China Overseas Land & Investment Limited (FRA:CPP)
Germany flag Germany · Delayed Price · Currency is EUR
1.522
+0.068 (4.68%)
Last updated: Jan 29, 2026, 5:15 PM CET

FRA:CPP 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
108,774123,892105,344109,709129,861107,664
Cash & Short-Term Investments
108,774123,892105,344109,709129,861107,664
Cash Growth
8.76%17.61%-3.98%-15.52%20.62%15.90%
Accounts Receivable
6,3401,6844,4225,3056,72111,913
Other Receivables
14,22210,99912,80115,00615,16615,938
Receivables
20,56214,91521,83525,34829,94430,214
Inventory
466,505460,235496,246500,282463,009471,491
Prepaid Expenses
21,79720,52317,69115,94512,1408,962
Restricted Cash
182.06276.02285.01597.11,0952,805
Other Current Assets
13,54519,34213,25112,51912,90815,118
Total Current Assets
631,365639,184654,652664,400648,957636,253
Property, Plant & Equipment
7,1517,3016,9047,0865,5245,011
Long-Term Investments
45,44646,18546,52043,62840,69133,314
Goodwill
56.456.456.456.456.456.4
Long-Term Deferred Tax Assets
7,0687,3257,5137,5598,1087,694
Other Long-Term Assets
210,471208,583207,958190,525166,570141,329
Total Assets
901,557908,634923,604913,254869,907823,657
Accounts Payable
38,19241,84768,81862,47272,93964,609
Accrued Expenses
----2,264124.7
Short-Term Debt
-579.5567.861,3803,2623,714
Current Portion of Long-Term Debt
17,39928,86942,39248,81850,98851,118
Current Portion of Leases
115.76117.7694.23132.9260.9263.03
Current Income Taxes Payable
21,60823,86330,86731,95339,17338,124
Current Unearned Revenue
132,441132,543108,619107,676100,455121,122
Other Current Liabilities
35,35337,41334,34328,72124,55824,887
Total Current Liabilities
245,110265,232285,701281,151293,901303,962
Long-Term Debt
210,050212,974216,696231,028197,302170,718
Long-Term Leases
847.82865.45960.431,025371.42428.8
Long-Term Deferred Tax Liabilities
27,80527,73327,33626,95221,22620,199
Total Liabilities
483,812506,804530,692540,156512,800495,308
Common Stock
74,03574,03574,03574,03574,03474,034
Retained Earnings
326,277320,666311,934293,119280,618251,340
Comprehensive Income & Other
-13,693-14,091-12,952-12,675-11,091-11,227
Total Common Equity
386,619380,611373,018354,480343,560314,147
Minority Interest
31,12621,21919,89418,61813,54614,203
Shareholders' Equity
417,745401,830392,912373,098357,106328,349
Total Liabilities & Equity
901,557908,634923,604913,254869,907823,657
Total Debt
228,412243,406260,711282,383252,185226,243
Net Cash (Debt)
-119,638-119,513-155,367-172,674-122,323-118,579
Net Cash Per Share
-10.93-10.92-14.20-15.78-11.18-10.77
Filing Date Shares Outstanding
10,94510,94510,94510,94510,94510,953
Total Common Shares Outstanding
10,94510,94510,94510,94510,94510,953
Working Capital
386,255373,952368,951383,248355,056332,291
Book Value Per Share
35.3234.7834.0832.3931.3928.68
Tangible Book Value
386,563380,555372,961354,423343,504314,090
Tangible Book Value Per Share
35.3234.7734.0832.3831.3928.68
Buildings
-5,0615,0434,9702,5211,983
Machinery
-1,6341,4751,3591,100910.06
Construction In Progress
-80.7878.4878.04741.68852.47
Source: S&P Global Market Intelligence. Standard template. Financial Sources.