KYIVW
Kyivstar Group Ltd.
Price Chart
Latest Quote
$5.72
| Previous Close | $5.45 |
| Open | $5.74 |
| Day High | $5.74 |
| Day Low | $5.72 |
| Volume | 1,855 |
Stock Information
| Total Debt | $526.00M |
| Cash Equivalents | $478.00M |
| Revenue | $1.22B |
| Net Income | $165.00M |
| Exchange | NCM |
đ Comprehensive Analysis
Company Data
| Sales | $1.22B |
| Income | $165.00M |
| Book/sh | $5.81 |
| Employees | 5K |
Financial Ratios
| Quick Ratio | 1.10 |
| Current Ratio | 1.16 |
| Debt/Eq | 39.22 |
| EPS Growth TTM | 93.20% |
Returns & Margins
| ROA | 12.80% |
| ROE | 13.30% |
| Gross Margin | 89.22% |
| Operating Margin | 35.60% |
| Profit Margin | 13.47% |
Ownership
| Insider & Institutional transactions data not available |
Valuation Ratios
| P/B | 1.00 |
Analyst Data
| Recommendation | none |
Technical Indicators
| SMA20 | $3.90 |
| SMA50 | $3.84 |
| SMA200 | $4.20 |
| RSI | 100.00 |
| ATR | 0.1421 |
| Shares Float | 35.38M |
| Rel Volume | 20.00 |
Performance History
| Week | +52.37% |
| Month | +52.37% |
| Quarter | +52.37% |
| 6 Months | +31.00% |
| YTD | +31.00% |
| 10 Years | +31.00% |
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Recent Price History
| Date | Close | Volume |
|---|---|---|
| 2026-06-25 | $5.79 | 1,130 |
| 2026-06-18 | $3.80 | 0 |
| 2026-06-17 | $3.80 | 0 |
| 2026-06-16 | $3.80 | 0 |
| 2026-06-15 | $3.80 | 0 |
| 2026-06-12 | $3.80 | 0 |
| 2026-06-11 | $3.80 | 0 |
| 2026-06-10 | $3.80 | 0 |
| 2026-06-09 | $3.80 | 0 |
| 2026-06-08 | $3.80 | 0 |
| 2026-06-05 | $3.80 | 0 |
| 2026-06-04 | $3.80 | 0 |
| 2026-06-03 | $3.80 | 0 |
| 2026-06-02 | $3.80 | 0 |
| 2026-06-01 | $3.80 | 0 |
| 2026-05-29 | $3.80 | 0 |
| 2026-05-28 | $3.80 | 0 |
| 2026-05-27 | $3.80 | 0 |
| 2026-05-26 | $3.80 | 0 |
About Kyivstar Group Ltd.
Kyivstar Group Ltd. provides a range of mobile communication and broadband services for individual and corporate customers in Ukraine. The company offers a range of connectivity and digital services, including mobile and fixed-line voice and data, ride-hailing, e-health, and digital TV; a suite of self-service options; and enterprise solutions, such as Big Data, cloud, and cybersecurity. It also provides voice, data, messaging, and wireless internet services; and corporate internet access, fixed-line telephone, data transmission and fixed-mobile convergence, and internet-TV through FTTB network connections. The company was founded in 1994 and is headquartered in Dubai, the United Arab Emirates. Kyivstar Group Ltd. is a subsidiary of Vimpelcom Amsterdam B.V.
đ° Latest News
Kyivstar Expands Urban Mobility Ecosystem As Uklon Acquires E Wings
Simply Wall St. âĸ 2026-06-08T12:06:08ZKyivstar Group Ltd (KYIV) Q1 2026 Earnings Call Highlights: Robust Revenue Growth Amidst Market ...
GuruFocus.com âĸ 2026-05-22T01:00:39ZKyivstar Group Q1 Earnings Call Highlights
MarketBeat âĸ 2026-05-14T17:10:00ZIs Kyivstar Group (KYIV) Price Strength Justified By Cash Flow Versus Earnings Multiples
Simply Wall St. âĸ 2026-05-03T15:09:58ZA Look At Kyivstar Group (NasdaqGS:KYIV) Valuation After Recent Share Price Weakness
Simply Wall St. âĸ 2026-03-27T22:05:23ZKyivstar Group Ltd (KYIV) Q4 2025 Earnings Call Highlights: Robust Revenue Growth Amidst ...
