US Stock MarketDetailed Quotes

HHR HeadHunter Group

Watchlist
  • 15.030
  • 0.0000.00%
Trading Jun 8 09:30 ET
761.05MMarket Cap7.90P/E (TTM)

HeadHunter Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
151.17%11.98B
37.01%9.35B
37.01%9.35B
4.41%5.86B
-27.96%3.93B
-1.34%4.77B
102.61%6.82B
102.61%6.82B
324.87%5.61B
124.77%5.45B
-Cash and cash equivalents
156.55%11.98B
43.31%9.35B
43.31%9.35B
-4.73%5.34B
-27.96%3.93B
-3.41%4.67B
93.70%6.52B
93.70%6.52B
324.87%5.61B
124.77%5.45B
-Short-term investments
----
--0
--0
--512.66M
--0
--100M
--300M
--300M
----
----
Receivables
4.34%148.38M
-13.02%134.47M
-13.02%134.47M
-29.86%148.74M
-15.30%116.46M
43.34%142.2M
100.01%154.6M
100.01%154.6M
170.85%212.07M
105.00%137.49M
-Accounts receivable
4.34%148.38M
-16.91%117.27M
-16.91%117.27M
-29.86%148.74M
-13.40%116.46M
48.15%142.2M
131.25%141.13M
131.25%141.13M
188.57%212.06M
147.23%134.48M
-Loans receivable
----
----
----
----
----
----
----
----
-99.85%7K
-38.40%3M
-Taxes receivable
----
12.29%3.24M
12.29%3.24M
----
----
----
-2.50%2.88M
-2.50%2.88M
----
----
-Other receivables
----
31.82%13.97M
31.82%13.97M
----
----
----
106.27%10.6M
106.27%10.6M
----
----
Other current assets
-0.82%320.08M
-40.66%209.09M
-40.66%209.09M
-41.12%266.87M
-30.11%206.51M
-3.28%322.72M
-3.62%352.36M
-3.62%352.36M
595.14%453.27M
255.59%295.49M
Total current assets
137.81%12.45B
32.22%9.69B
32.22%9.69B
-0.04%6.27B
-27.78%4.25B
-0.62%5.23B
92.37%7.33B
92.37%7.33B
328.67%6.27B
128.47%5.89B
Non current assets
Net PPE
21.07%720.61M
13.84%686.43M
13.84%686.43M
-7.67%553.99M
-17.31%538.22M
-6.88%595.2M
-11.57%602.99M
-11.57%602.99M
-13.24%599.98M
-8.21%650.91M
-Gross PPE
21.07%720.61M
27.99%1.32B
27.99%1.32B
-7.67%553.99M
-17.31%538.22M
-6.88%595.2M
3.15%1.03B
3.15%1.03B
-13.24%599.98M
-8.21%650.91M
-Accumulated depreciation
----
-48.09%-628.68M
-48.09%-628.68M
----
----
----
-35.06%-424.52M
-35.06%-424.52M
----
----
Goodwill and other intangible assets
-6.75%12.39B
-10.37%12.51B
-10.37%12.51B
-10.63%12.63B
-9.48%12.95B
-8.54%13.29B
5.19%13.96B
5.19%13.96B
50.45%14.13B
51.09%14.31B
-Goodwill
-1.78%9.96B
-6.54%9.94B
-6.54%9.94B
-7.01%9.89B
-5.94%10.02B
-4.93%10.14B
7.58%10.63B
7.58%10.63B
52.28%10.63B
53.06%10.66B
-Other intangible assets
-22.78%2.43B
-22.61%2.57B
-22.61%2.57B
-21.63%2.74B
-19.80%2.93B
-18.53%3.14B
-1.81%3.33B
-1.81%3.33B
45.15%3.5B
45.61%3.65B
Investments and advances
0.52%371.49M
-6.92%385.93M
-6.92%385.93M
658.83%438.69M
483.70%353.25M
--369.56M
167.23%414.62M
167.23%414.62M
