Fresh2 Group Limited (FREHY)
OTCMKTS · Delayed Price · Currency is USD
0.0001
0.00 (0.00%)
Inactive · Last trade price on Nov 20, 2025

Fresh2 Group Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2022FY 2021FY 2020FY 2019FY 2018
Period Ending
Jun '23 Dec '22 Dec '21 Dec '20 Dec '19 Dec '18
Cash & Equivalents
0.51.879.253.026.1312.89
Short-Term Investments
0.151.751.51.75--
Cash & Short-Term Investments
0.653.6210.754.776.1312.89
Cash Growth
-92.80%-66.30%125.37%-22.14%-52.47%12.93%
Accounts Receivable
11.724.415.559.071.853.02
Other Receivables
1.121.722.051.551.571.43
Receivables
12.846.137.6110.623.424.45
Inventory
0.140.210.490.310.310.06
Other Current Assets
13.733.744.75.5912.313.45
Total Current Assets
27.3513.723.5521.2922.1720.85
Property, Plant & Equipment
4.5324.420.2619.2718.8718.14
Long-Term Investments
39.781.080.920.882.333.46
Goodwill
36.5-12.762.222.222.22
Other Intangible Assets
45.171.3105.766.396.63
Other Long-Term Assets
24.87--0.4611.46
Total Assets
178.2140.4767.4949.8952.9852.76
Accounts Payable
0.422.112.732.131.81.62
Accrued Expenses
18.3724.7418.8824.3217.9910.58
Short-Term Debt
0.025.1233.7611.0340.7653.82
Current Portion of Leases
0.150.78----
Current Unearned Revenue
0.484.964.173.682.454.31
Other Current Liabilities
40.44.573.362.363.21.1
Total Current Liabilities
59.8442.2862.9143.5266.271.44
Long-Term Leases
0.046.52----
Long-Term Deferred Tax Liabilities
2.94-2.161.051.131.22
Other Long-Term Liabilities
3.341.081.112.041.582.5
Total Liabilities
66.1549.8766.1746.6168.9175.16
Common Stock
12.425.731.280.810.660.57
Additional Paid-In Capital
715.33564.87465.33354.3257.74152.37
Retained Earnings
-648.3-577.54-475.65-356.95-276.48-174.35
Treasury Stock
--11----
Comprehensive Income & Other
13.084.264.534.82.11-0.98
Total Common Equity
92.52-13.68-4.52.95-15.97-22.39
Minority Interest
19.544.275.820.330.05-
Shareholders' Equity
112.06-9.41.323.28-15.92-22.39
Total Liabilities & Equity
178.2140.4767.4949.8952.9852.76
Total Debt
0.212.4233.7611.0340.7653.82
Net Cash (Debt)
0.45-8.8-23.01-6.27-34.64-40.94
Net Cash Per Share
1.01-46.01-338.26-111.97-775.09-960.49
Filing Date Shares Outstanding
0.90.740.080.060.060.05
Total Common Shares Outstanding
0.90.350.080.060.050.04
Working Capital
-32.48-28.58-39.36-22.24-44.03-50.59
Book Value Per Share
103.01-38.73-56.3148.91-323.73-520.95
Tangible Book Value
10.85-14.97-27.25-5.04-24.59-31.24
Tangible Book Value Per Share
12.08-42.40-341.07-83.56-498.37-726.86
Buildings
-16.0316.0316.0316.0315.77
Machinery
5.2613.8213.4911.6510.888.99
Construction In Progress
-1.932.011.620.630.42
Leasehold Improvements
--1.45-0.050.05
Source: S&P Global Market Intelligence. Standard template. Financial Sources.