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Trade GAZPROM NEFT PJSC - SIBNru CFD

367.52
0.48%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0767%
Short position overnight fee 0.0329%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency RUB
Margin 20%
Stock exchange Russian Federation
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 369.29
Open* 373.16
1-Year Change* -13.04%
Day's Range* 367.52 - 367.52
52 wk Range 308.8-563.75
Average Volume (10 days) 0.50157
Average Volume (3 months) 7.98082
Market Cap 1716350
P/E Ratio 3.39246
Shares Outstanding 4718000000
Revenue 3068440
EPS 106.707
Dividend (Yield %) 15.4696
Beta 0.91162
Next Earnings Date Oct 5, 2022

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Jul 18, 2022 367.52 -8.67 -2.30% 376.19 376.19 366.30
Jul 15, 2022 369.29 12.44 3.49% 356.85 376.10 355.07
Jul 14, 2022 356.80 -3.72 -1.03% 360.52 364.64 352.88
Jul 13, 2022 360.71 -12.49 -3.35% 373.20 375.47 360.03
Jul 12, 2022 372.09 -5.29 -1.40% 377.38 379.23 367.97
Jul 11, 2022 377.47 -4.61 -1.21% 382.08 382.08 376.15
Jul 8, 2022 381.05 0.94 0.25% 380.11 383.69 377.13
Jul 7, 2022 380.11 5.43 1.45% 374.68 381.64 371.78
Jul 6, 2022 389.18 0.25 0.06% 388.93 392.66 386.00
Jul 5, 2022 386.97 -5.71 -1.45% 392.68 394.76 383.69
Jul 4, 2022 392.06 2.05 0.53% 390.01 398.48 390.01
Jul 1, 2022 400.59 15.31 3.97% 385.28 405.64 385.28
Jun 30, 2022 387.95 -15.92 -3.94% 403.87 409.80 383.04
Jun 29, 2022 407.15 0.64 0.16% 406.51 407.94 393.73
Jun 28, 2022 407.35 -13.85 -3.29% 421.20 423.95 404.99
Jun 27, 2022 412.68 0.97 0.24% 411.71 421.02 410.53
Jun 24, 2022 409.84 -0.59 -0.14% 410.43 415.33 409.46
Jun 23, 2022 407.58 -12.60 -3.00% 420.18 429.15 405.53
Jun 22, 2022 425.51 -6.18 -1.43% 431.69 433.60 416.85
Jun 21, 2022 434.92 -8.90 -2.01% 443.82 445.84 430.75

