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FGC ROSSETI

Interim / Quarterly Report Jul 30, 2021

6438_10-q_2021-07-30_6fd07b48-3bd0-4fae-8d27-1eb58823629f.pdf

Interim / Quarterly Report

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to Decree of the Russian Ministry of
Finance
No. 66n dated July 2, 2010
(as revised by Decrees of the Russian
Ministry of Finance No. 124n dated
October 5, 2011,
BALANCE SHEET No. 57n dated April 6, 2015,
No. 41n dated March 6, 2018,
20 21
June 30
as of
CODES
OKUD Form No. 1 0710001
Date (year, month, day) 2021 06
30
Public Joint Stock Company
Organization "Federal Grid Company of as per OKPO 56947007
Unified Energy System"
Taxpayer Identification Number INN 4716016979
Type of activity power transmission as per OKVED 2 35.12
Form of legal entity's
incorporation / form of
public joint-stock company / mixed Russian assets with a federal share as per OKOPF/OKFS 47 41

RUB thousand 384

Unit of measurement: as per OKEI

5A Akademika Chelomeya Street, Moscow, Russia, 117630

October 5, 2011,
CODES
0710001
2021 06
30
56947007
4716016979

Location (address) Accounting statements are subject to mandatory audit YES NO Name of the audit organization / last name, first name, patronymic (if any) of the individual auditor Taxpayer Identification Number of the audit organization / individual auditor INN Notes land plots and natural resources buildings, machinery and equipment, structures other fixed assets X 7708096662 LLC "Ernst & Young" 1 2 3 4 5 I. NON-CURRENT ASSETS Primary State Registration Number of the audit organization / individual auditor OGRN/ OGRNI 1027739127734 ASSET Indicator code As of June 30, 2021 As of December 31, 2020 As of December 31, 2019 Intangible assets 1110 5 080 607 5 818 991 4 658 225 Research and development results 1120 - - 950 1132 1 010 600 416 1 039 476 108 985 725 021 1133 3 871 887 4 116 722 4 250 694 Fixed assets, including: 1130 1 016 198 673 1 045 337 064 991 719 785 1131 1 726 370 1 744 234 1 744 070 Income-bearing investments in tangible assets 1140 - - - Financial investments 1150 74 290 310 80 826 304 66 038 914 Deferred tax assets 1160 - - - Other non-current assets, including: 1170 290 847 039 257 221 611 269 095 933 equipment for installation 1171 32 355 947 36 707 309 32 897 293 investments in non-current assets 1172 225 677 031 194 381 605 211 655 187 TOTAL for Section I 1100 1 386 416 629 1 389 203 970 1 331 513 807 II. CURRENT ASSETS advances against non-current assets 1173 32 628 307 25 931 010 24 298 857 other non-current assets 1174 185 754 201 687 244 596 Inventory, including: 1210 13 983 224 12 604 712 11 676 657 raw materials, materials and other similar assets 1211 13 983 224 12 604 712 11 675 592 WIP on core services to third parties 1213 - - 1 065 Value added tax on purchased assets 1220 1 400 110 2 429 859 973 489 Accounts receivable, including: 1230 119 444 719 124 401 555 131 956 157 Accounts receivable (payments are expected over more than 12 months upon the balance sheet date), including: 1231 74 120 131 80 655 065 85 477 009 customers and consumers 1232 68 832 839 75 831 961 83 338 840 advance payments made 1233 - - other debtors 1234 5 287 292 4 823 104 2 138 169 Accounts receivable (payments are expected within 12 months upon the balance sheet date), including: 1235 45 324 588 43 746 490 46 479 148 customers and consumers 1236 33 418 649 31 146 355 34 285 535 amounts owed by members (founders) as payments to the authorized capital 1237 - - advance payments made 1238 664 891 354 057 614 922 other debtors 1239 11 241 048 12 246 078 11 578 691

Financial investments (except for cash equivalents) 1240 10 373 796 15 373 796 25 735 205 Cash and cash equivalents 1250 54 384 245 23 902 506 30 434 073 Other current assets 1260 31 538 32 754 34 699 TOTAL for Section II 1200 199 617 632 178 745 182 200 810 280

