Horizon Construction Development Limited (HRZCF)
OTCMKTS · Delayed Price · Currency is USD
0.1200
-1.1800 (-90.77%)
At close: Jun 12, 2025

HRZCF Balance Sheet

Millions CNY. 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
2,1771,7832,1672,159506.99165.83
Short-Term Investments
697.051,2911,6831,373578.59280.79
Trading Asset Securities
-1.1712.66-150.05-
Cash & Short-Term Investments
2,8743,0753,8623,5321,236446.62
Cash Growth
-2.32%-20.37%9.33%185.88%176.66%-
Accounts Receivable
6,8106,6255,4144,7914,4752,640
Other Receivables
1,4661,5471,1381,4621,708934.13
Receivables
8,2768,1726,5516,2536,1833,574
Inventory
245.16245.11170.21186.22291.37165.76
Prepaid Expenses
559.89706.46490.99304.5249.04211.11
Restricted Cash
300.029.920.0162.9413.0224.01
Other Current Assets
525.78-47.170.66--
Total Current Assets
12,78112,20911,12210,3407,9724,422
Property, Plant & Equipment
22,57423,15119,20019,43818,59911,030
Long-Term Investments
0.650.26-2.38--
Other Intangible Assets
6.296.753.753.84.614.95
Long-Term Deferred Tax Assets
383.09362.81348.59329.68263.86182.11
Other Long-Term Assets
662.82705.1563.21174.98120.680.64
Total Assets
36,58136,43431,23730,28826,96115,639
Accounts Payable
2,2442,3951,5521,1101,436896.44
Accrued Expenses
457.8490.07367.35364.9524.89279.38
Short-Term Debt
3,2442,5972,155472.94805.761,081
Current Portion of Long-Term Debt
4,4433,9384,5395,6704,2591,510
Current Portion of Leases
169.52204.09192.0159.9365.55628.29
Current Income Taxes Payable
87.78141.92173.59141.02166.1393.29
Current Unearned Revenue
113.94236.6215.37298.98645.08113.26
Other Current Liabilities
401.23146.2886.172.9187.8492.42
Total Current Liabilities
11,16210,1509,2828,1917,9904,694
Long-Term Debt
13,53714,36710,64715,07112,6405,382
Long-Term Leases
445.77429.49501.5971.3360.7492.46
Long-Term Unearned Revenue
3.9413.7614.9316.6817.2718.44
Other Long-Term Liabilities
104.5215.4513.85266.27241.72150.49
Total Liabilities
25,25424,97620,45923,61620,95010,337
Common Stock
0.420.420.420.370.370.33
Additional Paid-In Capital
7,9287,5337,5336,0676,0674,741
Retained Earnings
3,3633,4682,7681,8271,201517.23
Comprehensive Income & Other
36.75456.33476.04-1,222-1,25743.22
Total Common Equity
11,32811,45810,7786,6726,0115,301
Minority Interest
-----0.43
Shareholders' Equity
11,32811,45810,7786,6726,0115,302
Total Liabilities & Equity
36,58136,43431,23730,28826,96115,639
Total Debt
21,84021,53718,03521,34617,8318,694
Net Cash (Debt)
-18,966-18,461-14,173-17,813-16,595-8,247
Net Cash Per Share
-6.03-5.81-4.65-6.29--
Filing Date Shares Outstanding
3,1973,1973,1972,833--
Total Common Shares Outstanding
3,1973,1973,1972,833--
Working Capital
1,6192,0591,8402,149-18-272.34
Book Value Per Share
3.543.583.372.36--
Tangible Book Value
11,14711,45210,7746,6686,0065,296
Tangible Book Value Per Share
3.493.583.372.35--
Buildings
743.88731.76720.43719.69719.28570.99
Machinery
30,15529,64724,86424,36121,56912,045
Construction In Progress
----0.6894.06
Leasehold Improvements
-125.3287.7880.986045.95
Source: S&P Global Market Intelligence. Standard template. Financial Sources.