Hangzhou EZVIZ Network Co., Ltd. (SHA:688475)
China flag China · Delayed Price · Currency is CNY
29.57
+0.21 (0.72%)
At close: Apr 17, 2026

Hangzhou EZVIZ Network 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
4,287-3,9584,6644,8061,232
Cash & Short-Term Investments
4,2873,9203,9584,6644,8061,232
Cash Growth
15.07%-0.98%-15.14%-2.95%290.10%21.32%
Accounts Receivable
1,052-1,120888.95718.8767.98
Other Receivables
12.19-44.2927.8610.379.25
Receivables
1,065-1,173925.48738.11785.46
Inventory
968.63-772.13694.78590.351,021
Other Current Assets
83.39-74.47109.5180.8935.57
Total Current Assets
6,404-5,9786,3946,2163,074
Property, Plant & Equipment
2,290-1,9971,425605.87337.02
Other Intangible Assets
216.93-225.03228.6233.5426.82
Long-Term Deferred Tax Assets
159.91-136.67128.9898.8364.18
Long-Term Deferred Charges
0.64-4.135.657.444.82
Other Long-Term Assets
7.61-2.24.523.73205.4
Total Assets
9,078-8,3548,2037,1843,731
Accounts Payable
1,671-1,3561,278897.041,004
Accrued Expenses
172.74-411.07424.15352.14280.2
Short-Term Debt
----200.17350.36
Current Portion of Long-Term Debt
3.1--1.361.26-
Current Portion of Leases
--9.1743.8551.0231.91
Current Income Taxes Payable
78.36-11.9120.0125.6961.75
Current Unearned Revenue
480.69-404.23345.59259.54263.45
Other Current Liabilities
232.05-366.51255.0461.6378.64
Total Current Liabilities
2,638-2,5592,3681,8482,071
Long-Term Debt
--9.75329.09227.81-
Long-Term Leases
0.09-16.1313.9644.151.92
Long-Term Unearned Revenue
212.51-259.79214.42194.29190.53
Long-Term Deferred Tax Liabilities
-----0.82
Other Long-Term Liabilities
254.98-15.512.437.858.22
Total Liabilities
3,106-2,8602,9382,3232,322
Common Stock
787.5-787.5562.5562.5450
Additional Paid-In Capital
3,130-3,1293,3473,336325.12
Retained Earnings
2,055-1,5821,359964.85629.95
Comprehensive Income & Other
-0.63--4.66-3.13-2.64.08
Shareholders' Equity
5,9725,6435,4935,2654,8611,409
Total Liabilities & Equity
9,078-8,3548,2037,1843,731
Total Debt
3.1915.235.05388.25524.35434.19
Net Cash (Debt)
4,2843,9043,9234,2764,282797.9
Net Cash Growth
16.08%-0.48%-8.25%-0.14%436.66%-20.81%
Net Cash Per Share
5.404.964.985.476.791.26
Filing Date Shares Outstanding
794.12801.4787.5787.5787.5630
Total Common Shares Outstanding
794.12787.5787.5787.5787.5630
Working Capital
3,765-3,4194,0264,3671,004
Book Value Per Share
7.527.176.986.696.172.24
Tangible Book Value
5,7555,4235,2685,0364,6271,382
Tangible Book Value Per Share
7.256.896.696.405.882.19
Buildings
--659.45---
Machinery
--368.99297247.68207.7
Construction In Progress
--1,1501,218367.89107.01
Source: S&P Global Market Intelligence. Standard template. Financial Sources.