Krynica Vitamin S.A. (WSE:KVT)
Poland flag Poland · Delayed Price · Currency is PLN
11.90
-0.50 (-4.03%)
Apr 13, 2026, 4:34 PM CET

Krynica Vitamin Balance Sheet

Millions PLN. 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
0.260.192.460.772.08
Short-Term Investments
0.050.070.110.10.07
Cash & Short-Term Investments
0.310.262.570.872.15
Cash Growth
17.18%-89.79%194.27%-59.38%-66.03%
Accounts Receivable
32.7246.4240.9343.4749.94
Other Receivables
4.845.376.385.544.07
Receivables
37.5651.7947.3149.0154.01
Inventory
29.1239.7341.2842.0332.99
Restricted Cash
-0.020.01--
Other Current Assets
-1.911.921.331.37
Total Current Assets
66.9993.7293.0993.2590.52
Property, Plant & Equipment
115.06124.53129.6132.6127.6
Other Intangible Assets
3.913.31.51.031.24
Long-Term Deferred Tax Assets
2.352.782.914.354.68
Long-Term Deferred Charges
--0.511.55
Other Long-Term Assets
0--0.831.72
Total Assets
188.31224.33227.6233.06227.3
Accounts Payable
33.6356.4665.3558.6472.23
Accrued Expenses
62.232.062.061.91
Short-Term Debt
--3.926.562.61
Current Portion of Long-Term Debt
12.2528.3934.7231.8424.06
Current Portion of Leases
3.653.893.553.33
Current Income Taxes Payable
2.42.3---
Current Unearned Revenue
7.857.865.442.484.37
Other Current Liabilities
1.697.932.641.341.31
Total Current Liabilities
67.47109.05117.67106.23109.48
Long-Term Debt
10.6110.0814.6218.2120.25
Long-Term Leases
-6.928.7110.9411.78
Long-Term Unearned Revenue
-2.252.282.782.87
Pension & Post-Retirement Benefits
0.260.20.170.140.12
Long-Term Deferred Tax Liabilities
1.921.82.343.844.95
Other Long-Term Liabilities
5.38---0
Total Liabilities
85.65130.3145.8142.13149.45
Common Stock
18.3818.3818.3818.3818.38
Additional Paid-In Capital
72.3363.4270.159.4770.99
Retained Earnings
11.9512.23-6.6813.08-11.52
Comprehensive Income & Other
--0---
Shareholders' Equity
102.6694.0381.890.9377.85
Total Liabilities & Equity
188.31224.33227.6233.06227.3
Total Debt
26.5249.2865.5270.8561.7
Net Cash (Debt)
-26.21-49.02-62.95-69.98-59.56
Net Cash Per Share
--4.00-5.14-5.71-4.86
Filing Date Shares Outstanding
-12.2512.2512.2512.25
Total Common Shares Outstanding
-12.2512.2512.2512.25
Working Capital
-0.48-15.33-24.58-12.99-18.96
Book Value Per Share
-7.676.687.426.36
Tangible Book Value
98.7590.7380.389.976.61
Tangible Book Value Per Share
-7.416.557.346.25
Land
-2.072.022.022.02
Buildings
-74.0973.2769.5965.33
Machinery
-132.14122.27119.09109.23
Construction In Progress
-4.067.4410.959.35
Source: S&P Global Market Intelligence. Standard template. Financial Sources.