-63.17%57.81M
-65.77%60.52M
Long-term notes receivables
----
----
----
----
----
----
----
----
428.19%76.2M
1,011.99%74.86M
Non current deferred assets
24.52%679.52M
38.19%624.49M
38.19%624.49M
80.26%545.07M
145.42%570.88M
142.90%545.7M
156.28%451.89M
156.28%451.89M
95.30%302.38M
52.21%232.62M
Other non current assets
-74.94%7.05M
-88.88%3.01M
-88.88%3.01M
4.71%26.65M
-0.30%26.57M
4.26%28.13M
22.16%27.09M
22.16%27.09M
16.64%25.45M
19.61%26.65M
Total non current assets
-4.43%14.17B
-8.05%14.21B
-8.05%14.21B
-6.58%14.19B
-5.95%14.44B
-3.84%14.82B
7.95%15.45B
7.95%15.45B
45.64%15.19B
45.70%15.35B
Total assets
32.69%26.61B
4.91%23.9B
4.91%23.9B
-4.67%20.46B
-12.00%18.69B
-3.02%20.06B
25.70%22.78B
25.70%22.78B
80.46%21.46B
61.96%21.24B
Liabilities
Current liabilities
Payables
24.54%2.58B
8.85%2.29B
8.85%2.29B
-9.84%2.18B
-59.32%1.72B
-14.90%2.07B
46.20%2.11B
46.20%2.11B
81.24%2.42B
43.76%4.22B
-accounts payable
25.70%2.25B
-1.22%369.42M
-1.22%369.42M
1.40%1.87B
-7.85%1.54B
-9.27%1.79B
53.64%374M
53.64%374M
105.06%1.85B
647.15%1.67B
-Total tax payable
17.14%330.01M
2.85%1.36B
2.85%1.36B
-46.10%308.78M
-66.77%177.03M
-38.96%281.71M
46.91%1.32B
46.91%1.32B
31.85%572.89M
-30.37%532.75M
-Dividends payable
----
----
----
----
----
----
----
----
----
15.40%2.02B
-Other payable
----
37.21%565.03M
37.21%565.03M
----
----
----
38.01%411.8M
38.01%411.8M
----
----
Current provisions
-11.42%688.25M
-15.23%642.63M
-15.23%642.63M
5.35%836.1M
12.93%841.64M
19.70%776.98M
31.01%758.12M
31.01%758.12M
1,043.99%793.67M
1,198.48%745.29M
Current debt and capital lease obligation
661.01%4.52B
484.94%4.68B
484.94%4.68B
4.23%590.49M
4.53%589.75M
0.36%593.34M
42.07%799.64M
42.07%799.64M
3.68%566.54M
-83.40%564.17M
-Current debt
804.97%4.37B
552.78%4.56B
552.78%4.56B
-0.39%482.07M
0.09%481.25M
-5.66%483.07M
44.05%698.78M
44.05%698.78M
2.19%483.94M
-85.55%480.83M
-Current capital lease obligation
30.39%143.78M
14.89%115.88M
14.89%115.88M
31.25%108.41M
30.18%108.49M
39.24%110.27M
29.73%100.86M
29.73%100.86M
13.34%82.6M
17.95%83.34M
Current deferred liabilities
18.18%6.03B
21.41%5.62B
21.41%5.62B
21.33%4.4B
34.79%4.54B
46.04%5.11B
53.27%4.63B
53.27%4.63B
55.95%3.62B
43.02%3.37B
Other current liabilities
120.29%145.71M
-19.85%112.14M
-19.85%112.14M
-9.34%95.16M
77.41%74.43M
62.66%66.14M
260.99%139.92M
260.99%139.92M
308.64%104.96M
57.93%41.95M
Current liabilities
62.10%13.96B
58.25%13.34B
58.25%13.34B
7.87%8.1B
-13.18%7.76B
19.45%8.61B
49.49%8.43B
49.49%8.43B
74.61%7.51B
1.92%8.94B