GAZPROM NEFT PJSC Events

 (UTC)
Wednesday, November 16, 2022
05:30
  RU
Q3 2022 Gazprom Neft' PAO Earnings Release
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 1545610 1934590 2489290 2485310 1999620 3068440
Revenue 1545610 1934590 2489290 2485310 1999620 3068440
Cost of Revenue, Total 553156 672567 845924 923756 755706 1177430
Gross Profit 992452 1262020 1643370 1561550 1243910 1891010
Total Operating Expense 1311470 1635200 2046000 2050420 1862720 2518660
Selling/General/Admin. Expenses, Total 623096 817538 1009760 931860 875592 1101180
Research & Development 1195 963 1411 1752 994 435
Depreciation / Amortization 129845 140998 175451 181372 222151 228058
Unusual Expense (Income) 4179 3132 13446 11679 8272 11553
Operating Income 234137 299391 443296 434889 136905 549784
Interest Income (Expense), Net Non-Operating 39957 32992 46914 83547 9464 106028
Other, Net -14555 -7183 -10088 -10602 -2899 -22845
Net Income Before Taxes 259539 325200 480122 507834 143470 632967
Net Income After Taxes 209725 269678 400993 422088 120633 519363
Minority Interest -9546 -16404 -24326 -21887 -2934 -15918
Net Income Before Extra. Items 200179 253274 376667 400201 117699 503445
Net Income 200179 253274 376667 400201 117699 503445
Income Available to Common Excl. Extra. Items 200179 253274 376667 400201 117699 503445
Income Available to Common Incl. Extra. Items 200179 253274 376667 400201 117699 503445
Diluted Net Income 200179 253274 376667 400201 117699 503445
Diluted Weighted Average Shares 4718 4718 4718 4718 4718 4718
Diluted EPS Excluding Extraordinary Items 42.4288 53.6825 79.8362 84.8243 24.9468 106.707
Dividends per Share - Common Stock Primary Issue 10.68 15 30 37.96 15 56
Diluted Normalized EPS 45.673 54.188 82.9847 86.8817 27.9998 108.717
Q4 2020 Q1 2021 Q2 2021 Q3 2021 Q4 2021
Total revenue 550046 610980 726780 823790 906892
Revenue 550046 610980 726780 823790 906892
Cost of Revenue, Total 208790 190835 268372 330161 388060
Gross Profit 341256 420145 458408 493629 518832
Total Operating Expense 484041 514266 590876 667559 734404
Selling/General/Admin. Expenses, Total 221065 268435 265145 278975 288629
Research & Development 682 47 93 63 232
Depreciation / Amortization 53504 54949 57266 58360 57483
Operating Income 66005 96714 135904 156231 172488
Interest Income (Expense), Net Non-Operating 32353 14541 34744 28060 29274
Other, Net -1193 -6052 -4667 -9392 -14878
Net Income Before Taxes 97165 105203 165981 174899 186884
Net Income After Taxes 83591 86632 136538 144772 151421
Minority Interest -2085 -2476 -3460 -5038 -4944
Net Income Before Extra. Items 81506 84156 133078 139734 146477
Net Income 81506 84156 133078 139734 146477
Income Available to Common Excl. Extra. Items 81506 84156 133078 139734 146477
Income Available to Common Incl. Extra. Items 81506 84156 133078 139734 146477
Diluted Net Income 81506 84156 133078 139734 146477
Diluted Weighted Average Shares 4718 4718 4718 4718 4718
Diluted EPS Excluding Extraordinary Items 17.2755 17.8372 28.2064 29.6172 31.0464
Dividends per Share - Common Stock Primary Issue 10 0 0 40 16
Diluted Normalized EPS 17.3629 17.8372 28.2064 29.6172 31.0464
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 396332 422587 663129 767848 762094 1215540
Cash and Short Term Investments 75734 101057 248432 222310 238014 574524
Cash 9529 29762 192580 120693 104678 473307
Cash & Equivalents 24092 60846 55005 81711 132333 100114
Short Term Investments 42113 10449 847 19906 1003 1103
Total Receivables, Net 179394 163161 224258 316812 252712 325482
Accounts Receivable - Trade, Net 108955 100191 127090 151635 153267 178843
Total Inventory 100701 118322 149956 173674 217414 229900
Prepaid Expenses 28775 26458 26853 41894 29827 64775
Other Current Assets, Total 11728 13589 13630 13158 24127 20854
Total Assets 2548810 2930010 3520930 3825480 4259170 4960470
Property/Plant/Equipment, Total - Net 1726340 2052280 2366070 2548410 2920170 3109550
Property/Plant/Equipment, Total - Gross 2423420 2875050 3392120 3694150 4330110 4633630
Accumulated Depreciation, Total -697078 -822772 -1026050 -1145740 -1409940 -1524080
Goodwill, Net 31926 33899 36793 34191 40317 28640
Intangibles, Net 38225 40288 43346 54429 72448 93585
Long Term Investments 209097 259669 332020 342677 379052 432677
Note Receivable - Long Term 37747 29283 8242 10304 4816 6419
Other Long Term Assets, Total 109139 92007 71327 67623 80276 74070
Total Current Liabilities 289452 479335 562322 510694 786223 1363780
Accounts Payable 78161 118151 185269 279985 307997 431823
Accrued Expenses 69886 88015 102963 100297 129673 180222
Notes Payable/Short Term Debt 7382 400 660 15881 1061 321
Current Port. of LT Debt/Capital Leases 72805 132757 92092 24244 56267 192912
Other Current Liabilities, Total 61218 140012 181338 90287 291225 558507
Total Liabilities 1188670 1376750 1680750 1768280 2174540 2612390
Total Long Term Debt 596221 569480 708184 762898 822226 634244
Long Term Debt 596221 548654 684530 685030 738530 553342
Deferred Income Tax 81347 102583 127448 148253 165336 191353
Minority Interest 84027 105876 151642 155991 177809 190111
