Meitu, Inc. (FRA:M5U)
Germany flag Germany · Delayed Price · Currency is EUR
0.8350
-0.0050 (-0.60%)
At close: Jan 27, 2026

Meitu 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
1,0351,301640.63946.6738.731,158
Short-Term Investments
1,5921,655673.81393.43489.46873.9
Cash & Short-Term Investments
2,6282,9561,3141,3401,2282,032
Cash Growth
108.79%124.92%-1.91%9.11%-39.56%-19.10%
Accounts Receivable
471.2407.01387.75350.631,016689.83
Other Receivables
-26.8657.0560.2155.5545.0173.91
Receivables
470.34490.06467.96426.181,107763.73
Inventory
63.6898.4558.4225.594.891.48
Prepaid Expenses
105.0287.6166.6966.06131.6666.16
Restricted Cash
-33.140.30.30.50.5
Other Current Assets
868.65862.25860.99597.6860.5645.7
Total Current Assets
4,1354,5282,7692,4562,5332,910
Property, Plant & Equipment
526.63521.96539.64469.11424.57390.67
Long-Term Investments
1,5301,4561,6531,405986.29802.28
Goodwill
378.42396.3482.67237.9416.4178.44
Other Intangible Assets
115.5123.2652.6253.8761214.51
Long-Term Deferred Tax Assets
12.979.819.298.947.023.78
Other Long-Term Assets
11.0711.44660.7373.7519.57.89
Total Assets
6,7107,0475,7675,0044,7474,507
Accounts Payable
183.85179.5140.6135.32104.16107.61
Accrued Expenses
435.26541.12522.91441.17621.33464.91
Short-Term Debt
20102.8914.9810105
Current Portion of Long-Term Debt
162.95163.63134.57---
Current Portion of Leases
26.3924.629.9616.7820.6325.98
Current Income Taxes Payable
123.7587.8660.6962.7455.9650.66
Current Unearned Revenue
749.12654.87423.59245.24158.3871.59
Other Current Liabilities
47.165.8171.7157.6278.4287.84
Total Current Liabilities
1,7481,8201,3991,0691,049813.6
Long-Term Leases
17.4527.2445.3511.3717.912.81
Long-Term Deferred Tax Liabilities
166.27166.62209.15214.680.2841.95
Other Long-Term Liabilities
----84.4380.97
Total Liabilities
1,9322,0141,6531,2951,232939.33
Common Stock
0.290.290.280.280.280.28
Additional Paid-In Capital
6,4197,1047,0947,1747,1377,135
Retained Earnings
-1,827-2,224-3,030-3,408-3,502-3,451
Comprehensive Income & Other
197.81146.6344.463.18-118.47-130.66
Total Common Equity
4,7895,0274,1093,7703,5163,554
Minority Interest
-11.955.834.84-60.11-0.5613.91
Shareholders' Equity
4,7785,0334,1143,7103,5163,568
Total Liabilities & Equity
6,7107,0475,7675,0044,7474,507
Total Debt
226.79318.35224.8538.1548.5433.78
Net Cash (Debt)
2,4012,6381,0901,3021,1801,998
Net Cash Growth
148.28%142.12%-16.31%10.36%-40.97%-18.84%
Net Cash Per Share
0.520.580.240.290.270.47
Filing Date Shares Outstanding
4,5664,5624,5354,4444,4124,314
Total Common Shares Outstanding
4,5664,5554,4784,4434,3524,314
Working Capital
2,3872,7081,3701,3871,4842,096
Book Value Per Share
1.051.100.920.850.810.82
Tangible Book Value
4,2964,5073,9743,4782,7393,161
Tangible Book Value Per Share
0.940.990.890.780.630.73
Buildings
435.57435.57426.26---
Machinery
137.94153.17122.2684.4674.4964.76
Construction In Progress
2.090.714.74428.38365.79343.42
Leasehold Improvements
----41.138.67
Source: S&P Global Market Intelligence. Standard template. Financial Sources.