GuruFocus.com âĸ 2026-03-16T01:00:20ZIs Kyivstar Group (NasdaqGS:KYIV) Pricing Reflect Recent Share Slide And Ukraine Telecom Risks
Simply Wall St. âĸ 2026-03-14T22:11:17ZKyivstar Group Q4 Earnings Call Highlights
MarketBeat âĸ 2026-03-13T18:05:58ZKyivstarâs Oversubscribed Offering Fuels Push Into Digital Services And M&A
Simply Wall St. âĸ 2026-02-04T11:09:28ZKyivstar Group Ltd. (KYIV): A Bull Case Theory
Insider Monkey âĸ 2026-02-04T03:16:37ZIncome Statement (Annual)
| Metric | 2025-12-31 | 2024-12-31 | 2023-12-31 |
|---|---|---|---|
| Revenue | |||
| Reconciled Cost Of Revenue | $404,000,000 | $326,000,000 | $303,000,000 |
| Cost Of Revenue | $412,000,000 | $329,000,000 | $304,000,000 |
| Total Revenue | $1,157,000,000 | $919,000,000 | $915,000,000 |
| Operating Revenue | $1,157,000,000 | $919,000,000 | $915,000,000 |
| Expenses | |||
| Interest Expense | $75,000,000 | $82,000,000 | $82,000,000 |
| Total Expenses | $711,000,000 | $565,000,000 | $549,000,000 |
| Other Income Expense | $-185,000,000 | $35,000,000 | $27,000,000 |
| Net Non Operating Interest Income Expense | $-63,000,000 | $-42,000,000 | $-47,000,000 |
| Interest Expense Non Operating | $75,000,000 | $82,000,000 | $82,000,000 |
| Operating Expense | $299,000,000 | $236,000,000 | $245,000,000 |
| Other Operating Expenses | $-8,000,000 | $-1,000,000 | $-3,000,000 |
| General And Administrative Expense | $94,000,000 | $65,000,000 | $65,000,000 |
| Other Non Operating Income Expenses | - | $-1,000,000 | - |
| Income & Earnings | |||
| Net Income From Continuing Operation Net Minority Interest | $124,000,000 | $283,000,000 | $281,000,000 |
| Net Interest Income | $-63,000,000 | $-42,000,000 | $-47,000,000 |
| Interest Income | $12,000,000 | $40,000,000 | $35,000,000 |
| Normalized Income | $239,810,000 | $253,624,000 | $259,076,000 |
| Net Income From Continuing And Discontinued Operation | $124,000,000 | $283,000,000 | $281,000,000 |
| Total Operating Income As Reported | $274,000,000 | $348,000,000 | $363,000,000 |
| Net Income Common Stockholders | $124,000,000 | $283,000,000 | $281,000,000 |
| Net Income | $124,000,000 | $283,000,000 | $281,000,000 |
| Net Income Including Noncontrolling Interests | $124,000,000 | $283,000,000 | $281,000,000 |
| Net Income Continuous Operations | $124,000,000 | $283,000,000 | $281,000,000 |
| Pretax Income | $198,000,000 | $347,000,000 | $346,000,000 |
| Special Income Charges | $-167,000,000 | $-6,000,000 | $-1,000,000 |
| Interest Income Non Operating | $12,000,000 | $40,000,000 | $35,000,000 |
| Operating Income | $446,000,000 | $354,000,000 | $366,000,000 |
| Depreciation Amortization Depletion Income Statement | $205,000,000 | $163,000,000 | $176,000,000 |
| Depreciation And Amortization In Income Statement | $205,000,000 | $163,000,000 | $176,000,000 |
| Amortization Of Intangibles Income Statement | $65,000,000 | $45,000,000 | $49,000,000 |
| Depreciation Income Statement | $140,000,000 | $118,000,000 | $127,000,000 |
| Gross Profit | $745,000,000 | $590,000,000 | $611,000,000 |
| Other | |||
| Tax Effect Of Unusual Items | $-69,190,000 | $6,624,000 | $5,076,000 |
| Tax Rate For Calcs | $0 | $0 | $0 |
| Normalized EBITDA (Bullshit earnings) | $671,000,000 | $559,000,000 | $578,000,000 |
| Total Unusual Items | $-185,000,000 | $36,000,000 | $27,000,000 |
| Total Unusual Items Excluding Goodwill | $-185,000,000 | $36,000,000 | $27,000,000 |
