Kingspan Group plc (ETR:KRX)
Germany flag Germany · Delayed Price · Currency is EUR
80.25
-1.20 (-1.47%)
At close: Mar 4, 2026

Kingspan Group Balance Sheet

Millions EUR. 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
584.71,005938.7649.3641.4
Cash & Short-Term Investments
584.71,005938.7649.3641.4
Cash Growth
-41.84%7.11%44.57%1.23%-51.79%
Accounts Receivable
1,2371,1481,0521,1371,023
Other Receivables
171.8165133.6129.9136.3
Receivables
1,4091,3131,1851,2671,159
Inventory
1,2161,197964.31,2361,139
Prepaid Expenses
887768.861.769.2
Other Current Assets
3.74.7-0.40.3
Total Current Assets
3,3013,5973,1573,2143,009
Property, Plant & Equipment
2,6222,4901,7861,6431,311
Long-Term Investments
38.638.4128.493.613.2
Goodwill
3,5223,3662,6612,4961,909
Other Intangible Assets
252.9239.2188.4191.893.2
Long-Term Deferred Tax Assets
79.384.579.640.134.7
Other Long-Term Assets
4.74.313.317.9
Total Assets
9,8219,8208,0027,6816,388
Accounts Payable
754.8726.3610.9661.7726.8
Accrued Expenses
618.2630.5544541.4519.5
Current Portion of Long-Term Debt
379.1197.4198.382.777.3
Current Portion of Leases
61.564.250.345.535.1
Current Income Taxes Payable
108.790.6108.7103.3101.7
Current Unearned Revenue
158142.1140.1117.299.5
Other Current Liabilities
324.1401.4260.6248.9109.5
Total Current Liabilities
2,4042,2531,9131,8011,669
Long-Term Debt
2,0812,3741,7092,0941,318
Long-Term Leases
168.5185.8180.3163.4125.3
Long-Term Unearned Revenue
11.5----
Pension & Post-Retirement Benefits
40.441.83852.845.9
Long-Term Deferred Tax Liabilities
109113.960.955.234.7
Other Long-Term Liabilities
274.1260.5152.6119.7235.5
Total Liabilities
5,0885,2294,0544,2863,429
Common Stock
23.72423.923.923.9
Additional Paid-In Capital
228.5215.9129.3112.494.4
Retained Earnings
5,0304,6404,0873,5283,108
Treasury Stock
-184.1-186.8-55.8-56.9-57.3
Comprehensive Income & Other
-616.1-400.4-336-287.3-277
Total Common Equity
4,4824,2933,8483,3202,892
Minority Interest
250.4298.399.875.867.2
Shareholders' Equity
4,7324,5913,9483,3962,959
Total Liabilities & Equity
9,8219,8208,0027,6816,388
Total Debt
2,6902,8222,1382,3861,556
Net Cash (Debt)
-2,105-1,816-1,199-1,736-914.1
Net Cash Per Share
-11.52-9.89-6.55-9.49-5.00
Filing Date Shares Outstanding
179.6182.93181.61181.61181.34
Total Common Shares Outstanding
179.6182.93181.61181.61181.34
Working Capital
896.81,3451,2441,4131,340
Book Value Per Share
24.9523.4721.1918.2815.95
Tangible Book Value
707.3687.6999632.4890.3
Tangible Book Value Per Share
3.943.765.503.484.91
Land
1,3401,2141,009945819.8
Machinery
2,9982,8492,0671,8621,581
Construction In Progress
218.5242.7132.9136.187.4
Source: S&P Global Market Intelligence. Standard template. Financial Sources.