Baidu, Inc. (SGX:HBUD)
Singapore flag Singapore · Delayed Price · Currency is SGD
2.010
0.00 (0.00%)
At close: Feb 27, 2026

Baidu Balance Sheet

Millions CNY. 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
24,60624,83225,23153,15636,850
Short-Term Investments
90,661102,911169,056121,218143,617
Cash & Short-Term Investments
115,267127,743194,287174,374180,467
Cash Growth
-9.77%-34.25%11.42%-3.38%10.97%
Accounts Receivable
13,73314,28016,62021,13514,829
Receivables
13,73314,28016,62021,13514,829
Inventory
-5,9891,3961,2271,477
Prepaid Expenses
-570728582615
Restricted Cash
22511,69711,50311,33010,821
Other Current Assets
22,7458,5705,7214,2025,106
Total Current Assets
151,970168,849230,255212,850213,315
Property, Plant & Equipment
34,89141,00038,81134,33835,092
Long-Term Investments
168,780140,25672,62378,92667,332
Goodwill
36,78322,58622,58622,47722,605
Other Intangible Assets
9,8547,7027,8488,0958,947
Long-Term Deferred Tax Assets
4,5822,1932,1002,1292,372
Long-Term Deferred Charges
14,57514,69513,37713,00210,951
Other Long-Term Assets
27,72230,49919,15919,15619,420
Total Assets
449,157427,780406,759390,973380,034
Accounts Payable
38,8913,5531,9711,9601,307
Accrued Expenses
-15,33316,17115,15617,167
Short-Term Debt
7,62610,66910,2575,3434,168
Current Portion of Long-Term Debt
20,7848,4368,83315,20910,507
Current Portion of Leases
3,4573,3033,1082,8092,862
Current Income Taxes Payable
-3,5272,6873,6404,430
Current Unearned Revenue
13,58215,30814,93313,18813,803
Other Current Liabilities
1,98820,82418,49122,32520,244
Total Current Liabilities
86,32880,95376,45179,63074,488
Long-Term Debt
61,10251,94357,35763,18368,401
Long-Term Leases
4,1084,9735,0404,8105,569
Long-Term Unearned Revenue
921816681490352
Long-Term Deferred Tax Liabilities
4,9853,8702,7252,8983,286
Other Long-Term Liabilities
1,9871,6131,8972,1573,986
Total Liabilities
159,431144,168144,151153,168156,082
Common Stock
266,330----
Additional Paid-In Capital
-91,58687,09979,85573,888
Retained Earnings
-180,073161,240148,341145,160
Treasury Stock
--6,236-3,818-5,264-7,581
Comprehensive Income & Other
--1,803-895546-8
Total Common Equity
266,330263,620243,626223,478211,459
Minority Interest
23,39619,99218,98214,32712,493
Shareholders' Equity
289,726283,612262,608237,805223,952
Total Liabilities & Equity
449,157427,780406,759390,973380,034
Total Debt
97,07779,32484,59591,35491,507
Net Cash (Debt)
18,19048,419109,69283,02088,960
Net Cash Growth
-62.43%-55.86%32.13%-6.68%11.16%
Net Cash Per Share
53.03138.44309.32236.44252.91
Filing Date Shares Outstanding
340.12345.45350.65349.57345.54
Total Common Shares Outstanding
340.12345.45350.65349.57345.54
Working Capital
65,64287,896153,804133,220138,827
Book Value Per Share
783.04763.13694.79639.29611.96
Tangible Book Value
219,693233,332213,192192,906179,907
Tangible Book Value Per Share
645.92675.45607.99551.83520.65
Buildings
-5,3095,1465,1254,915
Machinery
-58,37853,67146,15942,422
Construction In Progress
-621285291688
Leasehold Improvements
-549540490496
Source: S&P Global Market Intelligence. Standard template. Financial Sources.