BALANCE 1600 1 586 034 261 1 567 949 152 1 532 324 087

Annex No. 1

LIABILITY Indicator
code
As of June 30, 2021 As of December 31,
2020
As of December 31,
2019
1 2 3 4 4
III. CAPITAL AND RESERVES
Share capital (contributed capital, authorized fund,
contributions of partners)
1310 637 332 662 637 332 662 637 332 662
Shares repurchased 1320 - - -
Revaluation of non-current assets 1340 269 198 884 269 198 981 255 708 535
Additional capital (without revaluation) 1350 31 867 163 31 867 163 31 867 163
Reserve capital 1360 29 324 991 27 326 723 24 419 781
Undistributed profit (uncovered loss), including: 1370 190 675 082 196 050 453 170 421 718
Uncovered loss of past years 1371 - - -
Undistributed profit of past years 1372 173 488 276 156 085 076 122 166 200
Undistributed profit of the reporting year 1373 17 186 806 39 965 377 48 255 518
including interim dividends 1374 - - (11 229 301)
TOTAL for Section III 1300 1 158 398 782 1 161 775 982 1 119 749 859
IV. LONG-TERM LIABILITIES
Borrowing and loans 1410 216 502 065 206 572 589 196 622 387
Deferred tax liabilities 1420 98 939 491 97 053 441 89 794 704
Estimated liabilities 1430 - - -
Other liabilities 1450 22 140 786 21 982 328 27 518 412
Section IV Total 1400 337 582 342 325 608 358 313 935 503
V. SHORT-TERM LIABILITIES
Borrowing and loans 1510 12 488 572 22 585 880 30 436 665
Accounts payable, including: 1520 71 673 355 51 288 858 64 304 991
suppliers and contractors 1521 27 525 584 35 113 703 32 293 176
payables to employees 1522 1 069 604 18 082 19 038
payables to state non-budgetary funds 1523 628 347 589 557 594 702
taxes and fees payable 1524 7 707 891 3 507 652 6 950 080
advances received 1525 7 960 434 7 273 026 8 933 134
other creditors 1526 5 885 753 4 453 919 4 020 628
payables to members (founders) 1527 20 895 742 332 919 11 494 233
Deferred income 1530 588 571 600 315 625 671
Estimated liabilities 1540 5 301 383 6 088 485 3 271 398
Other liabilities 1550 1 256 1 274 -
TOTAL for Section V 1500 90 053 137 80 564 812 98 638 725
BALANCE 1700 1 586 034 261 1 567 949 152 1 532 324 087

Director General of PJSC Rosseti, a management company of FGC UES, PJSC A. V. Ryumin

Chief Accountant

" " . 30 July 20 21

D.V. Nagovitsyn

(as revised by Decrees of the Russian Ministry of Finance No. 57n dated April 6, 2015, No. 41n dated March 6, 2018, No. 61n dated April 19, 2019)

STATEMENT OF FINANCIAL RESULTS

as of June 30, 2021 .

CODES
OKUD Form No.2 0710002
Date (year, month, day) 2021 06
30
Public Joint Stock Company
Organization "Federal Grid Company of
as per OKPO
56947007
Unified Energy System"
Taxpayer Identification Number INN 4716016979
Type of activity power transmission
as per OKVED 2
35.12
Form of incorporation / form of
ownership
public joint-stock company / mixed Russian assets with a federal
share
as per OKOPF/OKFS 47 41
Unit of measurement: RUB thousand as per OKEI 384
Indicator For the reporting For the same period of
Notes description Code period the previous year
1 2 3 4
General income and expenses
Net proceeds from sale of goods, products and services (net of VAT,
excise duties and other similar mandatory payments),
including:
2110 119 670 168 111 093 665
services for electric power transmission 2111 118 087 936 109 942 454
technological connection services 2112 527 680 80 832
other activity 2119 1 054 552 1 070 379
Production cost of goods, products and services sold, including: 2120 88 413 683
(
)
(
83 617 242
)
services for electric power transmission 2121 (
87 833 255
)
(
83 031 314
)
technological connection services 2122 )
(
46 095
(
50 701
)
other activity 2129 (
534 333
)
(
535 227
)
Gross profit (2110 + 2120) 2100 31 256 485 27 476 423
Commercial expenses 2210 - -
Administrative expenses 2220 (
3 734 172
)
(
4 390 226
)
Profit (loss) from sales (2100 + 2210 + 2220) 2200 27 522 313 23 086 197
Income from participation in other companies 2310 1 520 264 1 820 485
Interest income 2320 4 059 968 4 836 885
Interest expenses 2330 )
(
1 916 045
(
2 383 362
)
Other income 2340 2 552 511 2 840 486
quoted financial asset revaluation surplus 2341
Other expenses 2350 )
(
11 335 159
(
3 760 805
)
quoted financial asset revaluation losses 2351 - -
Profit (loss) before tax
(2200 +2310 + 2320 + 2330 + 2340 + 2350)
2300 22 403 852 26 439 886
Current income tax, incluiding: 2410 (
5 216 623
)
)
(
5 044 641
permanent tax liabilities 2411 (
3 330 573
)
)
(
3 089 443
Deferred income tax 2412 (
1 886 050
)
(
1 955 198
)
Other, including: 2460 (
423
)
)
(
18
Other similar mandatory payments 2461 (
423
)
(
18
)
Income tax adjustment for the previous periods 2462 - -
Net profit (loss) for the reporting period 2400 17 186 806 21 395 227

Form 0710002 p. 2

Notes Indicator name As of June 30,
2021
As of June 30,
2020
FOR REFERENCE
Result of the fixed assets revaluation, not included in the net profit (loss) for
the period
Gain or loss from other operations not included in the net profit (loss) for the
period
Total financial result for the period 17 186 806 21 395 227
Basic earnings (loss) per share 0.01348 0.01678
Diluted earnings (loss) per share

Director General of PJSC Rosseti, a management company of FGC UES, PJSC A. V. Ryumin

Chief Accountant

D.V. Nagovitsyn

" " . July 2021

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