BBMG Corporation (FRA:9BM)
Germany flag Germany · Delayed Price · Currency is EUR
0.0790
-0.0010 (-1.25%)
At close: Jan 30, 2026

BBMG Corporation Balance Sheet

Millions CNY. 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
15,22218,29217,33215,99621,92228,644
Short-Term Investments
-608.02257.81682.59--
Trading Asset Securities
1,2681,173550.41,1171,1521,118
Cash & Short-Term Investments
16,49120,07318,14017,79623,07429,762
Cash Growth
-1.82%10.65%1.93%-22.88%-22.47%33.22%
Accounts Receivable
15,03112,7709,8039,76010,80514,170
Other Receivables
8,1593,3283,8007,6279,5605,557
Receivables
23,19016,09713,60317,38720,36519,727
Inventory
83,25683,65695,810111,184116,929120,593
Prepaid Expenses
-601.97578.08684.11787.05684.42
Other Current Assets
13,30212,76712,9439,7738,80411,903
Total Current Assets
136,239133,195141,074156,824169,959182,670
Property, Plant & Equipment
47,06648,18447,66348,21346,98346,924
Long-Term Investments
11,57011,36111,0739,9307,5725,331
Goodwill
2,8032,6442,5282,5142,4382,461
Other Intangible Assets
16,81516,27216,17015,88716,28116,194
Long-Term Accounts Receivable
-1,1701,173877.35512.76373.33
Long-Term Deferred Tax Assets
2,0482,9183,4803,8273,7124,167
Long-Term Deferred Charges
-1,9741,8501,7641,6831,443
Other Long-Term Assets
50,52645,66144,13640,98336,93931,467
Total Assets
267,067263,996269,679281,520286,357291,352
Accounts Payable
21,76323,99922,36022,66023,01419,862
Accrued Expenses
238.262,8252,9888,42311,5753,805
Short-Term Debt
31,17334,36235,54530,48332,64132,423
Current Portion of Long-Term Debt
14,30420,67922,27316,61614,98814,862
Current Portion of Leases
-144.03127.83108.72138.27106.06
Current Income Taxes Payable
1,351577.26485.35679.46934.931,372
Current Unearned Revenue
7,0946,31524,83030,67327,15129,212
Other Current Liabilities
9,4057,8788,9949,2019,29217,169
Total Current Liabilities
85,32896,779117,605118,845119,734118,810
Long-Term Debt
80,73866,07249,05559,43162,84769,368
Long-Term Leases
435.28458.49500.53481.53395.21458.33
Long-Term Unearned Revenue
675.46798.6786.22762.86800.11841.75
Pension & Post-Retirement Benefits
374.96389.95409.31449.51498.94529.55
Long-Term Deferred Tax Liabilities
7,2776,6916,4426,1766,0456,063
Other Long-Term Liabilities
2,316689.2516.63478.33503.46824.8
Total Liabilities
177,144171,878175,315186,624190,823196,896
Common Stock
10,67810,67810,67810,67810,67810,678
Additional Paid-In Capital
-5,0385,4615,4325,2296,169
Retained Earnings
24,02026,79228,69930,27231,03229,508
Comprehensive Income & Other
37,14331,20928,16917,24816,77817,021
Total Common Equity
71,84073,71873,00763,63063,71763,376
Minority Interest
18,08318,40021,35731,26631,81631,080
Shareholders' Equity
89,92392,11794,36494,89695,53494,456
Total Liabilities & Equity
267,067263,996269,679281,520286,357291,352
Total Debt
126,651121,716107,502107,120111,008117,217
Net Cash (Debt)
-110,160-101,643-89,362-89,324-87,934-87,456
Net Cash Per Share
-9.88-9.15-7.07-8.10-8.09-8.19
Filing Date Shares Outstanding
10,67810,67810,67810,67810,67810,678
Total Common Shares Outstanding
10,67810,67810,67810,67810,67810,678
Working Capital
50,91136,41723,47037,98050,22563,859
Book Value Per Share
3.804.054.264.414.474.39
Tangible Book Value
52,22354,80154,30945,22944,99844,720
Tangible Book Value Per Share
1.962.282.512.692.722.64
Buildings
-40,31937,46235,76534,65732,550
Machinery
-37,69836,03633,86133,25532,121
Construction In Progress
-2,0032,6053,6051,9012,460
Source: S&P Global Market Intelligence. Standard template. Financial Sources.