Fugro N.V. (FRA:F3DC)
Germany flag Germany · Delayed Price · Currency is EUR
11.73
+0.79 (7.22%)
At close: Jan 30, 2026

Fugro Balance Sheet

Millions EUR. 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
118.9319.47326.29209.09148.96183.46
Cash & Short-Term Investments
118.9319.47326.29209.09148.96183.46
Cash Growth
-36.31%-2.09%56.05%40.37%-18.81%-8.79%
Accounts Receivable
513.8556.63539.14505.86426.04336.96
Other Receivables
123.979.288.6470.9667.9552.94
Receivables
637.7635.82627.79576.82493.99389.9
Inventory
43.741.0536.0535.0829.127.62
Prepaid Expenses
-38.2624.1928.8829.7227.98
Other Current Assets
0.23.65-10.719.7117.5
Total Current Assets
800.51,0381,014860.58711.47646.45
Property, Plant & Equipment
1,1301,055883.73756.9678.58658.05
Long-Term Investments
10163.952.655.3851.9669.05
Goodwill
-276.78270.3272.48269.52257.65
Other Intangible Assets
288.218.9120.320.2720.3219.64
Long-Term Deferred Tax Assets
146.3144138.6458.748.9935.62
Other Long-Term Assets
-32.7420.8626.4257.514.58
Total Assets
2,4662,6302,4012,0511,8381,701
Accounts Payable
89.1110.5197.07110.07111.4180.76
Accrued Expenses
50.4337.48347.12263.77247.7220.56
Short-Term Debt
-0.320.52.061.822.34
Current Portion of Long-Term Debt
2.77.8448.873.893.2458.02
Current Portion of Leases
57.753.652.0469.1230.2826.13
Current Income Taxes Payable
44.652.6940.4937.0831.4626.44
Current Unearned Revenue
65.881.6277.671.5150.5143.99
Other Current Liabilities
258.160.4837.2737.228.847.49
Total Current Liabilities
568.4704.54700.97594.61595.22505.72
Long-Term Debt
340.3200.3201.27241.67199.18286.22
Long-Term Leases
155.5153.57134.1399.85117.15106.57
Pension & Post-Retirement Benefits
3438.7137.5636.8848.1772.5
Long-Term Deferred Tax Liabilities
6.99.258.081.551.933.52
Other Long-Term Liabilities
11.39.8415.5416.5815.1314.88
Total Liabilities
1,1161,1161,098991.13976.77989.39
Common Stock
5.75.795.685.685.1610.32
Additional Paid-In Capital
920.1920.06878.07878.07762.5757.34
Retained Earnings
625744.13596.96383.65316.03209.6
Treasury Stock
-82.6-103.47-98.3-139.92-149.29-158.5
Comprehensive Income & Other
-134.5-70.36-91.85-79.14-83.19-116.69
Total Common Equity
1,3341,4961,2911,048851.2702.07
Minority Interest
15.517.3612.6311.2710.369.58
Shareholders' Equity
1,3491,5141,3031,060861.56711.65
Total Liabilities & Equity
2,4662,6302,4012,0511,8381,701
Total Debt
556.2415.62436.81416.5441.67479.27
Net Cash (Debt)
-437.3-96.16-110.52-207.41-292.71-295.81
Net Cash Per Share
-3.80-0.83-0.96-1.95-2.88-4.85
Filing Date Shares Outstanding
110.49110.49112.39111.92101.51101.41
Total Common Shares Outstanding
110.49111.28112.39111.92101.51101.41
Working Capital
232.1333.71313.34265.97116.25140.74
Book Value Per Share
12.0713.4511.489.378.396.92
Tangible Book Value
1,0461,200999.96755.58561.36424.78
Tangible Book Value Per Share
9.4610.798.906.755.534.19
Land
-132.57147.91167.18184.98180.61
Machinery
-1,8631,7281,6931,6691,659
Construction In Progress
-243.6132.9354.1448.7422.59
Order Backlog
-1,5771,4831,4251,014866.2
Source: S&P Global Market Intelligence. Standard template. Financial Sources.