JL Mag Rare-Earth Co., Ltd. (JMREY)
OTCMKTS · Delayed Price · Currency is USD
15.47
-3.36 (-17.84%)
At close: Aug 27, 2025

JL Mag Rare-Earth Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202016 - 2020
Period Ending
Jun '25 Dec '24 Dec '23 Jan '23 Dec '21 Dec '20 2016 - 2020
Cash & Equivalents
1,6532,1013,1574,1301,500756.75
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Short-Term Investments
85.1266.2645.63---
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Trading Asset Securities
245.7186.18209.51143.477.232.65
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Cash & Short-Term Investments
1,9842,3533,4124,2741,507759.4
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Cash Growth
-48.09%-31.02%-20.17%183.64%98.41%-2.74%
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Accounts Receivable
2,9682,3592,3452,8381,631988.81
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Other Receivables
92.74--10.182.8414.72
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Receivables
3,0602,3592,3452,8481,6331,004
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Inventory
3,0932,1782,2131,9311,324924.99
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Restricted Cash
-611.86729.03---
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Other Current Assets
261.18189.09137.3673.91100.5471.87
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Total Current Assets
8,3987,6928,8369,1274,5652,760
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Property, Plant & Equipment
3,1793,2862,6981,7171,045562.57
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Long-Term Investments
862.54887.7427.9818.443.510.77
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Goodwill
64.4364.43----
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Other Intangible Assets
290.08578.3217.68197.2383.5
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Long-Term Deferred Tax Assets
6.43.780.561.745-
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Long-Term Deferred Charges
5.09--625.7416.7
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Other Long-Term Assets
573.92306.26255.17132.74209.4787.04
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Total Assets
13,38012,29711,82611,2206,0513,520
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Accounts Payable
3,3873,0582,9102,6031,018621.33
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Accrued Expenses
66.13105.4397.2476.3861.6942.11
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Short-Term Debt
968.76257.95400.88945.51,128266.86
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Current Portion of Long-Term Debt
251.6323.341.41300.53223.78-
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Current Portion of Leases
2.963.346.064.142.22-
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Current Income Taxes Payable
19.9110.8410.333.265.1118.66
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Current Unearned Revenue
66.2739.79287.7123.929.5918.04
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Other Current Liabilities
336.87287.2270.28154.199.62303.95
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Total Current Liabilities
5,1004,0863,9834,1112,5681,271
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Long-Term Debt
643.21783544.21200411.81611.02
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Long-Term Leases
2.213.339.057.074.63-
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Long-Term Unearned Revenue
286.93250.25201.982.792.2958.03
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Long-Term Deferred Tax Liabilities
54.1157.0750.1431.627.6812.75
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Total Liabilities
6,0865,1804,7894,4333,0841,953
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Common Stock
1,3721,3721,345837.96710.97415.98
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Additional Paid-In Capital
4,1074,1813,9714,4751,292472.45
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Retained Earnings
1,8071,6651,8291,483989.87623.14
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Treasury Stock
-84.57-160-160.8-16.54-33.02-54.95
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Comprehensive Income & Other
-14.84-42.4938.015.275.62110.84
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Total Common Equity
7,1877,0167,0216,7852,9651,567
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Minority Interest
107.12101.4215.672.920.950.18
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Shareholders' Equity
7,2947,1177,0376,7882,9661,568
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Total Liabilities & Equity
13,38012,29711,82611,2206,0513,520
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Total Debt
1,8691,371961.621,4571,771877.88
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Net Cash (Debt)
115.15982.542,4502,816-264.06-118.48
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Net Cash Growth
-95.56%-59.90%-13.00%---
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Net Cash Per Share
0.080.731.832.08-0.24-0.11
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Filing Date Shares Outstanding
1,3641,3641,3371,3411,3381,065
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Total Common Shares Outstanding
1,3641,3641,3371,3411,1381,065
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Working Capital
3,2993,6064,8535,0161,9971,489
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Book Value Per Share
5.275.145.255.062.611.47
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Tangible Book Value
6,8326,8957,0136,5672,7681,484
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Tangible Book Value Per Share
5.015.055.254.902.431.39
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Land
211.45194.19232.1---
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Buildings
1,4051,111661.49591.82310.52199.43
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Machinery
1,4751,5871,2791,057634.91526.71
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Construction In Progress
597.38777.73764.43394.76354.6247.98
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.