Non current liabilities
Long term provisions
-69.11%26.86M
-77.85%25.99M
-77.85%25.99M
-75.18%24.77M
-49.31%39.15M
-12.82%86.96M
33.62%117.35M
33.62%117.35M
105.60%99.79M
134.89%77.24M
Long term debt and capital lease obligation
-59.36%2.97B
-58.90%3.06B
-58.90%3.06B
-6.82%7.05B
-6.71%7.18B
-6.62%7.3B
-6.54%7.44B
-6.54%7.44B
83.32%7.56B
424.84%7.69B
-Long term debt
-59.94%2.89B
-58.98%3.01B
-58.98%3.01B
-6.13%7B
-6.00%7.11B
-5.92%7.22B
-5.81%7.34B
-5.81%7.34B
88.80%7.45B
495.47%7.56B
-Long term capital lease obligation
-7.48%75.31M
-52.94%45.26M
-52.94%45.26M
-54.21%49.42M
-48.48%65.93M
-43.75%81.4M
-41.44%96.18M
-41.44%96.18M
-38.99%107.91M
-34.48%127.98M
Non current deferred liabilities
-18.28%467.11M
-22.54%541.29M
-22.54%541.29M
-17.32%510.2M
-23.93%538.34M
-25.59%571.61M
-10.61%698.81M
-10.61%698.81M
36.99%617.04M
50.18%707.68M
Other non current liabilities
-56.53%52.08M
-48.25%70.24M
-48.25%70.24M
-41.64%87.86M
-13.04%104.72M
-9.11%119.81M
-4.76%135.74M
-4.76%135.74M
42.52%150.53M
6.30%120.42M
Total non current liabilities
-56.80%3.51B
-55.96%3.69B
-55.96%3.69B
-9.72%7.71B
-9.45%7.89B
-9.01%8.14B
-6.56%8.39B
-6.56%8.39B
80.22%8.54B
317.29%8.71B
Total liabilities
4.35%17.48B
1.30%17.04B
1.30%17.04B
-1.49%15.81B
-11.34%15.65B
3.70%16.75B
15.07%16.82B
15.07%16.82B
77.55%16.04B
62.55%17.66B
Shareholders'equity
Share capital
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
-common stock
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.00%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
0.67%8.66M
Retained earnings
244.89%7.45B
10.56%5.26B
10.56%5.26B
-0.17%3.23B
20.54%1.83B
-11.33%2.16B
209.62%4.76B
209.62%4.76B
253.64%3.24B
310.71%1.52B
Paid-in capital
0.00%1.57B
0.00%1.57B
0.00%1.57B
-26.50%1.57B
-23.17%1.57B
-22.18%1.57B
0.00%1.57B
0.00%1.57B
8.99%2.13B
5.88%2.04B
Less: Treasury stock
0.00%1.43B
30.07%1.43B
30.07%1.43B
--1.43B
--1.43B
--1.43B
--1.1B
--1.1B
----
----
Gains losses not affecting retained earnings
39.65%-49.97M
-13.64%-107.6M
-13.64%-107.6M
-109.46%-193.55M
-126.94%-221.98M
2.36%-82.8M
-2.75%-94.68M
-2.75%-94.68M
-35.07%-92.41M
-7.22%-97.82M
Other equity interest
54.79%1.6B
112.63%1.48B
112.63%1.48B
--1.41B
--1.23B
--1.03B
65.89%694.1M
65.89%694.1M
----
----
Total stockholders'equity
180.48%9.15B
16.13%6.78B
16.13%6.78B
-13.01%4.6B
-13.75%2.99B
-25.43%3.26B
69.68%5.84B
69.68%5.84B
87.91%5.29B
56.71%3.47B
Noncontrolling interests
-126.79%-12.5M
-32.40%85.78M
-32.40%85.78M
-56.54%57.37M
-60.48%44.5M
-70.23%46.68M
83.62%126.89M
