01B-538.77%-12.83B61.32%-12.67B16.04%-10.4B1,047.59%17.6B-71.65%1.83B-91.49%2.93B40.17%-32.77B22.35%-12.39B-11.23%1.53B
-Change in other current liabilities 2,781.00%17.21B13.24%7.92B-737.07%-30.33B153.62%29.73B66.04%27B-115.33%-642M194.94%6.99B67.36%-3.62B-15.77%11.72B66.93%16.26B
-Change in other working capital -72.21%-4.26B254.66%1.75B-50.49%-3.06B58.82%-4.19B88.85%-179M12.37%-2.47B132.37%494M51.88%-2.04B-100.65%-10.18B-1,288.89%-1.61B
Cash from discontinued investing activities
Operating cash flow 274.27%195.75B-49.74%278.65B-178.47%-178.86B8.34%1.11T5.01%436.07B-167.06%-112.33B36.96%554.45B582.88%227.94B1,351.27%1.02T1,393.94%415.28B
Investing cash flow
Cash flow from continuing investing activities -149.56%-122.51B84.09%-43.79B135.65%87.41B55.18%-218.36B132.47%54.82B643.73%247.2B15.55%-275.19B-562.75%-245.19B-268.13%-487.16B-174.61%-168.82B
Net PPE purchase and sale -125.93%-32.2B-6.42%-23.13B-27.33%-9.11B15.11%-50.04B75.47%-6.89B-38.00%-14.25B-48.29%-21.74B-22.09%-7.16B-140.39%-58.94B-156.50%-28.09B
Net business purchase and sale --0--0--0---29.05B---24.23B--0--180M---5B--0--0
Net investment purchase and sale -134.54%-90.32B91.85%-20.66B141.42%96.53B67.48%-139.27B161.07%85.94B844.09%261.45B18.50%-253.63B-495.99%-233.03B-236.00%-428.22B-158.08%-140.73B
Cash from discontinued investing activities
Investing cash flow -149.56%-122.51B84.09%-43.79B135.65%87.41B55.18%-218.36B132.47%54.82B643.73%247.2B15.55%-275.19B-562.75%-245.19B-268.13%-487.16B-174.61%-168.82B
Financing cash flow
Cash flow from continuing financing activities -6.68%-162.73B-18.36%-323.39B18.96%-54.82B-145.00%-675.97B-28.49%-182.56B-31.75%-152.54B-1,458.17%-273.23B-12,858.81%-67.65B21.75%-275.91B-56.59%-142.08B
Net issuance payments of debt --0--0-9.95%-51.2B---46.56B--0--0--0---46.56B--0--0
Net common stock issuance --0--085.83%-2.85B4.66%-60.7B43.40%-15.47B50.42%-9.61B8.67%-15.49B---20.13B---63.67B---27.33B
Cash dividends paid -13.47%-161.51B---------166.60%-560.13B-40.90%-161.07B-48.60%-142.34B--------38.27%-210.1B-27.10%-114.32B
Net other financing activities -6,433.90%-38.55B3,779.50%36.98B18.78%-774M-301.22%-8.57B-1,288.48%-6.03B3.28%-590M-76.01%-1.01B-82.57%-953M-15.70%-2.14B-14.51%-434M
Cash from discontinued financing activities
Financing cash flow -31.16%-200.06B-4.69%-286.05B18.96%-54.82B-145.00%-675.97B-28.49%-182.56B-31.75%-152.54B-1,458.17%-273.23B-12,858.81%-67.65B21.75%-275.91B-56.59%-142.08B
Net cash flow
Beginning cash position 12.82%594.86B28.27%668.06B33.33%820.47B79.88%615.36B2.10%528.52B3.69%527.28B16.95%520.84B79.88%615.36B3.54%342.1B119.61%517.66B
Current changes in cash -406.54%-89.49B-1,566.44%-88.53B-72.29%-146.27B-17.88%211.8B195.38%308.32B-382.66%-17.67B-90.17%6.04B-198.90%-84.9B3,330.59%257.91B0.93%104.38B
Effect of exchange rate changes -93.34%1.26B3,685.93%15.33B36.20%-6.14B-143.60%-6.69B-144.85%-16.37B553.56%18.9B-76.68%405M-155.31%-9.63B267.68%15.35B-325.95%-6.69B
End cash Position -4.14%506.63B12.82%594.86B28.27%668.06B33.33%820.47B33.33%820.47B2.10%528.52B3.69%527.28B16.95%520.84B79.88%615.36B79.88%615.36B
Free cash flow 229.10%163.43B-52.04%255.42B-185.17%-188.02B9.81%1.06T9.90%429.11B-182.36%-126.59B36.51%532.61B711.53%220.75B2,015.55%961.52B1,004.96%390.46B
Currency Unit KZTKZTKZTKZTKZTKZTKZTKZTKZTKZT
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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