Cordlife Group Limited (SGX:P8A)
Singapore flag Singapore · Delayed Price · Currency is SGD
0.2000
0.00 (0.00%)
Last updated: Aug 13, 2025

Cordlife Group Balance Sheet

Millions SGD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
10.7411.518.4213.3815.4625.94
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Short-Term Investments
41.2448.346.3751.3334.0821.14
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Trading Asset Securities
-1.341.231.2615.4115.33
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Cash & Short-Term Investments
51.9861.1466.0265.9764.9562.41
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Cash Growth
-12.69%-7.40%0.08%1.57%4.07%59.04%
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Accounts Receivable
25.4925.1622.6725.4823.9623.39
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Other Receivables
4.944.663.213.17.033.66
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Receivables
30.4329.8325.8928.573127.05
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Inventory
0.950.920.81.361.431.66
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Prepaid Expenses
2.262.862.222.312.162.58
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Other Current Assets
0.310.368.919.550.2910.19
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Total Current Assets
85.9395.1103.83107.7699.82103.89
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Property, Plant & Equipment
15.9617.0416.2714.4216.416.43
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Long-Term Investments
13.629.9910.896.2615.194.01
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Goodwill
-27.3726.2426.9927.6227.41
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Other Intangible Assets
28.012.433.073.463.924.56
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Long-Term Accounts Receivable
57.0858.4262.5663.666.5768.25
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Long-Term Deferred Tax Assets
1.771.750.860.890.671.14
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Other Long-Term Assets
5.025.044.754.623.517.53
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Total Assets
207.39217.14228.46228233.71233.22
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Accounts Payable
15.433.834.033.692.894.65
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Accrued Expenses
-3.13.352.914.935.21
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Current Portion of Long-Term Debt
-----0.31
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Current Portion of Leases
1.071.891.811.22.121.58
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Current Income Taxes Payable
0.360.090.50.71.672.47
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Current Unearned Revenue
10.5810.468.859.049.037.79
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Other Current Liabilities
-9.565.783.353.64.4
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Total Current Liabilities
27.4428.9324.3320.8924.2426.4
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Long-Term Debt
-----3.68
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Long-Term Leases
0.710.531.691.020.842.09
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Long-Term Unearned Revenue
62.6664.4262.0567.2867.1162.66
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Long-Term Deferred Tax Liabilities
3.723.793.733.964.174.63
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Other Long-Term Liabilities
111.010.520.660.54
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Total Liabilities
95.5398.6892.8193.6797.0299.99
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Common Stock
94.4794.4794.4794.6995.1695.65
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Retained Earnings
52.0356.6375.5171.9969.4165.57
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Treasury Stock
-12.19-12.19-12.19-12.55-13.29-14.07
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Comprehensive Income & Other
-22.69-20.7-22.45-20.06-14.85-14.05
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Total Common Equity
111.61118.21135.33134.06136.43133.1
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Minority Interest
0.250.250.320.270.260.13
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Shareholders' Equity
111.86118.46135.65134.33136.69133.22
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Total Liabilities & Equity
207.39217.14228.46228233.71233.22
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Total Debt
1.782.433.512.222.977.65
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Net Cash (Debt)
50.2158.7162.5263.7561.9854.75
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Net Cash Growth
-11.33%-6.08%-1.94%2.86%13.20%68.73%
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Net Cash Per Share
0.200.230.240.250.240.21
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Filing Date Shares Outstanding
255.78256.31256.31255.98255.3254.58
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Total Common Shares Outstanding
255.78256.31256.31255.98255.3254.58
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Working Capital
58.566.1779.586.8775.5877.48
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Book Value Per Share
0.440.460.530.520.530.52
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Tangible Book Value
83.688.41106.03103.62104.89101.12
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Tangible Book Value Per Share
0.330.340.410.400.410.40
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Buildings
-17.7619.9417.1218.4617.29
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Machinery
-18.5717.0916.1916.4415.77
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Construction In Progress
-0.550.180.180.50.21
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Leasehold Improvements
-6.245.545.0254.92
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.