Ramsay Générale de Santé SA (FRA:GD6)
Germany flag Germany · Delayed Price · Currency is EUR
10.00
-0.15 (-1.48%)
Last updated: Jan 30, 2026, 9:30 AM CET

Ramsay Générale de Santé Balance Sheet

Millions EUR. Fiscal year is Jul - Jun.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
Cash & Equivalents
366.5359352.2132.5608.4
Cash & Short-Term Investments
366.5359352.2132.5608.4
Cash Growth
2.09%1.93%165.81%-78.22%13.04%
Accounts Receivable
499.8654.4509.4402.2320.2
Other Receivables
27.732.829.219.83.2
Receivables
527.5687.2538.6422323.4
Inventory
125.1125118.2111.2111.4
Other Current Assets
284.5295.4357.2589.7425.6
Total Current Assets
1,3041,4671,3661,2551,469
Property, Plant & Equipment
2,9642,9003,0383,0082,998
Long-Term Investments
13.614.416.616.59
Goodwill
2,0882,0812,0632,0651,763
Other Intangible Assets
205.5209213.8244.7241.2
Long-Term Deferred Tax Assets
114.791.6106.494.7125.4
Other Long-Term Assets
90.181.199.66776.9
Total Assets
6,8396,8956,9586,7886,682
Accounts Payable
432.3457.8471.9410.8343.8
Short-Term Debt
4.653.43.42.8
Current Portion of Long-Term Debt
56.499.355.43235.3
Current Portion of Leases
268.7245.1213.5196198.9
Current Income Taxes Payable
15.414.310.62926.2
Other Current Liabilities
843.3864.5737.8814.2943.9
Total Current Liabilities
1,6211,6861,4931,4851,551
Long-Term Debt
1,8411,8801,8941,7641,693
Long-Term Leases
1,8911,8011,9281,9221,940
Pension & Post-Retirement Benefits
102.9107.6105.4115.7157.6
Long-Term Deferred Tax Liabilities
29.417.252.839.751.2
Other Long-Term Liabilities
172.5174208.3222.5189.9
Total Liabilities
5,6575,6665,6815,5495,583
Common Stock
82.782.782.782.782.7
Additional Paid-In Capital
611.2611.2611.2611.2611.2
Retained Earnings
-54.1-53.949.4118.465
Comprehensive Income & Other
505.4554.3502.6400.1311.4
Total Common Equity
1,1451,1941,2461,2121,070
Minority Interest
36.635.43126.328.4
Shareholders' Equity
1,1821,2301,2771,2391,099
Total Liabilities & Equity
6,8396,8956,9586,7886,682
Total Debt
4,0614,0304,0943,9173,870
Net Cash (Debt)
-3,695-3,671-3,742-3,785-3,262
Net Cash Per Share
-33.48-33.26-33.91-34.29-29.56
Filing Date Shares Outstanding
110.37110.37110.37110.37110.36
Total Common Shares Outstanding
110.37110.37110.37110.37110.36
Working Capital
-317.1-219.4-126.4-230-82.1
Book Value Per Share
10.3810.8211.2910.989.70
Tangible Book Value
-1,148-1,096-1,031-1,097-933.5
Tangible Book Value Per Share
-10.40-9.93-9.34-9.94-8.46
Land
91.89291.291.7100.8
Buildings
1,3181,3051,2061,1691,171
Machinery
1,7361,7181,6171,535942.6
Construction In Progress
56.466.3125.285.635.8
Source: S&P Global Market Intelligence. Standard template. Financial Sources.