Singapore Exchange Limited (FRA:SOU)
Germany flag Germany · Delayed Price · Currency is EUR
11.51
-0.28 (-2.42%)
At close: Jan 28, 2026

Singapore Exchange Balance Sheet

Millions SGD. 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
1,130998.111,033997.751,060
Short-Term Investments
378.76136.5934.8595.1741.62
Cash & Short-Term Investments
1,5091,1351,0681,0931,102
Cash Growth
32.96%6.24%-2.28%-0.79%15.20%
Accounts Receivable
881.621,0611,0571,025714.32
Other Receivables
3.8110.3711.685.674.44
Receivables
885.431,0721,0691,031718.76
Prepaid Expenses
31.6333.1836.4228.9529.3
Other Current Assets
23.347.366.30.020.32
Total Current Assets
2,4492,2472,1792,1531,850
Property, Plant & Equipment
126.89138.4375.1185.17119.56
Long-Term Investments
678.81682.01565.15590.7197
Goodwill
684.91699.78702.87708.29541.23
Other Intangible Assets
190.62204.24243.4284.1288.24
Other Long-Term Assets
13.6213.4815.3418.1726.49
Total Assets
4,1443,9853,7813,8483,023
Accounts Payable
771.73866.82934.14999.18655.39
Accrued Expenses
230.58196.74182.11181.25155.61
Current Portion of Long-Term Debt
--351.8841.86-
Current Portion of Leases
19.7520.120.4722.1420.37
Current Income Taxes Payable
132.18114.99112.8199.9499.63
Other Current Liabilities
56.339.8336.9497.8275.12
Total Current Liabilities
1,2111,2381,6381,4421,006
Long-Term Debt
622.9643.09340.04693.94467.76
Long-Term Leases
45.4564.8314.8330.9451.06
Long-Term Unearned Revenue
14.7914.6214.714.63-
Long-Term Deferred Tax Liabilities
50.3953.6355.0579.4766.46
Other Long-Term Liabilities
-9.1514.7737.5841.39
Total Liabilities
1,9442,0242,0782,2991,633
Common Stock
419.2420.48423.06427.37430.41
Retained Earnings
1,6371,4151,180955.21846.04
Treasury Stock
-33.39-27.67-32.45-34.64-25.19
Comprehensive Income & Other
176.94152.15129.93196.48133.64
Total Common Equity
2,2001,9601,7011,5441,385
Minority Interest
-1.332.715.064.86
Shareholders' Equity
2,2001,9611,7041,5491,390
Total Liabilities & Equity
4,1443,9853,7813,8483,023
Total Debt
688.1728.01727.22788.87539.18
Net Cash (Debt)
820.63406.68340.81304.05562.47
Net Cash Growth
101.79%19.33%12.09%-45.94%-0.13%
Net Cash Per Share
0.760.370.310.280.52
Filing Date Shares Outstanding
1,0691,0691,0681,0681,069
Total Common Shares Outstanding
1,0691,0691,0681,0681,069
Working Capital
1,2391,009541.13710.56843.91
Book Value Per Share
2.061.831.591.451.30
Tangible Book Value
1,3241,056754.64552.02555.44
Tangible Book Value Per Share
1.240.990.710.520.52
Land
----6.11
Buildings
----6.08
Machinery
92.7598.6191.7783.1285.11
Construction In Progress
15.5210.7217.418.045.51
Leasehold Improvements
29.2532.7145.6845.244.3
Source: S&P Global Market Intelligence. Standard template. Financial Sources.