83.62%126.89M
203.40%132M
205.50%112.61M
Total equity
176.15%9.14B
15.10%6.86B
15.10%6.86B
-14.07%4.66B
-15.22%3.04B
-26.98%3.31B
69.96%5.96B
69.96%5.96B
89.67%5.42B
59.14%3.58B
Currency Unit
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
RUB
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 151.17%11.98B37.01%9.35B37.01%9.35B4.41%5.86B-27.96%3.93B-1.34%4.77B102.61%6.82B102.61%6.82B324.87%5.61B124.77%5.45B
-Cash and cash equivalents 156.55%11.98B43.31%9.35B43.31%9.35B-4.73%5.34B-27.96%3.93B-3.41%4.67B93.70%6.52B93.70%6.52B324.87%5.61B124.77%5.45B
-Short-term investments ------0--0--512.66M--0--100M--300M--300M--------
Receivables 4.34%148.38M-13.02%134.47M-13.02%134.47M-29.86%148.74M-15.30%116.46M43.34%142.2M100.01%154.6M100.01%154.6M170.85%212.07M105.00%137.49M
-Accounts receivable 4.34%148.38M-16.91%117.27M-16.91%117.27M-29.86%148.74M-13.40%116.46M48.15%142.2M131.25%141.13M131.25%141.13M188.57%212.06M147.23%134.48M
-Loans receivable ---------------------------------99.85%7K-38.40%3M
-Taxes receivable ----12.29%3.24M12.29%3.24M-------------2.50%2.88M-2.50%2.88M--------
-Other receivables ----31.82%13.97M31.82%13.97M------------106.27%10.6M106.27%10.6M--------
Other current assets -0.82%320.08M-40.66%209.09M-40.66%209.09M-41.12%266.87M-30.11%206.51M-3.28%322.72M-3.62%352.36M-3.62%352.36M595.14%453.27M255.59%295.49M
Total current assets 137.81%12.45B32.22%9.69B32.22%9.69B-0.04%6.27B-27.78%4.25B-0.62%5.23B92.37%7.33B92.37%7.33B328.67%6.27B128.47%5.89B
Non current assets
Net PPE 21.07%720.61M13.84%686.43M13.84%686.43M-7.67%553.99M-17.31%538.22M-6.88%595.2M-11.57%602.99M-11.57%602.99M-13.24%599.98M-8.21%650.91M
-Gross PPE 21.07%720.61M27.99%1.32B27.99%1.32B-7.67%553.99M-17.31%538.22M-6.88%595.2M3.15%1.03B3.15%1.03B-13.24%599.98M-8.21%650.91M
-Accumulated depreciation -----48.09%-628.68M-48.09%-628.68M-------------35.06%-424.52M-35.06%-424.52M--------
Goodwill and other intangible assets -6.75%12.39B-10.37%12.51B-10.37%12.51B-10.63%12.63B-9.48%12.95B-8.54%13.29B5.19%13.96B5.19%13.96B50.45%14.13B51.09%14.31B
-Goodwill -1.78%9.96B-6.54%9.94B-6.54%9.94B-7.01%9.89B-5.94%10.02B-4.93%10.14B7.58%10.63B7.58%10.63B52.28%10.63B53.06%10.66B
-Other intangible assets -22.78%2.43B-22.61%2.57B-22.61%2.57B-21.63%2.74B-19.80%2.93B-18.53%3.14B-1.81%3.33B-1.81%3.33B45.15%3.5B45.61%3.65B
Investments and advances 0.52%371.49M-6.92%385.93M-6.92%385.93M658.83%438.69M483.70%353.25M--369.56M167.23%414.62M167.23%414.62M-63.17%57.81M-65.77%60.52M
