Rexel S.A. (RXLSF)
OTCMKTS · Delayed Price · Currency is USD
44.50
+1.47 (3.42%)
Feb 11, 2026, 4:00 PM EST

Rexel Balance Sheet

Millions EUR. 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
1,038883.3912.7895.4573.5
Cash & Short-Term Investments
1,038883.3912.7895.4573.5
Cash Growth
17.46%-3.22%1.93%56.13%-16.33%
Accounts Receivable
2,6822,6942,6242,6172,353
Other Receivables
927.7776.5749.9703.5506.6
Receivables
3,6103,4713,3743,3212,860
Inventory
2,3642,4862,3862,2752,057
Prepaid Expenses
-40.943.440.134.1
Other Current Assets
-33.81.8196.528.9
Total Current Assets
7,0116,9156,7186,7285,554
Property, Plant & Equipment
1,6961,7501,5871,4301,319
Long-Term Investments
61.764.865.750.941.7
Goodwill
3,9083,9783,7223,4553,402
Other Intangible Assets
1,6591,6751,4821,1671,159
Long-Term Deferred Tax Assets
30.723.367.263.563.9
Other Long-Term Assets
0.12.37.415.614.5
Total Assets
14,36714,40813,65012,91011,554
Accounts Payable
2,1712,3052,2992,3722,170
Accrued Expenses
-669.5684.8703.5278.8
Short-Term Debt
691.134.834.9--
Current Portion of Long-Term Debt
-841193.8540832.4
Current Portion of Leases
240.1243.7221.4203.6193.7
Current Income Taxes Payable
-12.133.950.144.6
Current Unearned Revenue
-11.58.48.37.3
Other Current Liabilities
1,051597.7368.6466.6726.6
Total Current Liabilities
4,1544,7163,8454,3444,253
Long-Term Debt
2,9342,3522,6231,7691,291
Long-Term Leases
1,2481,2781,1411,040975.1
Pension & Post-Retirement Benefits
-105.6158.7164.1208.9
Long-Term Deferred Tax Liabilities
309.4295.7295.3232.4229.9
Other Long-Term Liabilities
315.692.255.979.335
Total Liabilities
8,9618,8388,1187,6286,993
Common Stock
5,4061,4911,5041,5171,529
Additional Paid-In Capital
-521.35891,0161,290
Retained Earnings
-3,4333,4482,7171,783
Comprehensive Income & Other
-119.2-9.732.1-41.3
Total Common Equity
5,4065,5645,5315,2824,560
Minority Interest
-5.70.10.10.5
Shareholders' Equity
5,4065,5705,5315,2824,561
Total Liabilities & Equity
14,36714,40813,65012,91011,554
Total Debt
5,1144,7494,2143,5523,292
Net Cash (Debt)
-4,076-3,865-3,301-2,656-2,718
Net Cash Per Share
--12.86-10.93-8.75-8.94
Filing Date Shares Outstanding
-295.39297.91302.86305.1
Total Common Shares Outstanding
-295.39297.91302.86305.1
Working Capital
2,8582,1992,8732,3841,300
Book Value Per Share
-18.8418.5717.4414.95
Tangible Book Value
-161.2-89.3326.8659.9-0.3
Tangible Book Value Per Share
--0.301.102.18-0.00
Land
-174.6175.3170.1178.4
Machinery
-920.7862.8748.9693.2
Updated Jun 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.