TextMagic AS (TAL:MAGIC)
Estonia flag Estonia · Delayed Price · Currency is EUR
2.200
+0.050 (2.33%)
At close: Aug 15, 2025

TextMagic AS Balance Sheet

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
4.063.433.99.156.04
Short-Term Investments
--2.5--
Cash & Short-Term Investments
4.063.436.49.156.04
Cash Growth
-47.47%-46.38%-30.02%51.53%-
Receivables
0.020.020.0200.08
Prepaid Expenses
0.180.170.230.130.13
Total Current Assets
4.263.626.669.286.24
Property, Plant & Equipment
0.480.580.110.190.08
Goodwill
0.260.260.260.210.21
Other Intangible Assets
31.6932.7232.5951.7350.95
Other Long-Term Assets
--0.010.01-
Total Assets
36.6937.1739.6161.4157.48
Accounts Payable
0.220.450.320.60.94
Accrued Expenses
0.850.851.591.130.15
Current Portion of Leases
0.120.11---
Current Income Taxes Payable
0.220.270.230.10.21
Current Unearned Revenue
1.511.671.661.551.46
Other Current Liabilities
---2.55-
Total Current Liabilities
2.913.343.85.932.76
Long-Term Leases
0.250.31---
Total Liabilities
3.163.653.85.932.76
Common Stock
0.860.850.850.850.85
Additional Paid-In Capital
0.140.1451.2451.2453.79
Retained Earnings
4.383.53-18.381.78-0.09
Comprehensive Income & Other
28.14292.11.610.17
Shareholders' Equity
33.5333.5235.8255.4954.72
Total Liabilities & Equity
36.6937.1739.6161.4157.48
Total Debt
0.370.42---
Net Cash (Debt)
3.73.026.49.156.04
Net Cash Growth
-52.19%-52.88%-30.02%51.53%-
Net Cash Per Share
0.430.350.751.080.71
Filing Date Shares Outstanding
8.618.58.58.58.5
Total Common Shares Outstanding
8.618.58.58.58.5
Working Capital
1.360.282.863.353.48
Book Value Per Share
3.893.944.216.536.44
Tangible Book Value
1.590.552.973.553.56
Tangible Book Value Per Share
0.180.060.350.420.42
Machinery
0.160.220.210.240.06
Updated Aug 13, 2024. Source: S&P Global Market Intelligence. Standard template. Financial Sources.