Ascletis Pharma Inc. (FRA:2VJ)
Germany flag Germany · Delayed Price · Currency is EUR
1.390
-0.030 (-2.11%)
At close: Jan 30, 2026

Ascletis Pharma Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
1,580865.73330.12403.772,4952,714
Short-Term Investments
199.91,0791,9482,0702.592.21
Trading Asset Securities
20.77.3724.8311.25.2-
Cash & Short-Term Investments
1,8011,9532,3032,4852,5032,716
Cash Growth
-13.94%-15.23%-7.30%-0.74%-7.84%-9.28%
Accounts Receivable
0.410.155.4323.8753.6126.62
Other Receivables
14.939.1112.855.413.7921.61
Receivables
15.349.2618.2829.2767.3948.23
Inventory
4.824.376.0720.5256.2358.89
Prepaid Expenses
0.91.011.032.132.31.85
Other Current Assets
0.943.624.138.132.344.8
Total Current Assets
1,8231,9712,3332,5452,6322,830
Property, Plant & Equipment
51.9957.0768.2871.8377.5184.58
Long-Term Investments
110.6584.3963.0222.0241.8660.92
Other Intangible Assets
10.9212.1226.3216.5678.2190.7
Long-Term Deferred Charges
0.350.080.380.70.420.89
Other Long-Term Assets
-0.130.261.220.41-
Total Assets
1,9972,1252,4912,6572,8303,067
Accounts Payable
0.020.030.653.141.050.93
Accrued Expenses
77.2383.891.8756.1552.2931.74
Current Portion of Leases
3.576.255.712.421.571.14
Current Unearned Revenue
1.981.981.591.971.591.72
Other Current Liabilities
42.336140.8644.5234.4738.23
Total Current Liabilities
125.13153.05140.68108.1990.9773.77
Long-Term Leases
0.71.392.711.821.180.44
Long-Term Unearned Revenue
3.183.975.567.158.7311.21
Total Liabilities
129158.41148.94117.16100.8985.42
Common Stock
0.660.690.730.740.750.75
Additional Paid-In Capital
2,7042,7502,8432,8672,8842,898
Retained Earnings
-1,563-1,475-1,174-1,030-714.85-515.83
Treasury Stock
-16.23-56.7-51.95--18.71-4.52
Comprehensive Income & Other
742.38747.55724.56702578.32603.19
Total Common Equity
1,8681,9662,3422,5402,7292,982
Shareholders' Equity
1,8681,9662,3422,5402,7292,982
Total Liabilities & Equity
1,9972,1252,4912,6572,8303,067
Total Debt
4.277.638.424.242.751.59
Net Cash (Debt)
1,7971,9452,2952,4802,5012,715
Net Cash Growth
-13.78%-15.25%-7.48%-0.80%-7.89%-9.21%
Net Cash Per Share
1.841.942.142.282.282.61
Filing Date Shares Outstanding
963.65971.071,0611,0871,0961,101
Total Common Shares Outstanding
963.65971.071,0611,0871,0961,101
Working Capital
1,6981,8182,1922,4372,5412,756
Book Value Per Share
1.942.022.212.342.492.71
Tangible Book Value
1,8571,9542,3162,5232,6512,891
Tangible Book Value Per Share
1.932.012.182.322.422.63
Machinery
-127.38126.13121.54115.33110.82
Construction In Progress
----0.03-
Leasehold Improvements
-2.872.872.872.872.87
Source: S&P Global Market Intelligence. Standard template. Financial Sources.