| Reconciled Depreciation | $213,000,000 | $166,000,000 | $177,000,000 |
| EBITDA (Bullshit earnings) | $486,000,000 | $595,000,000 | $605,000,000 |
| EBIT | $273,000,000 | $429,000,000 | $428,000,000 |
| Diluted NI Availto Com Stockholders | $124,000,000 | $283,000,000 | $281,000,000 |
| Tax Provision | $74,000,000 | $64,000,000 | $65,000,000 |
| Gain On Sale Of Ppe | $0 | $-1,000,000 | $2,000,000 |
| Other Special Charges | $157,000,000 | - | - |
| Write Off | $10,000,000 | $5,000,000 | $3,000,000 |
| Gain On Sale Of Security | $-18,000,000 | $42,000,000 | $28,000,000 |
| Other Taxes | $8,000,000 | $9,000,000 | $7,000,000 |
| Amortization | $65,000,000 | $45,000,000 | $49,000,000 |
| Selling General And Administration | $94,000,000 | $65,000,000 | $65,000,000 |
| Other Gand A | $94,000,000 | $65,000,000 | $65,000,000 |
| Impairment Of Capital Assets | - | $3,000,000 | $1,000,000 |
Balance Sheet (Annual)
| Metric | 2025-12-31 | 2024-12-31 | 2023-12-31 |
|---|---|---|---|
| Assets | |||
| Net Tangible Assets | $808,000,000 | $783,000,000 | $615,000,000 |
| Total Assets | $2,122,000,000 | $2,209,000,000 | $1,983,000,000 |
| Total Non Current Assets | $1,430,000,000 | $1,001,000,000 | $1,279,000,000 |
| Other Non Current Assets | $32,000,000 | $30,000,000 | $38,000,000 |
| Investmentin Financial Assets | $23,000,000 | $10,000,000 | $11,000,000 |
| Goodwill And Other Intangible Assets | $491,000,000 | $297,000,000 | $272,000,000 |
| Other Intangible Assets | $363,000,000 | $283,000,000 | $257,000,000 |
| Current Assets | $692,000,000 | $1,208,000,000 | $704,000,000 |
| Other Current Assets | $3,000,000 | - | - |
| Current Deferred Assets | $6,000,000 | $6,000,000 | $4,000,000 |
| Restricted Cash | $119,000,000 | $64,000,000 | $338,000,000 |
| Prepaid Assets | $15,000,000 | $20,000,000 | $9,000,000 |
| Inventory | $3,000,000 | $3,000,000 | $4,000,000 |
| Receivables | $91,000,000 | $403,000,000 | $55,000,000 |
| Other Receivables | $1,000,000 | - | $12,000,000 |
| Taxes Receivable | $5,000,000 | $0 | - |
| Loans Receivable | $0 | $363,000,000 | $0 |
| Accounts Receivable | $36,000,000 | $40,000,000 | $43,000,000 |
| Allowance For Doubtful Accounts Receivable | $-18,000,000 | $-15,000,000 | $-14,000,000 |
| Gross Accounts Receivable | $54,000,000 | $55,000,000 | $57,000,000 |
| Cash Cash Equivalents And Short Term Investments | $455,000,000 | $712,000,000 | $294,000,000 |
| Cash And Cash Equivalents | $455,000,000 | $674,000,000 | $143,000,000 |
| Non Current Note Receivables | - | $0 | $343,000,000 |
| Cash Equivalents | - | $195,000,000 | $105,000,000 |
| Cash Financial | - | $234,000,000 | $38,000,000 |
| Debt | |||
| Net Debt | $61,000,000 | $220,000,000 | $755,000,000 |
| Total Debt | $516,000,000 | $894,000,000 | $898,000,000 |
| Long Term Debt And Capital Lease Obligation | $287,000,000 | $225,000,000 | $815,000,000 |
| Long Term Debt | $287,000,000 | $225,000,000 | $815,000,000 |
| Current Debt And Capital Lease Obligation | $229,000,000 | $669,000,000 | $83,000,000 |
| Current Debt | $229,000,000 | $669,000,000 | $83,000,000 |
| Liabilities | |||
| Total Liabilities Net Minority Interest | $823,000,000 | $1,129,000,000 | $1,096,000,000 |
| Total Non Current Liabilities Net Minority Interest | $325,000,000 | $242,000,000 | $831,000,000 |
| Other Non Current Liabilities | $3,000,000 | $3,000,000 | $4,000,000 |
