iRay Group (SHA:688301)
China flag China · Delayed Price · Currency is CNY
116.10
-1.98 (-1.68%)
May 8, 2026, 3:00 PM CST

iRay Group Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
3,1113,2562,0991,8802,7091,425
Trading Asset Securities
702.77400.76113.28270.44665.29835.6
Cash & Short-Term Investments
3,8143,6572,2132,1503,3742,261
Cash Growth
83.04%65.28%2.90%-36.28%49.26%-3.29%
Accounts Receivable
966.63872.48816.96680408.68397.69
Other Receivables
59.5625.423.0926.8459.9917.76
Receivables
1,026897.89840.05706.83468.67415.44
Inventory
917.93822.29798.28781.84657.68329.62
Prepaid Expenses
-0.32----
Other Current Assets
150.68104.68103.0178.3427.5740.93
Total Current Assets
5,9095,4823,9543,7174,5283,047
Property, Plant & Equipment
6,4586,4074,4933,141589.94259.9
Long-Term Investments
295.66295.6594.51111.1867.06124.27
Goodwill
87.7887.7887.7879.9479.9428.92
Other Intangible Assets
292.72297.55221.12175.32173.7819.8
Long-Term Deferred Tax Assets
78.6669.3840.9828.7623.989.09
Long-Term Deferred Charges
139.41144.52150.78137.35154.82.66
Other Long-Term Assets
33.7234.7841.27120.75201.0245.72
Total Assets
13,29512,8199,0837,5115,8193,537
Accounts Payable
617.59234.94178.65231.82200.47134.12
Accrued Expenses
91.42102.1386.6779.0365.2837.27
Short-Term Debt
230.72336.16135.14195.66130.6851.52
Current Portion of Long-Term Debt
30.65144.28.91161.290.54-
Current Portion of Leases
-20.4314.3822.7917.779.03
Current Income Taxes Payable
43.9224.2930.8544.9219.3228.5
Current Unearned Revenue
21.6227.4616.7917.925.4279.75
Other Current Liabilities
586.461,217428.78613.1663.5236.28
Total Current Liabilities
1,6222,107900.181,367523.01376.47
Long-Term Debt
4,4103,7163,2951,6011,176-
Long-Term Leases
88.6685.44111.83117.06125.928.13
Long-Term Unearned Revenue
214.67226.84112.5351.2753.8750.52
Long-Term Deferred Tax Liabilities
2.572.424.5311.6621.6312.15
Other Long-Term Liabilities
11.8613.0912.3511.0614.2513.28
Total Liabilities
6,3516,1514,4373,1581,915460.55
Common Stock
211.45211.45143.06101.9972.6972.55
Additional Paid-In Capital
3,4003,4222,3322,2982,2492,164
Retained Earnings
2,6492,4701,9631,7021,305823.12
Treasury Stock
-11.39-134.92-39.83-19.98--
Comprehensive Income & Other
225.28233.7239.95248.58250.09-7.74
Total Common Equity
6,4746,2024,6394,3303,8773,052
Minority Interest
469.72466.077.7322.626.9824.38
Shareholders' Equity
6,9446,6684,6464,3533,9043,077
Total Liabilities & Equity
13,29512,8199,0837,5115,8193,537
Total Debt
4,7604,3023,5652,0981,45168.68
Net Cash (Debt)
-946.53-645.38-1,35352.641,9232,192
Net Cash Growth
----97.26%-12.27%-2.98%
Net Cash Per Share
-4.42-3.07-6.630.269.6411.01
Filing Date Shares Outstanding
212.8211.36200.04199.72199.47199.07
Total Common Shares Outstanding
212.8210.51200.04199.72199.47199.07
Working Capital
4,2863,3753,0542,3514,0052,670
Book Value Per Share
30.4229.4623.1921.6819.4415.33
Tangible Book Value
6,0945,8174,3304,0753,6233,003
Tangible Book Value Per Share
28.6427.6321.6420.4018.1615.09
Buildings
---209.653.5240.41
Machinery
-4,0401,069370.17245.83150.01
Construction In Progress
-1,4882,9302,566257.37118.84
Source: S&P Global Market Intelligence. Standard template. Financial Sources.