Remgro Limited (FRA:RE7)
Germany flag Germany · Delayed Price · Currency is EUR
9.35
-0.15 (-1.58%)
Last updated: Jan 28, 2026, 8:07 AM CET

Remgro Balance Sheet

Millions ZAR. 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
8,8556,7896,04711,8848,763
Short-Term Investments
3,3762,6994,5825,7005,010
Cash & Short-Term Investments
12,2319,48810,62917,58413,773
Cash Growth
28.91%-10.73%-39.55%27.67%-33.06%
Accounts Receivable
5,4576,3722,64410,1828,140
Other Receivables
398379368490594
Receivables
6,5947,1583,66811,6799,621
Inventory
9,3418,4977,83213,56812,621
Other Current Assets
1,7451,6728,2222,8781,373
Total Current Assets
29,91126,81530,35145,70937,388
Property, Plant & Equipment
11,56610,5589,75717,83116,765
Long-Term Investments
89,56290,08599,15971,66364,763
Goodwill
6,3077,0737,0847,9708,064
Other Intangible Assets
3,5943,5543,58112,30512,616
Long-Term Deferred Tax Assets
277194176219208
Other Long-Term Assets
938880824846816
Total Assets
142,174139,178150,965156,698140,766
Accounts Payable
2,0813,5832,0868,6156,938
Accrued Expenses
5,4044,2293,8947,4105,906
Short-Term Debt
771301,177701482
Current Portion of Long-Term Debt
494,3465,2541,9963,035
Current Portion of Leases
220195196231275
Current Income Taxes Payable
2613912732596
Other Current Liabilities
193624,003412355
Total Current Liabilities
7,87612,98416,73719,69017,087
Long-Term Debt
3,7721,4215,80411,74411,978
Long-Term Leases
7105315239591,440
Pension & Post-Retirement Benefits
525170149136
Long-Term Deferred Tax Liabilities
5,5994,9035,2988,2766,389
Other Long-Term Liabilities
28612492-160
Total Liabilities
18,29520,01428,52440,81837,190
Common Stock
13,41613,41613,41613,41613,416
Retained Earnings
86,03482,57983,13477,05961,880
Treasury Stock
-1,821-1,987-1,438-685-561
Comprehensive Income & Other
19,41018,10920,8088,65313,324
Total Common Equity
117,039112,117115,92098,44388,059
Minority Interest
6,8407,0476,52117,43715,517
Shareholders' Equity
123,879119,164122,441115,880103,576
Total Liabilities & Equity
142,174139,178150,965156,698140,766
Total Debt
4,8286,62312,95415,63117,210
Net Cash (Debt)
7,4032,865-2,3251,953-3,437
Net Cash Growth
158.39%----
Net Cash Per Share
13.245.14-4.113.44-6.07
Filing Date Shares Outstanding
555.86554.92558.63564.07564.99
Total Common Shares Outstanding
555.86554.92558.63564.07564.99
Working Capital
22,03513,83113,61426,01920,301
Book Value Per Share
210.55202.04207.51174.52155.86
Tangible Book Value
107,138101,490105,25578,16867,379
Tangible Book Value Per Share
192.74182.89188.42138.58119.26
Land
6,9306,5176,10310,34610,056
Machinery
16,03414,57613,70322,40120,738
Source: S&P Global Market Intelligence. Standard template. Financial Sources.