| | Code | Value (thousand rub.) |
| Non-current assets
| | |
| Intangible assets | 110 | 342 180 |
| Property, plant and equipment | 120 | 2 066 540 674 |
| Construction in progress | 130 | 132 482 903 |
| Income-bearing lease investments | 135 | - |
| Long-term financial investments | 140 | 28 693 551 |
| Deferred tax assets | 145 | 9 890 809 |
| Other non-current assets | 150 | 29 464 403 |
| Total for section I | 190 | 2 267 414 520 |
| Current assets
| | |
| Inventories
| 210 | 51 988 214 |
| raw materials, supplies and other similar
values
| 211 | 42 482 331 |
| Growing livestock
| 212 | 28 234 |
| work in progress expenses (distribution
costs)
| 213 | 2 123 247 |
| finished goods and goods for resale
| 214 | 1 446 435 |
| goods shipped
| 215 | 53 463 |
| prepaid expenses
| 216 | 5 854 120 |
| other inventories and expenditure
| 217 | 384 |
| VAT on acquired valuables
| 220 | 34 331 670 |
| to be returned in over 12 months after the reporting date
| 230 | 9 896 644 |
| to be returned in 12 months after the
reporting date
| 231 | 23 538 |
| "Accounts receivable (payments are
expected in over 12 months after the
reporting date)"
| 240 | 41 044 247 |
| buyers and customers
| 241 | 6 559 379 |
| Short-term financial investments
| 250 | 6 080 180 |
| Other current assets
| 260 | 12 254 351 |
| Other current assets
| 270 | 3 400 328 |
| Total for section II
| 290 | 158 995 634 |
| Balance
| 300 | 2 426 410 154 |
| Capital and provisions
| | |
| Authorized capital
| 410 | 1 535 700 000 |
| Treasury stock
| 411 | - |
| Capital surplus
| 420 | 675 564 105 |
| Surplus
| 430 | 731 145 |
| Reserve funds, formed in compliance with legislation
| 431 | - |
| Reserve funds, formed in compliance with legislation
| 432 | 731 145 |
| Retained earnings (uncovered loss)
| 470 | 23 749 153 |
| Total for section III
| 490 | 2 235 744 403 |
| Long-term liabilities
| | |
| Credits and loans
| 510 | 61 026 383 |
| Deferred tax liabilities
| 515 | 17 750 610 |
| Other long-term liabilities
| 520 | 12 844 490 |
| Total for section IV
| 590 | 91 621 483 |
| Current liabilities
| | |
| Credits and loans
| 610 | 1 003 846 |
| Accounts payable
| 620 | 95 978 453 |
| vendors and contractors
| 621 | 28 440 526 |
| wages payable
| 622 | - |
| debt to government extrabudgetary funds
| 623 | - |
| tax debt
| 624 | - |
| other creditors
| 625 | - |
| Debt to participants (founders) for income payments
| 630 | - |
| Deferred revenue
| 640 | 2 061 969 |
| Provision of costs to be incurred
| 650 | - |
| Other current liabilities
| 660 | - |
| Total for section V
| 690 | 99 044 268 |
| Balance
| 700 | 2 426 410 154 |
| Reference on availability of valuables being accounted on off-balance-sheet accounts
| | |
| Rented property, plant and equipment
| 910 | - |
| including under leasing
| 911 | - |
| Inventory items received in custody
| 920 | - |
| Commodities received under commission
| 930 | - |
| Accounts receivable of insolvent debtors
written-off as a loss
| 940 | - |
| Guarantees obtained
| 950 | - |
| Guarantees issued
| 960 | - |
| Housing facilities depreciation
| 970 | - |
| Depreciation of land improvement objects and other similar objects
| 980 | - |
| Intangible assets received for use
| 990 | - |
| | Code | Value (thousand rub.) |
| Operating revenues and expenses
| | |
| Proceeds (net) from sales of goods,
products, works, services (minus VAT,
excise taxes and similar mandatory
payments) | 010 | 182 720 953 |
| Prime cost of sold goods, products, works and services | 020 | 176 895 832 |
| Gross profit
| 029 | 5 825 121 |
| Commercial costs
| 030 | 739 975 |
| Management costs
| 040 | - |
| Sales profit (loss)
| 050 | 5 085 146 |
| Other revenues and expenses
| | |
| Interest receivable
| 060 | 44 138 |
| Interest due
| 070 | 1 073 969 |
| Revenues from participation in other
companies
| 080 | - |
| Other revenues
| 090 | 12 834 731 |
| Other expenses
| 100 | 5 761 955 |
| Profit (loss) before tax | 140 | 4 710 291 |
| deferred tax assets | 141 | 890 747 |
| deferred tax liabilities | 142 | -2 798 468 |
| сurrent tax on income
| 150 | -3 987 660 |
| Net profit (loss) of the reporting period
| 190 | -1 114 900 |
| Recurrent tax liabilities (assets)
| 200 | 4 715 144 |
| Basic earnings (loss) per share
| 201 | - |
| Diluted earnings (loss) per share
| 202 | - |