Safran SA (SAFRY)
OTCMKTS · Delayed Price · Currency is USD
90.92
+2.16 (2.43%)
Feb 6, 2026, 3:06 PM EST

Safran Balance Sheet

Millions EUR. 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
6,7076,5146,6766,6875,2473,747
Short-Term Investments
28455---
Cash & Short-Term Investments
6,9916,5196,6816,6875,2473,747
Cash Growth
18.01%-2.43%-0.09%27.44%40.03%35.03%
Accounts Receivable
14,3649,7598,9927,9816,6856,070
Other Receivables
7063,6803,0041,1601,3321,141
Receivables
15,23013,57712,0949,1418,0177,211
Inventory
10,3299,4917,9036,4085,0635,190
Prepaid Expenses
---13110590
Other Current Assets
2,4231,9362,4972,6302,1511,950
Total Current Assets
34,97331,52329,17524,99720,58318,188
Property, Plant & Equipment
5,5085,2824,7034,4134,5434,678
Long-Term Investments
2,3442,6922,7261,9921,9922,448
Goodwill
4,8644,9374,7064,9945,0685,060
Other Intangible Assets
3,9053,9773,9074,1734,5004,797
Long-Term Deferred Tax Assets
2632,3491,1221,576449316
Long-Term Deferred Charges
3,9153,9703,9233,9233,8823,879
Other Long-Term Assets
239196129760699167
Total Assets
56,09155,01250,46846,82841,71639,533
Accounts Payable
10,6374,9434,2883,1082,3502,121
Accrued Expenses
---1,7771,4231,384
Short-Term Debt
1,1835655876257701,538
Current Portion of Long-Term Debt
1,126298910546853857
Current Portion of Leases
11812511110697114
Current Income Taxes Payable
755105104105109118
Current Unearned Revenue
18,03116,42115,02914,02411,17910,532
Other Current Liabilities
5,62214,9839,7487,1853,0472,362
Total Current Liabilities
37,47237,44030,77727,47619,82819,026
Long-Term Debt
2,1133,5604,5225,2174,9174,032
Long-Term Leases
577530469481512494
Long-Term Deferred Tax Liabilities
1689111,0221,1641,2751,299
Other Long-Term Liabilities
1,9831,8461,5901,6241,9141,892
Total Liabilities
42,31344,28738,38035,96228,44626,743
Common Stock
858585858585
Additional Paid-In Capital
3,9383,9384,6884,6884,6884,688
Retained Earnings
5,045-6673,444-2,45943352
Treasury Stock
-1,029-1,155-1,848-310-50-36
Comprehensive Income & Other
5,1837,9755,2088,4078,0757,300
Total Common Equity
13,22210,17611,57710,41112,84112,389
Minority Interest
556549511455429401
Shareholders' Equity
13,77810,72512,08810,86613,27012,790
Total Liabilities & Equity
56,09155,01250,46846,82841,71639,533
Total Debt
5,1175,0786,5996,9757,1497,035
Net Cash (Debt)
1,8741,44182-288-1,902-3,288
Net Cash Growth
127.15%1657.32%----
Net Cash Per Share
4.543.460.19-0.67-4.32-7.46
Filing Date Shares Outstanding
419.14416.78413.53424.56426.79426.92
Total Common Shares Outstanding
419.14416.78413.53424.56426.79426.92
Working Capital
-2,499-5,917-1,602-2,479755-838
Book Value Per Share
31.5524.4228.0024.5230.0929.02
Tangible Book Value
4,4531,2622,9641,2443,2732,532
Tangible Book Value Per Share
10.623.037.172.937.675.93
Land
229231230223225226
Buildings
2,6442,6112,4882,4082,3032,128
Machinery
840815751691713685
Construction In Progress
1,2111,032766565510551
Updated Jun 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.