Calliditas Therapeutics AB (publ) (CALT)
NASDAQ: CALT · IEX Real-Time Price · USD
18.50
+0.10 (0.54%)
Apr 24, 2024, 11:24 AM EDT - Market closed

CALT Balance Sheet

Millions SEK. Fiscal year is Jan - Dec.
Year 202320222021202020192018
Cash & Equivalents
973.731,249955.51996.3753.54646.18
Cash & Cash Equivalents
973.731,249955.51996.3753.54646.18
Cash Growth
-22.04%30.73%-4.09%32.22%16.62%-
Receivables
180.8978.70046.590
Inventory
20.433.650.89000
Other Current Assets
100.180.7656.3840.5521.011.79
Total Current Assets
1,2751,4121,0131,037821.13647.97
Property, Plant & Equipment
54.2431.9239.615.416.060.11
Long-Term Investments
24.211.213.922.231.940.34
Goodwill and Intangibles
479.34483.84399.42418.8316.070
Other Long-Term Assets
26.3213.84.20.600
Total Long-Term Assets
584.09540.77447.14427.0624.070.45
Total Assets
1,8591,9531,4601,464845.2648.42
Accounts Payable
100.56160.467.9753.8324.3822.64
Other Current Liabilities
306.58164.8367.4851.7928.997.6
Total Current Liabilities
407.14325.23135.45105.6253.3730.24
Long-Term Debt
966.6728.82213.220.8800
Other Long-Term Liabilities
150.7132.66102.97101.113.760
Total Long-Term Liabilities
1,117861.48316.18101.993.760
Total Liabilities
1,5241,187451.63207.6157.1330.24
Total Debt
966.6728.82213.220.8800
Debt Growth
32.62%241.82%24184.28%---
Retained Earnings
-2,305.57-1,836.32-1,426.57-918.6-488.1-455.52
Shareholders' Equity
334.81766.261,0081,210788.07618.18
Net Cash / Debt
7.14520.27742.29995.43753.54646.18
Net Cash / Debt Growth
-98.63%-29.91%-25.43%32.10%16.62%-
Working Capital
868.011,087877.33931.23767.76617.73
Book Value Per Share
11.2425.9340.3852.2934.05-
Source: Financials are provided by Nasdaq Data Link and sourced from audited reports submitted to the Securities and Exchange Commission (SEC).