Oman Cables Industry SAOG (MSM:OCAI)
Oman flag Oman · Delayed Price · Currency is OMR
2.945
0.00 (0.00%)
At close: May 14, 2026

Oman Cables Industry SAOG Balance Sheet

Millions OMR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
74.9690.7565.3657.8544.0427.26
Short-Term Investments
11----
Cash & Short-Term Investments
75.9691.7565.3657.8544.0427.26
Cash Growth
6.15%40.37%12.99%31.36%61.55%-13.28%
Accounts Receivable
68.6761.363.1255.9359.7858.35
Other Receivables
1.511.231.282.033.83
Receivables
70.1862.566.1257.261.8262.18
Inventory
47.925.0626.2824.522.7226.93
Prepaid Expenses
0.150.270.220.720.50.59
Other Current Assets
2.371.940.832.121.883.32
Total Current Assets
196.56181.52158.81142.39130.96120.28
Property, Plant & Equipment
27.8427.6825.1224.8326.5228.87
Long-Term Investments
0.040.041.081.271.241.25
Other Intangible Assets
0.210.230.290.340.380.44
Long-Term Deferred Tax Assets
0.780.260.360.10.010.09
Total Assets
225.42209.72185.66168.94159.11150.93
Accounts Payable
35.6319.4716.7816.8826.0122.39
Accrued Expenses
7.1710.279.266.85.765.33
Short-Term Debt
0.05-0.77-1.55.2
Current Portion of Leases
0.320.260.280.280.260.26
Current Income Taxes Payable
6.044.994.583.722.561.26
Other Current Liabilities
8.131.6734.640.891.75
Total Current Liabilities
57.3536.6534.6732.3136.9736.19
Long-Term Leases
5.475.73.543.63.43.46
Pension & Post-Retirement Benefits
21.941.721.811.481.42
Long-Term Deferred Tax Liabilities
0.08--0.150.280.9
Total Liabilities
64.9144.2939.9237.8642.1441.97
Common Stock
8.978.978.978.978.978.97
Additional Paid-In Capital
0.980.980.980.980.980.98
Retained Earnings
148.16151.15135.09120.1106.1997.44
Comprehensive Income & Other
2.44.330.691.030.831.57
Total Common Equity
160.51165.43145.74131.07116.97108.96
Shareholders' Equity
160.51165.43145.74131.07116.97108.96
Total Liabilities & Equity
225.42209.72185.66168.94159.11150.93
Total Debt
5.855.954.593.885.168.92
Net Cash (Debt)
70.1185.860.7853.9838.8818.34
Net Cash Growth
5.10%41.17%12.60%38.83%112.02%-20.96%
Net Cash Per Share
0.780.960.680.600.430.20
Filing Date Shares Outstanding
89.789.789.789.789.789.7
Total Common Shares Outstanding
89.789.789.789.789.789.7
Working Capital
139.21144.87124.14110.0993.9984.09
Book Value Per Share
1.791.841.621.461.301.21
Tangible Book Value
160.3165.2145.45130.73116.59108.52
Tangible Book Value Per Share
1.791.841.621.461.301.21
Buildings
--18.7618.2918.0217.53
Machinery
--61.1758.0857.356.07
Construction In Progress
--0.210.25-0.76
Source: S&P Global Market Intelligence. Standard template. Financial Sources.