BHG Group AB (publ) (FRA:7B1)
Germany flag Germany · Delayed Price · Currency is EUR
2.854
-0.006 (-0.21%)
At close: Jan 30, 2026

BHG Group AB Balance Sheet

Millions SEK. 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
300.5451.3370.3477.6273.5
Cash & Short-Term Investments
300.5451.3370.3477.6273.5
Cash Growth
-33.41%21.87%-22.47%74.63%-8.53%
Accounts Receivable
535.2152.2199.9252195.3
Other Receivables
-312.7319.6489.8394.1
Receivables
535.2464.9519.5741.8589.4
Inventory
1,0381,1031,3132,4832,431
Prepaid Expenses
-31.915.221.715.1
Other Current Assets
-105.9-0.1--
Total Current Assets
1,8742,1572,2183,7243,309
Property, Plant & Equipment
739.6664.1760.41,0801,051
Long-Term Investments
-0.80.71.21.3
Goodwill
5,6325,6415,9006,4816,319
Other Intangible Assets
2,2462,0582,1622,5812,653
Long-Term Deferred Tax Assets
3476.192.3102.526.4
Long-Term Deferred Charges
-282.2275298.1240.2
Other Long-Term Assets
9.68.58.213.911.7
Total Assets
10,53510,89511,42314,28113,612
Accounts Payable
-893.8921.1940.31,028
Accrued Expenses
-277.5253.3277.1324
Current Portion of Long-Term Debt
175.8234.4307.1437.5238.1
Current Portion of Leases
205233.1259.7311.4256.7
Current Income Taxes Payable
--1773162.1
Current Unearned Revenue
-1.41.12.86.8
Other Current Liabilities
1,668549.4398.9549.9637.4
Total Current Liabilities
2,0492,1902,1582,5922,653
Long-Term Debt
1,5331,8671,8212,8264,401
Long-Term Leases
417.2374.3427.4566.3622
Pension & Post-Retirement Benefits
---0.30.5
Long-Term Deferred Tax Liabilities
430.2450479605.2636.7
Other Long-Term Liabilities
24.229.127.921.842.7
Total Liabilities
4,4544,9104,9136,6128,356
Common Stock
5,8655.45.45.43.7
Additional Paid-In Capital
-6,5646,5646,5644,791
Retained Earnings
--856.1-271.5919.2394.7
Comprehensive Income & Other
-76.245.212522.9
Total Common Equity
5,8655,7896,3437,6145,212
Minority Interest
215.7195.8167.45644.4
Shareholders' Equity
6,0815,9856,5107,6705,256
Total Liabilities & Equity
10,53510,89511,42314,28113,612
Total Debt
2,3312,7092,8154,1415,518
Net Cash (Debt)
-2,031-2,257-2,445-3,664-5,244
Net Cash Per Share
-11.33-12.60-13.64-26.74-42.95
Filing Date Shares Outstanding
179.23179.23179.23179.23123.82
Total Common Shares Outstanding
179.23179.23179.23179.23123.82
Working Capital
-175.3-3359.61,132656
Book Value Per Share
32.7232.3035.3942.4842.09
Tangible Book Value
-2,012-1,910-1,719-1,448-3,760
Tangible Book Value Per Share
-11.23-10.65-9.59-8.08-30.37
Buildings
-26.42625.925.5
Machinery
-151.2154.4186.4139.3
Leasehold Improvements
-93.4106.4112.2100.9
Source: S&P Global Market Intelligence. Standard template. Financial Sources.