Towngas Smart Energy Company Limited (FRA:PGJ)
Germany flag Germany · Delayed Price · Currency is EUR
0.3760
0.00 (0.00%)
At close: Jan 27, 2026

FRA:PGJ Balance Sheet

Millions HKD. 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
3,2992,7004,0804,0014,0712,226
Short-Term Investments
32.1125.2221.565.659.57109.29
Trading Asset Securities
--10.7170.06--
Accounts Receivable
2,0192,0061,4651,5381,2411,101
Other Receivables
1,4061,457914.3833.54866.11674.85
Inventory
468.77576.16588.61682.24704.51643.12
Prepaid Expenses
606.76646.08541.5715571.27631.21
Loans Receivable Current
35.4962.25176.36224.24262.08214.61
Other Current Assets
1,3831,458258.27---
Total Current Assets
9,2518,9308,0568,0697,7265,600
Property, Plant & Equipment
30,53829,30429,56824,34523,75220,899
Goodwill
4,7664,6294,8215,2965,7505,625
Other Intangible Assets
357355.42384.99413.53471.08475.07
Long-Term Investments
10,2169,70310,40814,57516,3119,808
Long-Term Loans Receivable
--47.74947.3169.09
Other Long-Term Assets
110.11121.24179.32195.59178.83415.78
Total Assets
55,23853,04353,46552,94454,23742,893
Accounts Payable
2,3622,3722,1401,6821,5871,418
Short-Term Debt
2,0091,8912,00887.667.355.23
Current Portion of Long-Term Debt
4,6993,6965,5009,0198,6635,193
Current Unearned Revenue
3,3573,4743,6323,8503,9393,734
Current Portion of Leases
11.5129.6848.4323.6915.3122.56
Current Income Taxes Payable
1,2931,2261,4121,5321,6121,224
Other Current Liabilities
2,2391,8411,6491,4671,4881,326
Total Current Liabilities
15,97014,52816,39017,66217,37112,922
Long-Term Debt
11,53111,74610,79710,63510,8026,434
Long-Term Leases
132.73111.14206.8564.1660.1739.55
Long-Term Deferred Tax Liabilities
955.85899.04839.98719.64830.84848.34
Total Liabilities
28,58927,28528,23429,08129,06420,244
Common Stock
348.26348.07335.45325.86315.99296.89
Additional Paid-In Capital
5,2325,8856,0686,2306,3155,951
Retained Earnings
17,83317,08715,52014,37913,41312,203
Comprehensive Income & Other
801.62127.97923.59569.852,8512,272
Total Common Equity
24,21523,44822,84721,50522,89520,723
Minority Interest
2,4342,3102,3832,3582,2781,926
Shareholders' Equity
26,64925,75825,23023,86325,17322,649
Total Liabilities & Equity
55,23853,04353,46552,94454,23742,893
Total Debt
18,38217,47418,56119,82919,60811,694
Net Cash (Debt)
-15,051-14,748-14,448-15,753-15,527-9,359
Net Cash Per Share
-3.92-3.91-3.95-4.44-5.15-3.20
Filing Date Shares Outstanding
3,4833,4813,3543,2483,1562,969
Total Common Shares Outstanding
3,4833,4813,3543,2483,1562,969
Working Capital
-6,719-5,598-8,334-9,593-9,645-7,322
Book Value Per Share
6.956.746.816.627.256.98
Tangible Book Value
19,09218,46317,64215,79516,67314,622
Tangible Book Value Per Share
5.485.305.264.865.284.93
Buildings
-3,5993,2273,0633,0512,473
Machinery
-6,9376,2922,8112,4012,049
Construction In Progress
-2,9213,9423,3462,9002,674
Source: S&P Global Market Intelligence. Utility template. Financial Sources.