CMOC Group Limited (FRA:D7N)
Germany flag Germany · Delayed Price · Currency is EUR
2.390
-0.211 (-8.11%)
At close: Jan 30, 2026

CMOC Group 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
32,46830,42730,71632,64824,31816,948
Short-Term Investments
-428.491,000---
Trading Asset Securities
7,7906,5108,2854,2377,1177,436
Cash & Short-Term Investments
40,25937,36640,00136,88431,43524,384
Cash Growth
-11.61%-6.59%8.45%17.33%28.92%4.35%
Accounts Receivable
751.93728.311,3921,1891,4091,108
Other Receivables
6,0385,5254,2525,0172,1581,677
Receivables
6,7906,4945,7376,3094,1412,873
Inventory
33,52529,87831,43032,25526,96021,170
Other Current Assets
12,2325,4376,47910,2348,4208,813
Total Current Assets
92,80679,17483,64885,68270,95657,240
Property, Plant & Equipment
46,33948,73546,57041,97929,20027,775
Long-Term Investments
6,9337,6907,1097,6587,6856,283
Goodwill
431.53436.56430.14422.97387.2396.27
Other Intangible Assets
24,77821,65122,96019,44819,39921,512
Long-Term Deferred Tax Assets
2,0921,5931,6651,111987.7497.17
Long-Term Deferred Charges
221.05279.91227.77217.67178.84127.53
Other Long-Term Assets
10,5908,4287,6428,0477,2416,649
Total Assets
184,191170,236172,975165,019137,450122,441
Accounts Payable
5,6215,4134,6983,9574,1661,505
Accrued Expenses
2,6053,5343,4382,5021,8681,485
Short-Term Debt
21,72713,96024,95420,10826,91222,464
Current Portion of Long-Term Debt
4,7495,3682,2546,8194,8125,091
Current Portion of Leases
-138.31167.4286.26142.88238.59
Current Income Taxes Payable
7,2144,7901,525482.442,479723.37
Current Unearned Revenue
2,6692,6212,5151,690637.93371.98
Other Current Liabilities
14,6769,6359,42814,4189,64310,479
Total Current Liabilities
59,26245,46148,98050,06150,66042,358
Long-Term Debt
2,5489,33420,76821,35515,11819,399
Long-Term Leases
111.67136.87230.94209.35233.94247.79
Long-Term Unearned Revenue
131.1417,01018,64621,65713,4733,578
Pension & Post-Retirement Benefits
572.74521.27459.74340.7294.6308.83
Long-Term Deferred Tax Liabilities
6,0126,5735,9916,0936,1366,269
Other Long-Term Liabilities
20,8265,2585,9373,2663,2702,945
Total Liabilities
89,46384,294101,012102,98289,18675,106
Common Stock
4,2794,3204,3204,3204,3204,320
Additional Paid-In Capital
26,56727,70927,69527,68227,64627,583
Retained Earnings
45,07736,25326,07819,70415,16210,768
Treasury Stock
-82.43-1,267-1,267-1,325-876.36-193.84
Comprehensive Income & Other
2,8464,0072,7151,318-6,406-3,585
Total Common Equity
78,68771,02359,54051,69939,84538,892
Minority Interest
16,04114,91912,42210,3398,4198,443
Shareholders' Equity
94,72885,94271,96262,03748,26447,335
Total Liabilities & Equity
184,191170,236172,975165,019137,450122,441
Total Debt
29,13528,93748,37548,57747,21847,441
Net Cash (Debt)
11,1238,429-8,373-11,693-15,783-23,058
Net Cash Per Share
0.520.39-0.39-0.54-0.74-1.09
Filing Date Shares Outstanding
21,64021,39421,39421,39421,45121,599
Total Common Shares Outstanding
21,64021,39421,39421,39421,45121,551
Working Capital
33,54433,71434,66735,62120,29614,882
Book Value Per Share
3.593.272.742.371.861.80
Tangible Book Value
53,47748,93536,15031,82820,05916,984
Tangible Book Value Per Share
2.432.241.641.440.940.79
Land
---20,91716,68315,184
Buildings
-31,32324,230---
Machinery
-34,86628,99225,09322,53220,742
Construction In Progress
-4,05510,62113,6593,8823,959
Source: S&P Global Market Intelligence. Standard template. Financial Sources.