| Non Current Deferred Liabilities | $26,000,000 | $10,000,000 | $9,000,000 |
| Non Current Deferred Taxes Liabilities | $21,000,000 | $6,000,000 | $5,000,000 |
| Current Liabilities | $498,000,000 | $887,000,000 | $265,000,000 |
| Current Deferred Liabilities | $67,000,000 | $62,000,000 | $29,000,000 |
| Payables And Accrued Expenses | $192,000,000 | $149,000,000 | $151,000,000 |
| Payables | $192,000,000 | $149,000,000 | $151,000,000 |
| Other Payable | $17,000,000 | $10,000,000 | $9,000,000 |
| Total Tax Payable | $34,000,000 | $36,000,000 | $22,000,000 |
| Income Tax Payable | $19,000,000 | $23,000,000 | $16,000,000 |
| Accounts Payable | $141,000,000 | $103,000,000 | $120,000,000 |
| Other Current Liabilities | - | $1,000,000 | - |
| Current Deferred Taxes Liabilities | - | $5,000,000 | $3,000,000 |
| Equity | |||
| Common Stock Equity | $1,299,000,000 | $1,080,000,000 | $887,000,000 |
| Total Equity Gross Minority Interest | $1,299,000,000 | $1,080,000,000 | $887,000,000 |
| Stockholders Equity | $1,299,000,000 | $1,080,000,000 | $887,000,000 |
| Gains Losses Not Affecting Retained Earnings | $-2,068,000,000 | $-2,076,000,000 | $-1,986,000,000 |
| Other Equity Adjustments | $24,000,000 | $4,000,000 | - |
| Retained Earnings | $965,000,000 | $1,011,000,000 | - |
| Other Equity Interest | - | $3,160,000,000 | $2,873,000,000 |
| Other | |||
| Ordinary Shares Number | $230,863,624 | $230,863,524 | $230,863,523 |
| Share Issued | $230,863,624 | $230,863,524 | $230,863,523 |
| Tangible Book Value | $808,000,000 | $783,000,000 | $615,000,000 |
| Invested Capital | $1,815,000,000 | $1,974,000,000 | $1,785,000,000 |
| Working Capital | $194,000,000 | $321,000,000 | $439,000,000 |
| Total Capitalization | $1,586,000,000 | $1,305,000,000 | $1,702,000,000 |
| Foreign Currency Translation Adjustments | $-2,092,000,000 | $-2,080,000,000 | $-1,986,000,000 |
| Additional Paid In Capital | $2,400,000,000 | $2,143,000,000 | - |
| Capital Stock | $2,000,000 | $2,000,000 | - |
| Common Stock | $2,000,000 | $2,000,000 | - |
| Non Current Deferred Revenue | $5,000,000 | $4,000,000 | $4,000,000 |
| Long Term Provisions | $9,000,000 | $4,000,000 | $3,000,000 |
| Current Deferred Revenue | $67,000,000 | $62,000,000 | $26,000,000 |
| Current Provisions | $10,000,000 | $6,000,000 | $2,000,000 |
| Investments And Advances | $23,000,000 | $10,000,000 | $11,000,000 |
| Available For Sale Securities | $23,000,000 | $10,000,000 | $11,000,000 |
| Goodwill | $128,000,000 | $14,000,000 | $15,000,000 |
| Net PPE | $884,000,000 | $664,000,000 | $615,000,000 |
| Gross PPE | $884,000,000 | $664,000,000 | $615,000,000 |
| Construction In Progress | $80,000,000 | $71,000,000 | $44,000,000 |
| Other Properties | $747,000,000 | $545,000,000 | $520,000,000 |
| Machinery Furniture Equipment | $28,000,000 | $23,000,000 | $23,000,000 |
| Properties | $29,000,000 | $25,000,000 | $28,000,000 |
| Duefrom Related Parties Current | $49,000,000 | $0 | - |
| Other Short Term Investments | $0 | $38,000,000 | $151,000,000 |
Cash Flow Statement (Annual)
| Metric | 2025-12-31 | 2024-12-31 | 2023-12-31 |
|---|---|---|---|
| Free Cash Flow | |||
| Free Cash Flow | $225,000,000 | $182,000,000 | $270,000,000 |
| Operating Activities | |||
| Operating Cash Flow | $558,000,000 | $430,000,000 | $413,000,000 |
| Cash Flow From Continuing Operating Activities | $558,000,000 | $430,000,000 | $413,000,000 |
