SFD S.A. (WSE:SFD)
Poland flag Poland · Delayed Price · Currency is PLN
2.650
-0.030 (-1.12%)
At close: Jun 5, 2026

SFD S.A. 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
5.362.23.857.353.562.12
Short-Term Investments
0.310.31--0.01-
Cash & Short-Term Investments
5.672.513.857.353.572.12
Cash Growth
7.89%-34.74%-47.68%106.08%68.48%263.75%
Accounts Receivable
21.1615.9713.3411.810.4710.29
Other Receivables
5.733.421.755.684.162.03
Receivables
26.8819.415.0917.4814.6312.32
Inventory
79.4776.4960.1547.2767.7338.25
Restricted Cash
-0.151.1900.050.14
Other Current Assets
-1.040.721.040.620.38
Total Current Assets
112.0399.5980.9873.1486.5853.2
Property, Plant & Equipment
19.1517.117.069.378.667.42
Long-Term Investments
1.161.161.361.480.810.74
Goodwill
1.681.772.142.52.863.22
Other Intangible Assets
1.681.531.992.292.652.59
Long-Term Deferred Tax Assets
0.590.470.370.410.640.4
Other Long-Term Assets
0.150.15-0.31.21.2
Total Assets
136.43121.7893.989.49103.3968.76
Accounts Payable
40.2328.2625.5919.8122.7813.98
Accrued Expenses
7.083.162.952.572.551.99
Short-Term Debt
-----6.58
Current Portion of Long-Term Debt
23.4623.2316.6915.817.78-
Current Portion of Leases
-1.211.531.81.861.84
Current Income Taxes Payable
-2.692.213.832.123.71
Current Unearned Revenue
-0.390.440.170.120.08
Other Current Liabilities
3.0912.190.760.390.330.97
Total Current Liabilities
73.8671.1450.1644.3747.5529.15
Long-Term Debt
6.06---5.94-
Long-Term Leases
-1.131.682.542.622.24
Long-Term Deferred Tax Liabilities
0.090.030.030.040.010.01
Other Long-Term Liabilities
1.34-----
Total Liabilities
81.3672.2951.8746.9656.1231.39
Common Stock
4.44.44.44.44.44.4
Additional Paid-In Capital
37.6237.6237.6837.5830.3223.71
Retained Earnings
9.446.26-0.060.5412.549.26
Total Common Equity
51.4748.2942.0342.5347.2737.37
Minority Interest
3.61.2----
Shareholders' Equity
55.0749.4942.0342.5347.2737.37
Total Liabilities & Equity
136.43121.7893.989.49103.3968.76
Total Debt
29.5325.5719.920.1528.210.65
Net Cash (Debt)
-23.86-23.06-16.05-12.79-24.63-8.54
Net Cash Per Share
--0.52-0.36-0.29-0.56-0.19
Filing Date Shares Outstanding
-44.0444.0444.0444.0444.04
Total Common Shares Outstanding
-44.0444.0444.0444.0444.04
Working Capital
38.1728.4530.8228.7639.0324.06
Book Value Per Share
-1.100.950.971.070.85
Tangible Book Value
48.1144.9837.9137.7441.7631.57
Tangible Book Value Per Share
-1.020.860.860.950.72
Buildings
--3.213.422.762.23
Machinery
--10.7212.0610.148.14
Construction In Progress
--0.110.050.660.51