Long-term notes receivables --------------------------------428.19%76.2M1,011.99%74.86M
Non current deferred assets 24.52%679.52M38.19%624.49M38.19%624.49M80.26%545.07M145.42%570.88M142.90%545.7M156.28%451.89M156.28%451.89M95.30%302.38M52.21%232.62M
Other non current assets -74.94%7.05M-88.88%3.01M-88.88%3.01M4.71%26.65M-0.30%26.57M4.26%28.13M22.16%27.09M22.16%27.09M16.64%25.45M19.61%26.65M
Total non current assets -4.43%14.17B-8.05%14.21B-8.05%14.21B-6.58%14.19B-5.95%14.44B-3.84%14.82B7.95%15.45B7.95%15.45B45.64%15.19B45.70%15.35B
Total assets 32.69%26.61B4.91%23.9B4.91%23.9B-4.67%20.46B-12.00%18.69B-3.02%20.06B25.70%22.78B25.70%22.78B80.46%21.46B61.96%21.24B
Liabilities
Current liabilities
Payables 24.54%2.58B8.85%2.29B8.85%2.29B-9.84%2.18B-59.32%1.72B-14.90%2.07B46.20%2.11B46.20%2.11B81.24%2.42B43.76%4.22B
-accounts payable 25.70%2.25B-1.22%369.42M-1.22%369.42M1.40%1.87B-7.85%1.54B-9.27%1.79B53.64%374M53.64%374M105.06%1.85B647.15%1.67B
-Total tax payable 17.14%330.01M2.85%1.36B2.85%1.36B-46.10%308.78M-66.77%177.03M-38.96%281.71M46.91%1.32B46.91%1.32B31.85%572.89M-30.37%532.75M
-Dividends payable ------------------------------------15.40%2.02B
-Other payable ----37.21%565.03M37.21%565.03M------------38.01%411.8M38.01%411.8M--------
Current provisions -11.42%688.25M-15.23%642.63M-15.23%642.63M5.35%836.1M12.93%841.64M19.70%776.98M31.01%758.12M31.01%758.12M1,043.99%793.67M1,198.48%745.29M
Current debt and capital lease obligation 661.01%4.52B484.94%4.68B484.94%4.68B4.23%590.49M4.53%589.75M0.36%593.34M42.07%799.64M42.07%799.64M3.68%566.54M-83.40%564.17M
-Current debt 804.97%4.37B552.78%4.56B552.78%4.56B-0.39%482.07M0.09%481.25M-5.66%483.07M44.05%698.78M44.05%698.78M2.19%483.94M-85.55%480.83M
-Current capital lease obligation 30.39%143.78M14.89%115.88M14.89%115.88M31.25%108.41M30.18%108.49M39.24%110.27M29.73%100.86M29.73%100.86M13.34%82.6M17.95%83.34M
Current deferred liabilities 18.18%6.03B21.41%5.62B21.41%5.62B21.33%4.4B34.79%4.54B46.04%5.11B53.27%4.63B53.27%4.63B55.95%3.62B43.02%3.37B
Other current liabilities 120.29%145.71M-19.85%112.14M-19.85%112.14M-9.34%95.16M77.41%74.43M62.66%66.14M260.99%139.92M260.99%139.92M308.64%104.96M57.93%41.95M
Current liabilities 62.10%13.96B58.25%13.34B58.25%13.34B7.87%8.1B-13.18%7.76B19.45%8.61B49.49%8.43B49.49%8.43B74.61%7.51B1.92%8.94B
Non current liabilities
Long term provisions -69.11%26.86M-77.85%25.99M-77.85%25.99M-75.18%24.77M-49.31%39.15M-12.82%86.96M33.62%117.35M33.62%117.35M105.60%99.79M134.89%77.24M
