Société Anonyme des Bains de Mer et du Cercle des Étrangers à Monaco (FRA:RJ8)
Germany flag Germany · Delayed Price · Currency is EUR
119.00
+3.00 (2.59%)
Last updated: Jan 19, 2026, 8:20 AM CET

FRA:RJ8 Balance Sheet

Millions EUR. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
244.44153.7869.74258.9208.34100.7
Short-Term Investments
165.08156.43165.29109.85--
Trading Asset Securities
---0.490.09-
Cash & Short-Term Investments
409.52310.22235.03369.23208.43100.7
Cash Growth
28.53%31.99%-36.34%77.14%106.99%-8.24%
Accounts Receivable
5332.8134.1515.7124.7423.22
Other Receivables
32.5118.2819.0413.5211.8712.76
Receivables
85.5451.1253.2229.2536.6436
Inventory
21.6719.4318.0516.8713.8812.91
Prepaid Expenses
11.38.86.868.285.554.95
Other Current Assets
5.185.413.273.121.6610.1
Total Current Assets
533.2394.97316.44426.76266.17164.65
Property, Plant & Equipment
1,2291,2181,1921,022995.941,043
Long-Term Investments
529.37559.54579.85597.1218.5766.46
Goodwill
0.030.030.030.030.030.03
Other Intangible Assets
21.4319.1812.519.839.719.61
Other Long-Term Assets
--0---
Total Assets
2,3132,1922,1012,0561,2911,284
Accounts Payable
59.2244.638.6232.6325.4120.27
Accrued Expenses
49.9450.3244.8339.0240.2936.01
Current Portion of Long-Term Debt
14.5915.1414.8380.97115.03112
Current Portion of Leases
3.773.352.751.913.547.56
Current Income Taxes Payable
145.52116.81114.97109.1388.289.09
Current Unearned Revenue
61.0770.9466.5861.535847.04
Other Current Liabilities
81.1248.6440.5724.7529.1534.74
Total Current Liabilities
415.23349.79323.15349.93359.62346.71
Long-Term Debt
16.7916.115.1317.3787.38141.39
Long-Term Leases
11.3312.283.141.322.074.95
Long-Term Unearned Revenue
116.61132.23154.15139.79142.37166.67
Pension & Post-Retirement Benefits
5.536.026.56.898.6711.5
Other Long-Term Liabilities
31.0332.7632.3130.4637.3645.67
Total Liabilities
596.51549.17534.38545.76637.46716.88
Common Stock
24.5224.5224.5224.5224.5224.52
Additional Paid-In Capital
214.65214.65214.65214.65214.65214.65
Retained Earnings
126.98110.13103.94896.2276.35-79.11
Comprehensive Income & Other
1,3511,2941,224374.53337.55406.44
Total Common Equity
1,7171,6431,5671,510653.07566.5
Minority Interest
-----0.74
Shareholders' Equity
1,7171,6431,5671,510653.07567.24
Total Liabilities & Equity
2,3132,1922,1012,0561,2911,284
Total Debt
46.4846.8735.85101.57208.01265.9
Net Cash (Debt)
363.04263.35199.18267.660.42-165.2
Net Cash Growth
28.10%32.21%-25.58%63478.15%--
Net Cash Per Share
14.8110.748.1210.920.02-6.74
Filing Date Shares Outstanding
24.5224.5224.5224.5224.5224.52
Total Common Shares Outstanding
24.5224.5224.5224.5224.5224.52
Working Capital
117.9745.19-6.776.83-93.45-182.06
Book Value Per Share
70.0367.0163.9161.5926.6423.11
Tangible Book Value
1,6951,6241,5541,500643.34556.86
Tangible Book Value Per Share
69.1666.2263.4061.1926.2422.71
Land
286.9286.9286.91161.5161.5161.5
Buildings
1,5641,5421,4851,4161,3631,364
Machinery
327.91293.55281.73272.2269.47267.56
Construction In Progress
41.1168.2756.2835.0720.096.95
Source: S&P Global Market Intelligence. Standard template. Financial Sources.