Ørsted A/S (LON:0RHE)
London flag London · Delayed Price · Currency is GBP · Price in DKK
150.30
+0.21 (0.14%)
At close: Feb 11, 2026

Ørsted Balance Sheet

Millions DKK. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
53,44823,12610,14516,1788,624
Short-Term Investments
33,63510,12929,51524,4286,210
Accounts Receivable
9,8489,36911,90913,1099,567
Other Receivables
11,81115,61611,08720,70817,334
Inventory
9,93812,37910,53914,10315,998
Other Current Assets
18,8309,02010,86024,20230,431
Total Current Assets
137,51079,63984,055112,72888,164
Property, Plant & Equipment
210,866201,694179,769177,665161,396
Goodwill
1251,7131,8471,843125
Other Intangible Assets
6308981,5792,1861,418
Long-Term Investments
6691,2141,127954793
Long-Term Deferred Tax Assets
9,5479,2508,19213,71913,281
Other Long-Term Assets
8,5754,3784,5675,0475,208
Total Assets
367,922298,786281,136314,142270,385
Accounts Payable
19,76420,82714,91520,64120,231
Accrued Expenses
3,6634,3203,3971,9031,206
Current Portion of Long-Term Debt
11,6584,1013842,83019,493
Current Unearned Revenue
13,8472,5782,7852,2692,440
Current Portion of Leases
875834808569720
Current Income Taxes Payable
4,6314,1776,2835,1155,021
Other Current Liabilities
12,71016,91530,62941,54138,349
Total Current Liabilities
67,14853,75259,20174,86887,460
Long-Term Debt
87,20483,60779,23660,45131,502
Long-Term Leases
8,1208,0767,6187,6976,812
Long-Term Unearned Revenue
8,2578,8343,2973,0853,230
Long-Term Deferred Tax Liabilities
1,9692,4333,4397,4145,616
Other Long-Term Liabilities
46,28348,60050,55465,09550,628
Total Liabilities
218,981205,302203,345218,610185,248
Common Stock
13,2124,2044,2044,2044,204
Retained Earnings
115,67063,09862,82994,00684,646
Comprehensive Income & Other
11,79115,7918,852-6,674-6,794
Total Common Equity
140,67383,09375,88591,53682,056
Minority Interest
8,26810,3911,9063,9963,081
Shareholders' Equity
148,94193,48477,79195,53285,137
Total Liabilities & Equity
367,922298,786281,136314,142270,385
Total Debt
107,85796,61888,04671,54758,527
Net Cash (Debt)
-20,774-63,363-48,386-30,941-43,693
Net Cash Per Share
-23.44-83.73-115.07-73.59-103.94
Filing Date Shares Outstanding
1,321420.23420.23420.23420.17
Total Common Shares Outstanding
1,321420.23420.23420.23420.17
Working Capital
70,36225,88724,85437,860704
Book Value Per Share
90.62147.86135.12170.72152.49
Tangible Book Value
139,91880,48272,45987,50780,513
Tangible Book Value Per Share
90.05141.65126.97161.14148.82
Land
12,21612,02911,12310,74710,311
Machinery
5,2684,6504,0363,0761,858
Construction In Progress
77,35953,06448,30748,93157,108
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Utility template. Financial Sources.