Maisons du Monde S.A. (FRA:ZMM)
Germany flag Germany · Delayed Price · Currency is EUR
1.592
-0.062 (-3.75%)
At close: Jan 30, 2026

Maisons du Monde Balance Sheet

Millions EUR. 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
96.390.529.89121.26163.23296.74
Cash & Short-Term Investments
96.390.529.89121.26163.23296.74
Cash Growth
297.36%202.82%-75.35%-25.71%-44.99%214.04%
Accounts Receivable
2.8420.7517.6312.310.4812.44
Other Receivables
27.1622.5652.2551.8840.3236.27
Receivables
3043.3169.8864.1750.848.71
Inventory
223.88199.74202.15245.73193.75171.53
Prepaid Expenses
24.0219.5120.3323.822.5519.86
Other Current Assets
0.939.451.4113.7458.4348.66
Total Current Assets
375.14362.51323.65468.7488.76585.48
Property, Plant & Equipment
580.06654.62726.73790.5763.18788.17
Long-Term Investments
12.7413.0313.8516.4517.0315.82
Goodwill
246.03246.03327.03327.03327.03327.03
Other Intangible Assets
245.39248.36247.12238.91232.68243.13
Long-Term Deferred Tax Assets
7.968.018.749.778.596.31
Other Long-Term Assets
-0.580.091.626.382.55
Total Assets
1,4671,5331,6471,8531,8441,968
Accounts Payable
149.36160.19138.97156.64102.44102.03
Accrued Expenses
50.3359.8770.1388.7485.7567.4
Short-Term Debt
0.020.044.810.120.030.01
Current Portion of Long-Term Debt
226.09121.2830.35223.7929.23200.08
Current Portion of Leases
104.85109.4121.02118.97110.6111.94
Current Income Taxes Payable
6.235.352.933.530.922.6
Current Unearned Revenue
37.1140.5852.6766.9996.9983.33
Other Current Liabilities
21.327.2621.8916.8310.6925.72
Total Current Liabilities
595.32503.96442.78675.61436.64593.11
Long-Term Debt
26.8353.8783.950.27192.33188.47
Long-Term Leases
388.35411.76450494.17483.64508.13
Pension & Post-Retirement Benefits
10.7410.89.239.2312.4511.41
Long-Term Deferred Tax Liabilities
17.6933.9539.1746.2952.3141.74
Other Long-Term Liabilities
26.0419.3425.6823.3113.930.93
Total Liabilities
1,0651,0341,0511,2491,1911,374
Common Stock
126.97126.97126.97140.25146.58146.58
Additional Paid-In Capital
73.873.873.8102.73134.28134.28
Retained Earnings
-75.56-115.358.5734.377.371.48
Comprehensive Income & Other
276.44413.28385.69325.63292.89310.05
Total Common Equity
401.65498.71595.03602.91651.13592.4
Minority Interest
0.70.761.381.181.242.32
Shareholders' Equity
402.36499.46596.41604.09652.37594.72
Total Liabilities & Equity
1,4671,5331,6471,8531,8441,968
Total Debt
746.13696.34690.13837.32815.831,009
Net Cash (Debt)
-649.83-605.84-660.24-716.06-652.6-711.89
Net Cash Per Share
-16.92-15.71-16.20-15.01-13.12-15.82
Filing Date Shares Outstanding
38.5138.5738.5840.5644.4245.01
Total Common Shares Outstanding
38.5138.5738.5840.5644.4245.01
Working Capital
-220.18-141.45-119.13-206.9152.12-7.62
Book Value Per Share
10.4312.9315.4214.8614.6613.16
Tangible Book Value
-89.764.3220.8836.9891.4222.25
Tangible Book Value Per Share
-2.330.110.540.912.060.49
Source: S&P Global Market Intelligence. Standard template. Financial Sources.