Engie SA (FRA:GZF)
Germany flag Germany · Delayed Price · Currency is EUR
25.16
+0.29 (1.17%)
At close: Jan 30, 2026

Engie 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
14,99616,92816,57815,57013,89012,980
Short-Term Investments
1124119290104111
Trading Asset Securities
9207853,4795,6768,8107,653
Accounts Receivable
20,51025,46329,81044,07441,04022,134
Other Receivables
-9,16510,43815,60012,3218,132
Inventory
3,1625,0615,3438,1456,1754,140
Loans Receivable Current
1,65610,020350427195148
Other Current Assets
16,34011,9139,50014,18725,3804,789
Total Current Assets
57,59579,35975,617103,969107,91560,087
Property, Plant & Equipment
63,10164,38857,95055,48851,07949,889
Goodwill
13,16913,29112,86412,85412,79915,943
Other Intangible Assets
7,8827,9648,4497,3646,7847,196
Long-Term Investments
12,85512,85616,28414,30615,64712,246
Long-Term Loans Receivable
4,1409145,0223,5832,2672,527
Long-Term Deferred Tax Assets
7468471,9742,0291,181880
Long-Term Accounts Receivable
3313436399497583
Other Long-Term Assets
5,2389,61216,04435,49827,1643,831
Total Assets
164,729189,544194,640235,490225,333153,182
Accounts Payable
15,67918,11222,18939,16532,19716,890
Accrued Expenses
732,7332,5032,4792,0332,667
Short-Term Debt
4,9745,2636,0618,0005,4614,326
Current Portion of Long-Term Debt
4,9923,5242,9674,2294,8843,065
Current Unearned Revenue
3,0773,8183,9603,2922,6714,315
Current Portion of Leases
444473470393334494
Current Income Taxes Payable
-8,71110,41716,86311,3156,960
Other Current Liabilities
25,13030,25027,46019,35736,12415,317
Total Current Liabilities
54,36972,88476,02793,77895,01954,034
Long-Term Debt
39,20740,04135,70026,22128,97328,513
Long-Term Leases
3,0813,2702,6772,4821,7091,892
Long-Term Unearned Revenue
434153931216839
Pension & Post-Retirement Benefits
4,7244,885----
Long-Term Deferred Tax Liabilities
5,5665,8755,6326,4087,7384,416
Other Long-Term Liabilities
19,02720,97838,78767,19549,84630,432
Total Liabilities
126,408148,086158,916196,205183,353119,326
Common Stock
2,4352,4352,4352,4352,4352,435
Additional Paid-In Capital
21,02521,02523,91625,66826,05931,291
Treasury Stock
-126-122-177-189-199-251
Comprehensive Income & Other
7,59011,2183,8836,3398,699-4,530
Total Common Equity
30,92434,55630,05734,25336,99428,945
Minority Interest
7,3976,9025,6675,0324,9864,911
Shareholders' Equity
38,32141,45835,72439,28541,98033,856
Total Liabilities & Equity
164,729189,544194,640235,490225,333153,182
Total Debt
52,69852,57147,87541,32541,36138,290
Net Cash (Debt)
-36,771-34,834-27,699-19,789-18,557-17,546
Net Cash Per Share
-15.07-14.30-11.38-8.18-7.63-7.23
Filing Date Shares Outstanding
2,4332,4262,4212,4212,4202,417
Total Common Shares Outstanding
2,4332,4262,4212,4212,4202,417
Working Capital
3,2266,475-41010,19112,8966,053
Book Value Per Share
11.3212.5811.0112.7513.7310.36
Tangible Book Value
9,87313,3018,74414,03517,4115,806
Tangible Book Value Per Share
2.663.822.214.405.640.78
Land
-696673649504633
Buildings
-3,4742,7652,7623,3125,447
Machinery
-108,253101,62896,32190,83482,447
Construction In Progress
-9,2326,7165,6494,3284,616
Source: S&P Global Market Intelligence. Utility template. Financial Sources.