Long term debt and capital lease obligation -59.36%2.97B-58.90%3.06B-58.90%3.06B-6.82%7.05B-6.71%7.18B-6.62%7.3B-6.54%7.44B-6.54%7.44B83.32%7.56B424.84%7.69B
-Long term debt -59.94%2.89B-58.98%3.01B-58.98%3.01B-6.13%7B-6.00%7.11B-5.92%7.22B-5.81%7.34B-5.81%7.34B88.80%7.45B495.47%7.56B
-Long term capital lease obligation -7.48%75.31M-52.94%45.26M-52.94%45.26M-54.21%49.42M-48.48%65.93M-43.75%81.4M-41.44%96.18M-41.44%96.18M-38.99%107.91M-34.48%127.98M
Non current deferred liabilities -18.28%467.11M-22.54%541.29M-22.54%541.29M-17.32%510.2M-23.93%538.34M-25.59%571.61M-10.61%698.81M-10.61%698.81M36.99%617.04M50.18%707.68M
Other non current liabilities -56.53%52.08M-48.25%70.24M-48.25%70.24M-41.64%87.86M-13.04%104.72M-9.11%119.81M-4.76%135.74M-4.76%135.74M42.52%150.53M6.30%120.42M
Total non current liabilities -56.80%3.51B-55.96%3.69B-55.96%3.69B-9.72%7.71B-9.45%7.89B-9.01%8.14B-6.56%8.39B-6.56%8.39B80.22%8.54B317.29%8.71B
Total liabilities 4.35%17.48B1.30%17.04B1.30%17.04B-1.49%15.81B-11.34%15.65B3.70%16.75B15.07%16.82B15.07%16.82B77.55%16.04B62.55%17.66B
Shareholders'equity
Share capital 0.00%8.66M0.00%8.66M0.00%8.66M0.00%8.66M0.00%8.66M0.67%8.66M0.67%8.66M0.67%8.66M0.67%8.66M0.67%8.66M
-common stock 0.00%8.66M0.00%8.66M0.00%8.66M0.00%8.66M0.00%8.66M0.67%8.66M0.67%8.66M0.67%8.66M0.67%8.66M0.67%8.66M
Retained earnings 244.89%7.45B10.56%5.26B10.56%5.26B-0.17%3.23B20.54%1.83B-11.33%2.16B209.62%4.76B209.62%4.76B253.64%3.24B310.71%1.52B
Paid-in capital 0.00%1.57B0.00%1.57B0.00%1.57B-26.50%1.57B-23.17%1.57B-22.18%1.57B0.00%1.57B0.00%1.57B8.99%2.13B5.88%2.04B
Less: Treasury stock 0.00%1.43B30.07%1.43B30.07%1.43B--1.43B--1.43B--1.43B--1.1B--1.1B--------
Gains losses not affecting retained earnings 39.65%-49.97M-13.64%-107.6M-13.64%-107.6M-109.46%-193.55M-126.94%-221.98M2.36%-82.8M-2.75%-94.68M-2.75%-94.68M-35.07%-92.41M-7.22%-97.82M
Other equity interest 54.79%1.6B112.63%1.48B112.63%1.48B--1.41B--1.23B--1.03B65.89%694.1M65.89%694.1M--------
Total stockholders'equity 180.48%9.15B16.13%6.78B16.13%6.78B-13.01%4.6B-13.75%2.99B-25.43%3.26B69.68%5.84B69.68%5.84B87.91%5.29B56.71%3.47B
Noncontrolling interests -126.79%-12.5M-32.40%85.78M-32.40%85.78M-56.54%57.37M-60.48%44.5M-70.23%46.68M83.62%126.89M83.62%126.89M203.40%132M205.50%112.61M
Total equity 176.15%9.14B15.10%6.86B15.10%6.86B-14.07%4.66B-15.22%3.04B-26.98%3.31B69.96%5.96B69.96%5.96B89.67%5.42B59.14%3.58B
Currency Unit RUBRUBRUBRUBRUBRUBRUBRUBRUBRUB
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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