Grupa RECYKL S.A. (WSE:GRC)
Poland flag Poland · Delayed Price · Currency is PLN
65.60
+1.20 (1.86%)
At close: Jul 17, 2026

Grupa RECYKL Balance Sheet

Millions PLN. 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
5.347.931.476.262.365.07
Short-Term Investments
0.020.150.420.350.280.19
Cash & Short-Term Investments
5.368.081.886.612.645.26
Cash Growth
-2.74%329.08%-71.50%150.40%-49.80%47.20%
Accounts Receivable
28.125.2222.1328.1721.614.38
Other Receivables
4.063.716.011.761.641.33
Total Trade Receivables
32.1628.9328.1329.9423.2415.71
Inventory
4.894.394.382.522.953.93
Other Current Assets
2.260.70.590.540.440.37
Total Current Assets
44.6642.0234.7839.4329.1325.17
Net Property, Plant & Equipment
173.13174.56161.06146.15144.46108.85
Other Intangible Assets
6.036.460.360.260.861.33
Goodwill
6.696.572.062.422.793.15
Long-Term Investments
3.984.013.613.513.262.68
Other Long-Term Assets
1.121.120.890.921.412.46
Total Assets
235.61234.74202.76192.69181.9143.63
Accounts Payable
15.0715.5913.8811.5611.0710.68
Accrued Expenses
10.49.417.636.895.775.33
Current Portion of Long-Term Debt
5.467.36.6113.7310.168.72
Current Portion of Leases
20.2619.1216.2921.8414.488.81
Unearned Revenue
0.10.090.010.030.16-
Other Current Liabilities
32.091.693.287.852.59
Total Current Liabilities
54.353.6146.1157.3249.4936.13
Long-Term Debt
56.3254.1237.525.8236.125.38
Long-Term Leases
13.9113.2311.8710.8514.486.99
Other Long-Term Liabilities
32.761111.636.329.3830.32
Total Long-Term Liabilities
102.9978.3560.9772.9679.9662.69
Total Liabilities
157.29155.48131.44130.28129.4598.81
Common Stock
1.711.71.71.651.651.65
Additional Paid-in Capital
67.8868.1658.7749.6542.2731.7
Accumulated Other Comprehensive Income
0.02-0----
Retained Earnings
8.729.3910.8611.18.5211.46
Shareholders' Equity
78.3279.2571.3262.452.4544.82
Total Liabilities & Equity
235.61234.74202.76192.69181.9143.63
Total Debt
95.9693.7772.2772.2375.2149.9
Net Cash (Debt)
-90.6-85.69-70.39-65.62-72.57-44.64
Net Cash Per Share
-53.29-50.32-41.51-39.72-43.93-27.02
Book Value
78.3279.2571.3262.452.4544.82
Book Value Per Share
46.0746.5442.0737.7731.7527.13
Tangible Book Value
65.666.2368.959.7248.8140.34
Tangible Book Value Per Share
38.5938.8940.6436.1529.5424.42