Bumrungrad Hospital PCL (BKK:BH)
Thailand flag Thailand · Delayed Price · Currency is THB
167.50
-0.50 (-0.30%)
At close: Jan 30, 2026

Bumrungrad Hospital PCL Balance Sheet

Millions THB. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
4,1053,2593,7742,0911,8021,229
Short-Term Investments
8,4558,8546,9716,1854,1346,909
Cash & Short-Term Investments
12,56112,11310,7458,2765,9368,138
Cash Growth
26.78%12.73%29.84%39.43%-27.06%-4.15%
Accounts Receivable
3,6233,8274,2662,6401,4432,190
Other Receivables
35.18155.11142.9118.2318.315.33
Receivables
3,6583,9824,4082,6581,4612,206
Inventory
300.85355.94362.26325.74327.56309.2
Prepaid Expenses
154.72128.62114.09132.27112.25107.33
Other Current Assets
65.65151.2354.6926.47225.5340.72
Total Current Assets
16,74016,73215,68511,4198,06210,801
Property, Plant & Equipment
13,34112,74012,36811,76711,59911,810
Long-Term Investments
2,8122,14484.631.711.67431.98
Goodwill
54.3260.0960.5760.7571.0263.82
Other Intangible Assets
611.51587.96610.48648.59719.99715.03
Long-Term Deferred Tax Assets
323.21311.11309.23300.84331.06338.66
Other Long-Term Assets
149.5178.4194.3261.1472.361.68
Total Assets
34,03632,65329,21224,25920,85724,222
Accounts Payable
1,162952.89922.47870.84678.92534.37
Accrued Expenses
1,7061,9002,1091,5471,0351,068
Current Portion of Long-Term Debt
-----2,497
Current Portion of Leases
22.0637.0916.9623.5840.4937.14
Current Income Taxes Payable
455.29525.39803.18616.67138.0313.09
Other Current Liabilities
200.36411.77332.39356.49391.39268.07
Total Current Liabilities
3,5463,8274,1843,4152,2844,418
Long-Term Debt
23.1924.2824.2224.1523.2220.83
Long-Term Leases
65.7978.0749.9615.5630.6652.97
Pension & Post-Retirement Benefits
993.96920.13853.65797.2896888.95
Long-Term Deferred Tax Liabilities
9.162.92.131.624.774.27
Total Liabilities
4,6384,8525,1144,2533,2395,385
Common Stock
794.96794.92794.89794.89794.59794.59
Additional Paid-In Capital
449.85449.85449.85449.85449.85449.85
Retained Earnings
27,79226,16722,48918,44815,94717,236
Comprehensive Income & Other
47.2775.4866.8612.3793.5250.11
Total Common Equity
29,08427,48723,80019,70517,28518,530
Minority Interest
313.18313.25296.66299.82331.82305.08
Shareholders' Equity
29,39827,80124,09820,00517,61818,837
Total Liabilities & Equity
34,03632,65329,21224,25920,85724,222
Total Debt
111.04139.4491.1463.2894.372,608
Net Cash (Debt)
12,45011,97410,6548,2135,8415,530
Net Cash Growth
27.50%12.39%29.73%40.60%5.63%-7.48%
Net Cash Per Share
14.3513.8012.289.476.736.38
Filing Date Shares Outstanding
794.96794.92794.89794.89794.59794.59
Total Common Shares Outstanding
794.96794.92794.89794.89794.59794.59
Working Capital
13,19412,90511,5018,0045,7786,383
Book Value Per Share
36.5934.5829.9424.7921.7523.32
Tangible Book Value
28,41826,83923,12918,99516,49417,752
Tangible Book Value Per Share
35.7533.7629.1023.9020.7622.34
Land
-5,6645,6645,3505,1325,068
Buildings
-8,7078,3768,0247,7237,643
Machinery
-7,8397,6817,7067,6827,550
Construction In Progress
-1,1951,165964.351,2131,101
Source: S&P Global Market Intelligence. Standard template. Financial Sources.