CNGR Advanced Material Co., Ltd. (HKG:2579)
Hong Kong flag Hong Kong · Delayed Price · Currency is HKD
36.16
-1.22 (-3.26%)
At close: Feb 13, 2026

CNGR Advanced Material Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Jan '23 Jan '22 Dec '20
Cash & Equivalents
9,30711,18911,43915,2498,6992,712
Trading Asset Securities
1,2712,012-4.25-0.22
Cash & Short-Term Investments
10,57813,20111,43915,2538,6992,712
Cash Growth
-26.46%15.40%-25.00%75.34%220.76%167.81%
Accounts Receivable
6,0925,1065,1405,0775,2971,979
Other Receivables
1,674684.41674.44102.4985.1859.64
Receivables
7,7665,7905,8145,1805,3822,039
Inventory
11,1419,8267,9299,6204,8241,460
Other Current Assets
5,2084,9014,7842,537723.55336.87
Total Current Assets
34,69333,71829,96732,59019,6306,548
Property, Plant & Equipment
30,28929,08324,07714,7966,8792,688
Long-Term Investments
4,8224,6123,0131,06880.66-
Goodwill
1,4081,4251,3481,326--
Other Intangible Assets
3,2242,2511,6631,075786.65407.3
Long-Term Deferred Tax Assets
88.63249.45223.61246.8971.3944.16
Long-Term Deferred Charges
63.0521.2514.723.9817.371.63
Other Long-Term Assets
1,9161,6641,8802,754735.2174.96
Total Assets
76,50373,02362,18653,88028,2009,864
Accounts Payable
13,46510,2498,5948,72310,0183,523
Accrued Expenses
306.45433.12344.18237.3136.5263.63
Short-Term Debt
5,5263,6093,5216,3313,405734.13
Current Portion of Long-Term Debt
6,8958,1793,3521,040383.0460.22
Current Portion of Leases
-18.8930.5236.9229.23-
Current Income Taxes Payable
207.12114139.6394.391.261.77
Current Unearned Revenue
290.36632.92196.2586.4218.1935.28
Other Current Liabilities
1,005803.22305.671,041326.57262.34
Total Current Liabilities
27,69524,03916,48217,59114,3184,680
Long-Term Debt
17,05516,61216,48015,0992,552840.94
Long-Term Leases
21.7425.828.628.6968.22152.26
Long-Term Unearned Revenue
379.45474.68485.3508.12426.22243.84
Long-Term Deferred Tax Liabilities
235.2343.25328.14309.19212.51110.29
Other Long-Term Liabilities
1,5202,040478.08---
Total Liabilities
46,90743,53434,26333,53617,5776,027
Common Stock
938.03937.09669.82670.63605.67569.65
Additional Paid-In Capital
14,77814,54714,62313,3117,8412,773
Retained Earnings
5,6555,0854,6472,8301,387493.51
Treasury Stock
-1,087-504.09-339.85-255.49--
Comprehensive Income & Other
33.9675.22226.99-32.64-1.010.15
Total Common Equity
20,31820,14119,82716,5239,8323,837
Minority Interest
9,2789,3488,0963,821790.07-
Shareholders' Equity
29,59629,48927,92420,34410,6233,837
Total Liabilities & Equity
76,50373,02362,18653,88028,2009,864
Total Debt
29,49828,44423,39222,5366,4381,788
Net Cash (Debt)
-18,919-15,243-11,952-7,2832,262924.57
Net Cash Growth
----144.61%-
Net Cash Per Share
-20.83-16.42-12.83-8.502.821.29
Filing Date Shares Outstanding
908.2897.48933938.89847.94797.51
Total Common Shares Outstanding
908.2897.48933938.89847.94797.51
Working Capital
6,9989,67913,48415,0005,3121,868
Book Value Per Share
22.3722.4421.2517.6011.604.81
Tangible Book Value
15,68616,46516,81714,1229,0463,429
Tangible Book Value Per Share
17.2718.3518.0215.0410.674.30
Buildings
-8,9735,6223,6281,904-
Machinery
-18,04110,2665,5212,974-
Construction In Progress
-5,21710,0786,6572,304-
Source: S&P Global Market Intelligence. Standard template. Financial Sources.