Vitrolife AB (publ) (STO:VITR)
Sweden flag Sweden · Delayed Price · Currency is SEK
159.00
+0.90 (0.57%)
May 13, 2025, 5:29 PM CET

Vitrolife AB Balance Sheet

Millions SEK. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
1,0541,135861578630973.57
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Cash & Short-Term Investments
1,0541,135861578630973.57
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Cash Growth
11.30%31.82%48.96%-8.25%-35.29%41.19%
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Accounts Receivable
634648503454391216.49
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Other Receivables
113867988399.8
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Receivables
747734582542430226.3
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Inventory
413422413405313204.03
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Prepaid Expenses
656657473210.55
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Other Current Assets
--1-2-
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Total Current Assets
2,2792,3571,9141,5721,4071,414
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Property, Plant & Equipment
413428349318333142.11
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Long-Term Investments
-----14.66
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Goodwill
9,70110,1219,59113,87412,995403.24
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Other Intangible Assets
4,0504,2094,2534,6034,494265.37
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Long-Term Deferred Tax Assets
136144111102926.36
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Long-Term Deferred Charges
-13361455934.11
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Other Long-Term Assets
535450374924.8
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Total Assets
16,63217,44616,32920,55119,4292,305
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Accounts Payable
14920317118117325.92
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Accrued Expenses
19015111313418676.68
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Current Portion of Long-Term Debt
108115114153429-
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Current Portion of Leases
434533292713.59
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Current Income Taxes Payable
34261927259.56
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Current Unearned Revenue
-6552463526.56
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Other Current Liabilities
8110055517924.7
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Total Current Liabilities
605705557621954177.01
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Long-Term Debt
1,7101,8371,8751,9881,944-
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Long-Term Leases
909267558248.81
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Long-Term Deferred Tax Liabilities
9891,0561,0351,1021,06916.21
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Other Long-Term Liabilities
1116628141225.49
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Total Liabilities
3,5053,8053,6063,8114,088288.08
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Common Stock
282828282822.14
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Additional Paid-In Capital
13,54413,54413,54413,54413,544494.61
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Retained Earnings
-1,504-1,608-1,9932,0001,7301,494
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Comprehensive Income & Other
1,0571,6751,1431,164201.92
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Total Common Equity
13,12513,63912,72216,73615,3222,013
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Minority Interest
2214194.44
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Shareholders' Equity
13,12713,64112,72316,74015,3412,017
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Total Liabilities & Equity
16,63217,44616,32920,55119,4292,305
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Total Debt
1,9512,0892,0892,2252,48262.4
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Net Cash (Debt)
-897-954-1,228-1,647-1,852911.16
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Net Cash Growth
-----48.47%
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Net Cash Per Share
-6.62-7.04-9.07-12.16-16.168.39
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Filing Date Shares Outstanding
135.42135.42135.39135.39135.39108.55
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Total Common Shares Outstanding
135.42135.42135.39135.39135.39108.55
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Working Capital
1,6741,6521,3579514531,237
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Book Value Per Share
96.92100.7193.96123.61113.1718.54
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Tangible Book Value
-626-691-1,122-1,741-2,1671,344
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Tangible Book Value Per Share
-4.62-5.10-8.29-12.86-16.0112.38
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Buildings
-129124-9261.35
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Machinery
-569497-397181.24
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Construction In Progress
-266-150.05
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Updated Jan 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.