| Operating Gains Losses | $13,000,000 | $-38,000,000 | $-40,000,000 |
| Investing Activities | |||
| Capital Expenditure | $-333,000,000 | $-248,000,000 | $-143,000,000 |
| Investing Cash Flow | $-150,000,000 | $-132,000,000 | $-327,000,000 |
| Cash Flow From Continuing Investing Activities | $-150,000,000 | $-134,000,000 | $-327,000,000 |
| Net Other Investing Changes | $358,000,000 | $12,000,000 | $18,000,000 |
| Financing Activities | |||
| Financing Cash Flow | $-626,000,000 | $-37,000,000 | $-88,000,000 |
| Cash Flow From Continuing Financing Activities | $-626,000,000 | $-37,000,000 | $-88,000,000 |
| Net Other Financing Charges | $110,000,000 | $-8,000,000 | - |
| Other | |||
| Repayment Of Debt | $-743,000,000 | $-29,000,000 | $-88,000,000 |
| Issuance Of Debt | $7,000,000 | $0 | $0 |
| End Cash Position | $455,000,000 | $674,000,000 | $425,000,000 |
| Beginning Cash Position | $674,000,000 | $425,000,000 | $432,000,000 |
| Effect Of Exchange Rate Changes | $-1,000,000 | $-12,000,000 | $-5,000,000 |
| Changes In Cash | $-218,000,000 | $261,000,000 | $-2,000,000 |
| Net Issuance Payments Of Debt | $-736,000,000 | $-29,000,000 | $-88,000,000 |
| Net Long Term Debt Issuance | $-736,000,000 | $-29,000,000 | $-88,000,000 |
| Long Term Debt Payments | $-743,000,000 | $-29,000,000 | $-88,000,000 |
| Long Term Debt Issuance | $7,000,000 | $0 | $0 |
| Net Investment Purchase And Sale | $-24,000,000 | $106,000,000 | $-202,000,000 |
| Sale Of Investment | $30,000,000 | $119,000,000 | - |
| Purchase Of Investment | $-54,000,000 | $-13,000,000 | $-202,000,000 |
| Net Business Purchase And Sale | $-157,000,000 | $-2,000,000 | $0 |
| Purchase Of Business | $-157,000,000 | $-2,000,000 | $0 |
| Net Intangibles Purchase And Sale | $-86,000,000 | $-86,000,000 | $-47,000,000 |
| Purchase Of Intangibles | $-86,000,000 | $-86,000,000 | $-47,000,000 |
| Net PPE Purchase And Sale | $-241,000,000 | $-162,000,000 | $-96,000,000 |
| Sale Of PPE | $6,000,000 | $0 | $0 |
| Purchase Of PPE | $-247,000,000 | $-162,000,000 | $-96,000,000 |
| Taxes Refund Paid | $-71,000,000 | $-52,000,000 | $-62,000,000 |
| Interest Received Cfo | $11,000,000 | $19,000,000 | $16,000,000 |
| Interest Paid Cfo | $-77,000,000 | $-78,000,000 | $-75,000,000 |
| Change In Working Capital | $46,000,000 | $26,000,000 | $-4,000,000 |
| Change In Other Working Capital | $9,000,000 | $4,000,000 | $3,000,000 |
| Change In Payables And Accrued Expense | $88,000,000 | $32,000,000 | $-33,000,000 |
| Change In Payable | $88,000,000 | $32,000,000 | $-33,000,000 |
| Change In Inventory | $0 | $0 | $-2,000,000 |
| Change In Receivables | $-51,000,000 | $-10,000,000 | $28,000,000 |
| Changes In Account Receivables | $-51,000,000 | $-10,000,000 | $28,000,000 |
| Other Non Cash Items | $225,000,000 | $40,000,000 | $55,000,000 |
| Depreciation Amortization Depletion | $213,000,000 | $166,000,000 | $177,000,000 |
| Depreciation And Amortization | $213,000,000 | $166,000,000 | $177,000,000 |
| Depreciation | $213,000,000 | $166,000,000 | $177,000,000 |
| Net Foreign Currency Exchange Gain Loss | $13,000,000 | $-39,000,000 | $-38,000,000 |
| Net Income From Continuing Operations | $198,000,000 | $347,000,000 | $346,000,000 |
| Asset Impairment Charge | - | $3,000,000 | $1,000,000 |
| Amortization Cash Flow | - | $45,000,000 | $49,000,000 |
| Amortization Of Intangibles | - | $45,000,000 | $49,000,000 |