Other Liabilities, Total 137624 119477 131154 190441 222942 232898
Total Equity 1360140 1553260 1840180 2057210 2084640 2348080
Common Stock 98 98 98 98 98 98
Additional Paid-In Capital 51047 62256 60397 36044 29494 35976
Retained Earnings (Accumulated Deficit) 1276210 1431930 1680980 1943520 1944120 2211670
Treasury Stock - Common -1170 -1170 -1170 -1170 -1170 -1170
Other Equity, Total 33955 60142 99873 78711 112093 101507
Total Liabilities & Shareholders’ Equity 2548810 2930010 3520930 3825480 4259170 4960470
Total Common Shares Outstanding 4718 4718 4718 4718 4718 4718
Capital Lease Obligations 20826 23654 77868 83696 80902
Dec 2020 Mar 2021 Jun 2021 Sep 2021 Dec 2021
Total Current Assets 762094 821361 976287 1138230 1215540
Cash and Short Term Investments 238014 247205 345654 456046 574524
Cash 104678 87952 184059 216910 473307
Cash & Equivalents 132333 125344 127005 233149 100114
Short Term Investments 1003 33909 34590 5987 1103
Total Receivables, Net 252712 267089 312874 313310 325482
Accounts Receivable - Trade, Net 153267 148624 163602 169972 178843
Total Inventory 217414 249675 270770 297378 229900
Prepaid Expenses 29827 34497 27543 48156 64775
Other Current Assets, Total 24127 22895 19446 23344 20854
Total Assets 4259170 4380320 4513560 4735890 4960470
Property/Plant/Equipment, Total - Net 2920170 2953300 2982230 3046280 3109550
Property/Plant/Equipment, Total - Gross 4330110 4413840 4475860 4590780 4633630
Accumulated Depreciation, Total -1409940 -1460540 -1493630 -1544500 -1524080
Intangibles, Net 112765 114658 116865 120068 122225
Long Term Investments 379052 401839 350201 353982 432677
Note Receivable - Long Term 4816 5472 8218 7384 6419
Other Long Term Assets, Total 80276 83692 79761 69943 74070
Total Current Liabilities 786223 814612 983440 1142820 1363780
Accounts Payable 307997 323223 375792 427690 431823
Accrued Expenses 129673 169232 177853 185164 180222
Notes Payable/Short Term Debt 1061 4090 1309 756 321
Current Port. of LT Debt/Capital Leases 56267 45222 76230 158158 192912
Other Current Liabilities, Total 291225 272845 352256 371051 558507
Total Liabilities 2174540 2212350 2270320 2353860 2612390
Total Long Term Debt 822226 826212 740781 633925 634244
Long Term Debt 738530 743003 663165 553366 553342
Capital Lease Obligations 83696 83209 77616 80559 80902
Deferred Income Tax 165336 176783 183148 189615 191353
Minority Interest 177809 176427 172775 184389 190111
Other Liabilities, Total 222942 218313 190177 203115 232898
Total Equity 2084640 2167970 2243240 2382030 2348080
Common Stock 98 98 98 98 98
Additional Paid-In Capital 29494 29494 28300 30063 35976
Retained Earnings (Accumulated Deficit) 1944120 2028280 2114180 2253910 2211670
Treasury Stock - Common -1170 -1170 -1170 -1170 -1170
Other Equity, Total 112093 111270 101832 99124 101507
Total Liabilities & Shareholders’ Equity 4259170 4380320 4513560 4735890 4960470
Total Common Shares Outstanding 4718 4718 4718 4718 4718
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line 259539 325200 480122 507834 143470 632967
Cash From Operating Activities 321297 421700 537523 609076 517057 941923
Cash From Operating Activities 129845 140998 175451 181372 222151 228058
Non-Cash Items -27817 -26879 -30790 -73754 -6717 -81943
Cash Taxes Paid 22158 36530 61157 53087 18785 61168
Cash Interest Paid 36476 39449 46492 59057 55418 53550
Changes in Working Capital -40270 -17619 -87260 -6376 158153 162841
Cash From Investing Activities -323854 -312889 -335038 -363589 -374165 -460062
Capital Expenditures -384817 -357090 -375197 -462634 -443617 -472392
Other Investing Cash Flow Items, Total 60963 44201 40159 99045 69452 12330
Cash From Financing Activities -68430 -50521 -56543 -276720 -123957 -143204
Financing Cash Flow Items -1903 -2802 10326 -6984 -8041 8190
Total Cash Dividends Paid -2598 -50382 -70774 -227120 -93494 -70762
Issuance (Retirement) of Debt, Net -63929 2663 3905 -42616 -22422 -80632
Foreign Exchange Effects -9590 -1303 11035 -13948 15672 -2247
Net Change in Cash -80577 56987 156977 -45181 34607 336410
Dec 2020 Mar 2021 Jun 2021 Sep 2021 Dec 2021
Net income/Starting Line 143470 105203 271184 446083 632967
Cash From Operating Activities 517057 129508 387451 662977 941923
Cash From Operating Activities 222151 54949 112215 170575 228058
Non-Cash Items -6717 -10263 -41568 -65114 -81943
Cash Taxes Paid 18785 8048 26060 42998 61168
Cash Interest Paid 55418 10817 29792 40804 53550
Changes in Working Capital 158153 -20381 45620 111433 162841
Cash From Investing Activities -374165 -121772 -224038 -292009 -460062
Capital Expenditures -443617 -92624 -194445 -296633 -472392
Other Investing Cash Flow Items, Total 69452 -29148 -29593 4624 12330
Cash From Financing Activities -123957 -32052 -87574 -155258 -143204
Financing Cash Flow Items -8041 -53 -5080 6114 8190
Total Cash Dividends Paid -93494 -23587 -23588 -70759 -70762
Issuance (Retirement) of Debt, Net -22422 -8412 -58906 -90613 -80632
Foreign Exchange Effects 15672 601 -1786 -2662 -2247
Net Change in Cash 34607 -23715 74053 213048 336410

