SIG Group AG (VIE:SIGN)
Austria flag Austria · Delayed Price · Currency is EUR
13.34
-0.30 (-2.20%)
At close: Mar 4, 2026

SIG Group AG Balance Sheet

Millions EUR. 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
354.3303.4280.9503.8304.5
Cash & Short-Term Investments
354.3303.4280.9503.8304.5
Cash Growth
16.78%8.01%-44.24%65.45%-14.25%
Accounts Receivable
314.4384320.4331.6197.4
Other Receivables
140.4130.1107.6146.786.9
Receivables
463.4514.1428.7478.3284.3
Inventory
369.5376.7384.4402.7194.5
Other Current Assets
34.947.323.426.840.4
Total Current Assets
1,2221,2421,1171,412823.7
Property, Plant & Equipment
1,9612,1962,0631,9111,445
Long-Term Investments
10.70.40.60.6
Goodwill
3,0353,1853,1273,1862,128
Other Intangible Assets
557.5776.8927.11,060792.4
Long-Term Deferred Tax Assets
66.968.760.66046
Other Long-Term Assets
227.9220.2237169.3258.3
Total Assets
7,0717,6897,5337,7995,494
Accounts Payable
342.8381.1363.1406.6218.4
Accrued Expenses
521.3545.9441.1456.4377.4
Short-Term Debt
--212.1--
Current Portion of Long-Term Debt
115.9724.7-449.3-
Current Portion of Leases
46.55252.339.929.4
Current Income Taxes Payable
35.750.349.346.342.1
Current Unearned Revenue
98112.4164.9150.8106.8
Other Current Liabilities
258.7266.1231.1226.7127
Total Current Liabilities
1,4192,1331,5141,776901.1
Long-Term Debt
2,0671,4251,9891,9951,540
Long-Term Leases
263.6269.8198.8191153
Long-Term Unearned Revenue
353.1360284.4264.8268.2
Pension & Post-Retirement Benefits
97.6104.2110.4104.6129
Long-Term Deferred Tax Liabilities
170.1223244.2261.3147.4
Other Long-Term Liabilities
43.84395.1151.727.1
Total Liabilities
4,4144,5574,4354,7443,166
Common Stock
3.43.43.43.43
Additional Paid-In Capital
2,2982,4992,6852,8692,140
Retained Earnings
683.5753.5559.3263.7307.6
Treasury Stock
-1.6-1-1.5-1.3-0.1
Comprehensive Income & Other
-325.2-122.4-149-79.2-122.3
Shareholders' Equity
2,6583,1323,0973,0552,328
Total Liabilities & Equity
7,0717,6897,5337,7995,494
Total Debt
2,4932,4712,4522,6751,723
Net Cash (Debt)
-2,138-2,168-2,171-2,171-1,418
Net Cash Per Share
-5.59-5.67-5.68-5.95-4.22
Filing Date Shares Outstanding
382.1382.23382.23382.25337.52
Total Common Shares Outstanding
382.1382.23382.23382.25337.52
Working Capital
-196.8-891-396.5-364.4-77.4
Book Value Per Share
6.968.198.107.996.90
Tangible Book Value
-934.7-830-957.3-1,191-592.3
Tangible Book Value Per Share
-2.45-2.17-2.50-3.12-1.75
Land
95.6104.9106.911236.4
Buildings
289.2291.2285.3265.2174.7
Machinery
1,2651,2321,069920.5750.1
Construction In Progress
273.2299.2366364.2241
Source: S&P Global Market Intelligence. Standard template. Financial Sources.