Crossject Société Anonyme (FRA:74C)
2.170
+0.075 (3.58%)
At close: Dec 5, 2025
Crossject Société Anonyme Balance Sheet
Financials in millions EUR. Fiscal year is January - December.
Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year | TTM | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 | 2019 - 2015 |
|---|---|---|---|---|---|---|---|
Period Ending | Jun '25 Jun 30, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 | Dec '20 Dec 31, 2020 | 2019 - 2015 |
| Cash & Equivalents | 6.34 | 7.04 | 2.3 | 7.77 | 9.83 | 8.13 | Upgrade
|
| Short-Term Investments | - | - | - | - | 0.15 | 0.14 | Upgrade
|
| Cash & Short-Term Investments | 6.34 | 7.04 | 2.3 | 7.77 | 9.98 | 8.28 | Upgrade
|
| Cash Growth | 6.49% | 205.38% | -70.35% | -22.18% | 20.62% | 4.70% | Upgrade
|
| Accounts Receivable | 2.19 | 4.3 | 4.78 | 3.52 | 1.96 | - | Upgrade
|
| Other Receivables | 2.61 | - | - | - | - | 8.09 | Upgrade
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| Receivables | 4.79 | 4.3 | 4.78 | 3.52 | 1.96 | 8.09 | Upgrade
|
| Inventory | 3.2 | 3.42 | 3.13 | 2 | 1.37 | 1.53 | Upgrade
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| Prepaid Expenses | 0.26 | 1.13 | 0.46 | 0.18 | 0.18 | 0.16 | Upgrade
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| Other Current Assets | 1.11 | - | - | 0.36 | 0.92 | 0.27 | Upgrade
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| Total Current Assets | 15.7 | 15.88 | 10.68 | 13.83 | 14.41 | 18.31 | Upgrade
|
| Property, Plant & Equipment | 5.78 | 5.05 | 5.69 | 7.67 | 7.15 | 6.76 | Upgrade
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| Long-Term Investments | 0.08 | - | - | - | - | 0.11 | Upgrade
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| Other Intangible Assets | 0 | 0.01 | - | - | 0.02 | 0.01 | Upgrade
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| Long-Term Deferred Charges | 8.91 | 9.59 | 10.73 | 10.69 | 9.12 | 7.9 | Upgrade
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| Other Long-Term Assets | 0.91 | 1.04 | 1.54 | 0.67 | 0.83 | 0.51 | Upgrade
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| Total Assets | 31.38 | 31.57 | 28.64 | 32.86 | 31.53 | 33.59 | Upgrade
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| Accounts Payable | 4.25 | 4.55 | 4.32 | 3.52 | 1.96 | 2.36 | Upgrade
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| Accrued Expenses | - | - | - | 1.83 | - | 1.4 | Upgrade
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| Current Portion of Long-Term Debt | 3.29 | 3.32 | - | - | - | - | Upgrade
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| Current Income Taxes Payable | 1.56 | 1.7 | 2.15 | - | 1.12 | 0.08 | Upgrade
|
| Other Current Liabilities | - | - | - | 0.01 | 2.31 | 3.22 | Upgrade
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| Total Current Liabilities | 9.09 | 9.57 | 6.47 | 5.36 | 5.39 | 7.05 | Upgrade
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| Long-Term Debt | 16.99 | 17.75 | 18.93 | 14.13 | 23.33 | 21.06 | Upgrade
|
| Long-Term Unearned Revenue | 0.59 | 0.62 | 0.67 | - | - | 0.11 | Upgrade
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| Pension & Post-Retirement Benefits | 0.26 | 0.27 | 0.38 | 0.22 | 0.26 | - | Upgrade
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| Other Long-Term Liabilities | 5.54 | 6.03 | 7.46 | 10.48 | 8.02 | 6.5 | Upgrade
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| Total Liabilities | 32.47 | 34.24 | 33.91 | 30.17 | 37.01 | 34.72 | Upgrade
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| Common Stock | 5.08 | 4.55 | 3.68 | 3.65 | 2.6 | 2.39 | Upgrade
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| Additional Paid-In Capital | 6.13 | 7.19 | 0.79 | 18.31 | 6.04 | 7.21 | Upgrade
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| Retained Earnings | -13.26 | -15.39 | -10.4 | -19.94 | -14.79 | -10.73 | Upgrade
|
| Comprehensive Income & Other | 0.95 | 0.97 | 0.67 | 0.67 | 0.67 | - | Upgrade
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| Shareholders' Equity | -1.1 | -2.67 | -5.27 | 2.69 | -5.48 | -1.13 | Upgrade
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| Total Liabilities & Equity | 31.38 | 31.57 | 28.64 | 32.86 | 31.53 | 33.59 | Upgrade
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| Total Debt | 20.28 | 21.07 | 18.93 | 14.13 | 23.33 | 21.06 | Upgrade
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| Net Cash (Debt) | -13.94 | -14.03 | -16.63 | -6.36 | -13.34 | -12.79 | Upgrade
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| Net Cash Per Share | -0.28 | -0.31 | -0.45 | -0.17 | -0.51 | -0.54 | Upgrade
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| Filing Date Shares Outstanding | 50.77 | 46.11 | 36.63 | 36.36 | 25.86 | 23.71 | Upgrade
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| Total Common Shares Outstanding | 50.77 | 45.42 | 36.63 | 36.36 | 25.86 | 23.71 | Upgrade
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| Working Capital | 6.61 | 6.31 | 4.2 | 8.47 | 9.02 | 11.26 | Upgrade
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| Book Value Per Share | -0.02 | -0.06 | -0.14 | 0.07 | -0.21 | -0.05 | Upgrade
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| Tangible Book Value | -1.1 | -2.68 | -5.27 | 2.69 | -5.5 | -1.14 | Upgrade
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| Tangible Book Value Per Share | -0.02 | -0.06 | -0.14 | 0.07 | -0.21 | -0.05 | Upgrade
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| Land | 0.47 | 0.01 | 0.01 | 0.09 | 0.09 | 0.08 | Upgrade
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| Buildings | 1 | 1 | 0.96 | 3.83 | - | 2.99 | Upgrade
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| Machinery | 9.33 | 9.84 | 9.62 | 8.42 | 7.62 | 6.53 | Upgrade
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| Construction In Progress | 3.6 | 2.92 | 2.94 | 2.49 | 2.43 | 1.59 | Upgrade
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Source: S&P Capital IQ. Standard template. Financial Sources.