Grupa RECYKL S.A. (WSE:GRC)
Poland flag Poland · Delayed Price · Currency is PLN
68.00
+1.20 (1.80%)
At close: Jun 5, 2026

Grupa RECYKL Balance Sheet

Millions PLN. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Mar '26 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
5.341.476.262.365.073.57
Short-Term Investments
0.010.210.170.140.09-
Cash & Short-Term Investments
5.351.686.432.55.163.57
Cash Growth
219.32%-73.97%157.54%-51.61%44.57%386.67%
Accounts Receivable
28.122.1328.1721.614.3813.05
Other Receivables
4.936.011.761.641.331.17
Receivables
33.0328.1329.9423.2415.7114.22
Inventory
4.894.382.522.953.934.15
Other Current Assets
1.390.590.540.440.37-
Total Current Assets
44.6634.7839.4329.1325.1721.94
Property, Plant & Equipment
172.82158.83146.12144.18107.7899.71
Long-Term Investments
2.271.941.851.070.480.37
Goodwill
6.692.062.422.793.153.51
Other Intangible Assets
5.750.360.240.220.070.11
Long-Term Deferred Tax Assets
0.930.790.81.22.293.47
Long-Term Deferred Charges
-00.010.641.261.89
Other Long-Term Assets
2.4841.812.673.423.15
Total Assets
235.61202.76192.68181.9143.63134.16
Accounts Payable
15.0713.8811.5611.0710.687.3
Accrued Expenses
5.953.873.652.782.181.77
Short-Term Debt
-10.77----
Current Portion of Long-Term Debt
5.466.6113.7310.168.725.94
Current Portion of Leases
-5.5321.8414.488.819.2
Current Income Taxes Payable
5.463.583.072.883.052.46
Current Unearned Revenue
0.10.010.030.310.150.45
Other Current Liabilities
22.273.463.457.812.543.82
Total Current Liabilities
54.347.757.3249.4936.1330.94
Long-Term Debt
54.5637.4525.5735.3225.3329.9
Long-Term Leases
-11.8710.8514.486.998.18
Pension & Post-Retirement Benefits
0.50.440.290.260.20.18
Long-Term Deferred Tax Liabilities
3.073.21.921.611.41.47
Other Long-Term Liabilities
44.8630.7834.3328.2828.7729.58
Total Liabilities
157.29131.44130.28129.4598.81100.25
Common Stock
1.711.71.651.651.651.65
Additional Paid-In Capital
63.7854.6745.6540.2731.726.13
Retained Earnings
8.7210.8611.18.5211.465.13
Comprehensive Income & Other
4.124.142-1
Shareholders' Equity
78.3271.3262.452.4544.8233.91
Total Liabilities & Equity
235.61202.76192.68181.9143.63134.16
Total Debt
60.0272.2271.9874.4449.8553.22
Net Cash (Debt)
-54.67-70.54-65.55-71.94-44.69-49.65
Net Cash Per Share
--41.60-39.68-43.55-27.05-30.05
Filing Date Shares Outstanding
-1.71.651.651.651.65
Total Common Shares Outstanding
-1.71.651.651.651.65
Working Capital
-9.64-12.92-17.89-20.36-10.96-9
Book Value Per Share
-42.0737.7731.7527.1320.53
Tangible Book Value
65.8868.9159.7349.4541.630.28
Tangible Book Value Per Share
-40.6436.1629.9325.1818.33
Land
-8.356.165.523.033.34
Buildings
-63.4459.5455.6951.2350
Machinery
-161.24152.74125.7997.0690.42
Construction In Progress
-6.80.8618.778.760.18