iRay Group (SHA:688301)
China flag China · Delayed Price · Currency is CNY
119.79
+4.29 (3.71%)
At close: Jan 23, 2026

iRay Group Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202015 - 2019
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
3,4072,0991,8802,7091,4251,333
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Trading Asset Securities
-113.28270.44665.29835.61,005
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Cash & Short-Term Investments
3,4072,2132,1503,3742,2612,338
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Cash Growth
101.16%2.90%-36.28%49.26%-3.29%1618.87%
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Accounts Receivable
838.45816.96680408.68397.69183.03
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Other Receivables
32.9223.0926.8459.9917.7620.76
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Receivables
871.38840.05706.83468.67415.44203.8
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Inventory
837.92798.28781.84657.68329.62172.99
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Other Current Assets
102.35103.0178.3427.5740.9311.39
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Total Current Assets
5,2183,9543,7174,5283,0472,726
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Property, Plant & Equipment
4,9554,4933,141589.94259.9125.42
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Long-Term Investments
229.5494.51111.1867.06124.277.33
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Goodwill
87.7887.7879.9479.9428.92-
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Other Intangible Assets
237.91221.12175.32173.7819.810.61
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Long-Term Deferred Tax Assets
37.6540.9828.7623.989.095.27
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Long-Term Deferred Charges
137.22150.78137.35154.82.662.09
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Other Long-Term Assets
42541.27120.75201.0245.7218.7
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Total Assets
11,3299,0837,5115,8193,5372,895
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Accounts Payable
505.6178.65231.82200.47134.1274.96
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Accrued Expenses
76.4186.6779.0365.2837.2728.16
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Short-Term Debt
81.21135.14195.66130.6851.5255.11
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Current Portion of Long-Term Debt
27.868.91161.290.54--
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Current Portion of Leases
-14.3822.7917.779.0318.57
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Current Income Taxes Payable
22.4430.8544.9219.3228.54.29
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Current Unearned Revenue
29.8616.7917.925.4279.7516.82
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Other Current Liabilities
603.46428.78613.1663.5236.2837.59
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Total Current Liabilities
1,347900.181,367523.01376.47235.5
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Long-Term Debt
3,5913,2951,6011,176--
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Long-Term Leases
102.27111.83117.06125.928.134.61
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Long-Term Unearned Revenue
207.51112.5351.2753.8750.5210.63
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Long-Term Deferred Tax Liabilities
2.74.5311.6621.6312.150.72
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Other Long-Term Liabilities
7.612.3511.0614.2513.2810.11
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Total Liabilities
5,2584,4373,1581,915460.55261.57
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Common Stock
211.41143.06101.9972.6972.5572.55
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Additional Paid-In Capital
3,3952,3322,2982,2492,1642,149
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Retained Earnings
2,2721,9631,7021,305823.12411.62
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Treasury Stock
-39.83-39.83-19.98---
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Comprehensive Income & Other
238.34239.95248.58250.09-7.740.32
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Total Common Equity
6,0774,6394,3303,8773,0522,634
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Minority Interest
-5.767.7322.626.9824.380.26
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Shareholders' Equity
6,0714,6464,3533,9043,0772,634
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Total Liabilities & Equity
11,3299,0837,5115,8193,5372,895
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Total Debt
3,8023,5652,0981,45168.6878.29
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Net Cash (Debt)
-395.36-1,35352.641,9232,1922,259
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Net Cash Growth
---97.26%-12.27%-2.98%4025.93%
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Net Cash Per Share
-1.90-6.500.269.6411.0113.97
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Filing Date Shares Outstanding
211.17200.04199.72199.47199.07199.07
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Total Common Shares Outstanding
211.17200.04199.72199.47199.07199.07
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Working Capital
3,8723,0542,3514,0052,6702,490
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Book Value Per Share
28.7823.1921.6819.4415.3313.23
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Tangible Book Value
5,7514,3304,0753,6233,0032,623
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Tangible Book Value Per Share
27.2321.6420.4018.1615.0913.18
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Buildings
-561.69209.653.5240.4136.82
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Machinery
-1,069370.17245.83150.01149.2
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Construction In Progress
-2,9302,566257.37118.84-
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Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.