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Calculate your hypothetical P&L if you had opened a trade today #current date# at the market opening price:

Market
  • GAZPROM NEFT PJSC
Investment
Position size 100
Leverage
Opening price
Current price
Spread
Trade commission 0
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Profit/Loss

GAZPROM NEFT PJSC Company profile

About Gazprom Neft' PAO

Gazprom Neft' PAO is a vertically integrated oil company operating in the Russian Federation, Commonwealth of Independent States (CIS) and internationally. The Company's principal activities include exploration, production and development of crude oil and gas, production of refined petroleum products and distribution and marketing operations through its retail outlets. The Company manages its operations in two segments: Upstream and Downstream. The Company's Upstream segment (exploration and production) includes exploration, development and production of crude oil and natural gas (including joint ventures results), and oil field services. The Downstream segment (refining and marketing) processes crude into refined products and purchases, sells and transports crude and refined petroleum products. The Company offers products and services for motorists and a range of businesses. It offers Gazprom Neft Engine Oils and G-Energy premium oils brands for use in the passenger vehicles.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Gazprom Neft' PAO revenues increased 53% to RUR3.068T. Net income increased from RUR117.7B to RUR503.45B. Revenues reflect DOWNSTREAM segment increase of 52% to RUR2.992T, Rest of the world segment increase of 69% to RUR1.366T. Net income benefited from Share of profit of associates and joint increase from RUR48.05B to RUR102.4B (income). Dividend per share increased from RUR15.00 to RUR40.00.

Equity composition

05/06, Company name changed from Sibneft'OAO.

Industry: Integrated Oil & Gas

Санкт - Петербург, ул. Почтамтская, д.3-5
190000
RU

Income statement

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