Trip.com Group Limited (BVMF:CRIP34)
Brazil flag Brazil · Delayed Price · Currency is BRL
266.00
-8.68 (-3.16%)
At close: Feb 26, 2026

Trip.com Group Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
46,45148,43941,59217,00019,818
Short-Term Investments
32,00728,47517,74825,54529,566
Cash & Short-Term Investments
78,45876,91459,34042,54549,384
Cash Growth
2.01%29.62%39.48%-13.85%15.07%
Accounts Receivable
15,24115,18914,0827,0046,215
Other Receivables
-6,6534,8774,3924,399
Receivables
15,24121,84218,95911,39610,614
Prepaid Expenses
-170168240224
Restricted Cash
-2,6542,3911,4871,378
Other Current Assets
27,35110,5407,8745,7674,508
Total Current Assets
121,050112,12088,73261,43566,108
Property, Plant & Equipment
6,3265,8085,7836,0236,311
Long-Term Investments
61,37547,19449,34250,17744,961
Goodwill
62,26860,91159,37259,33759,353
Other Intangible Assets
13,01312,84012,64412,82513,046
Long-Term Deferred Tax Assets
2,7553,2542,5761,3241,684
Other Long-Term Assets
600454688570396
Total Assets
267,387242,581219,137191,691191,859
Accounts Payable
19,15016,97516,7627,7256,157
Accrued Expenses
-14,18112,1529,5929,216
Short-Term Debt
19,33515,49222,16128,47039,383
Current Portion of Long-Term Debt
-3,9413,6964,204483
Current Portion of Leases
-194140274363
Current Income Taxes Payable
-2,1172,0388351,065
Other Current Liabilities
39,68421,11015,46210,1399,551
Total Current Liabilities
78,16974,01072,41161,23966,218
Long-Term Debt
11,43020,13419,09913,17711,093
Long-Term Leases
585561477534400
Long-Term Deferred Tax Liabilities
3,9494,0983,8253,4873,527
Other Long-Term Liabilities
654296319235165
Total Liabilities
94,78799,09996,13178,67281,403
Common Stock
170,8186666
Additional Paid-In Capital
-101,18797,42895,19693,829
Retained Earnings
-47,94530,87820,96019,557
Treasury Stock
--5,900-3,728-2,111-2,111
Comprehensive Income & Other
131-688-2,400-1,768-1,604
Total Common Equity
170,949142,550122,184112,283109,677
Minority Interest
1,651932822736779
Shareholders' Equity
172,600143,482123,006113,019110,456
Total Liabilities & Equity
267,387242,581219,137191,691191,859
Total Debt
31,35040,32245,57346,65951,722
Net Cash (Debt)
47,10836,59213,767-4,114-2,338
Net Cash Growth
28.74%165.80%---
Net Cash Per Share
67.4553.1320.52-6.26-3.69
Filing Date Shares Outstanding
655.86653.6646.69646.15641.75
Total Common Shares Outstanding
655.86653.27644.09646.07641.33
Working Capital
42,88138,11016,321196-110
Book Value Per Share
260.65218.21189.70173.79171.02
Tangible Book Value
95,66868,79950,16840,12137,278
Tangible Book Value Per Share
145.87105.3177.8962.1058.13
Buildings
-5,4095,4095,4095,408
Machinery
-3,3753,1722,8282,892
Leasehold Improvements
-258253248222
Source: S&P Global Market Intelligence. Standard template. Financial Sources.