Medical Facilities Corporation (FRA:31F)
Germany flag Germany · Delayed Price · Currency is EUR
9.15
-0.05 (-0.54%)
Last updated: Jan 27, 2026, 8:17 AM CET

Medical Facilities Balance Sheet

Millions USD. 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
46.81108.524.1134.9361.0466.18
Cash & Short-Term Investments
46.81108.524.1134.9361.0466.18
Cash Growth
150.77%349.95%-30.96%-42.79%-7.76%106.91%
Accounts Receivable
40.4545.4761.7764.0461.4460.21
Other Receivables
0.710.090.730.596.014.02
Receivables
41.1645.5662.564.6367.4564.24
Inventory
6.335.819.019.2310.659.33
Prepaid Expenses
3.145.487.1410.559.756.86
Total Current Assets
97.44165.34102.76119.33148.89146.6
Property, Plant & Equipment
74.683120.18124.72132.75137.9
Long-Term Investments
----1.121.14
Goodwill
90.690.6120.62120.62135.98135.98
Other Intangible Assets
6.827.2311.2513.114.4521.68
Long-Term Deferred Tax Assets
0.030.130.070.020.390.31
Total Assets
269.49346.29354.89377.79446.97457
Accounts Payable
15.0316.9423.1526.423.9424.47
Accrued Expenses
19.1620.8120.6922.2124.9421.2
Current Portion of Long-Term Debt
4.8910.3914.359.735.318.96
Current Portion of Leases
7.238.919.1610.189.499.08
Current Income Taxes Payable
-13.770.01---
Other Current Liabilities
8.0918.1415.618.2924.3427.9
Total Current Liabilities
54.488.9582.9686.8288101.61
Long-Term Debt
27.6623.8354.7575.8674.2878.71
Long-Term Leases
25.3130.8138.5547.1851.8455.19
Long-Term Deferred Tax Liabilities
17.0615.9520.2315.8814.1212.28
Other Long-Term Liabilities
34.9739.340.0937.3545.5834.04
Total Liabilities
159.4198.84236.58263.1273.82281.83
Common Stock
268.2316.93348.1353.24389.51398.11
Additional Paid-In Capital
0.470.470.721.191.861.57
Retained Earnings
-182.54-195.38-262.83-275.3-263.82-272.15
Total Common Equity
86.13122.0285.9979.13127.55127.53
Minority Interest
23.9625.4332.3235.5645.647.64
Shareholders' Equity
110.09147.45118.3114.69173.15175.17
Total Liabilities & Equity
269.49346.29354.89377.79446.97457
Total Debt
65.0973.94116.81142.95140.9161.95
Net Cash (Debt)
-18.2834.56-92.7-108.03-79.86-95.77
Net Cash Per Share
-0.781.44-3.67-3.68-2.57-3.08
Filing Date Shares Outstanding
18.3423.0224.7225.9230.831.11
Total Common Shares Outstanding
18.3423.0224.7225.9230.831.11
Working Capital
43.0376.3919.832.5160.944.99
Book Value Per Share
4.705.303.483.054.144.10
Tangible Book Value
-11.324.19-45.89-54.59-22.88-30.13
Tangible Book Value Per Share
-0.621.05-1.86-2.11-0.74-0.97
Land
-9.3713.276.246.26.25
Buildings
-48.3393.1592.8791.8589.14
Machinery
-45.8872.4276.1771.0366.63
Construction In Progress
-0.20.590.840.650.36
Source: S&P Global Market Intelligence. Standard template. Financial Sources.