Sono Group N.V. (SSM)
NASDAQ: SSM · Real-Time Price · USD
0.00
-0.1150 (-1.77%)
Apr 29, 2026, 11:05 AM EDT - Market open

Sono Group Balance Sheet

Millions EUR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2019
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2019
Cash & Equivalents
0.211.357.4130.36132.94
Upgrade
Cash & Short-Term Investments
0.211.357.4130.36132.94
Upgrade
Cash Growth
-84.79%-81.73%-75.58%-77.16%207.27%
Upgrade
Accounts Receivable
---0.020.02
Upgrade
Other Receivables
---7.362.28
Upgrade
Receivables
---7.392.3
Upgrade
Inventory
0.330.3-0.07-
Upgrade
Prepaid Expenses
0.220.631.464.070.67
Upgrade
Other Current Assets
---13.896.51
Upgrade
Total Current Assets
0.762.298.8755.78142.41
Upgrade
Property, Plant & Equipment
0.670.760.681.464.5
Upgrade
Other Intangible Assets
---00.21
Upgrade
Other Long-Term Assets
---0.230.18
Upgrade
Total Assets
1.423.059.5557.47147.3
Upgrade
Accounts Payable
0.880.581.055.846.87
Upgrade
Accrued Expenses
0.050.4914.353.323.79
Upgrade
Short-Term Debt
-24.0425.63--
Upgrade
Current Portion of Long-Term Debt
---29.780.03
Upgrade
Current Portion of Leases
0.070.060.050.440.44
Upgrade
Current Income Taxes Payable
---0.050.11
Upgrade
Current Unearned Revenue
0.01--0.04-
Upgrade
Other Current Liabilities
0.030.0155.537.11.51
Upgrade
Total Current Liabilities
1.0325.1696.6146.5812.75
Upgrade
Long-Term Debt
---2.463.72
Upgrade
Long-Term Leases
0.50.570.632.192.64
Upgrade
Long-Term Unearned Revenue
---0.47-
Upgrade
Other Long-Term Liabilities
---49.2944.76
Upgrade
Total Liabilities
1.5325.7397.24100.9863.86
Upgrade
Common Stock
0.020.050.159.968.74
Upgrade
Additional Paid-In Capital
316.86298.7298.62--
Upgrade
Retained Earnings
-317.41-321.43-386.45-330.78-147.08
Upgrade
Comprehensive Income & Other
---277.31221.79
Upgrade
Total Common Equity
-0.53-22.68-87.69-43.5183.44
Upgrade
Shareholders' Equity
-0.11-22.68-87.69-43.5183.44
Upgrade
Total Liabilities & Equity
1.423.059.5557.47147.3
Upgrade
Total Debt
0.5724.6726.3134.876.83
Upgrade
Net Cash (Debt)
-0.37-23.31-18.9-4.52126.11
Upgrade
Net Cash Growth
----341.87%
Upgrade
Net Cash Per Share
-0.05-1.35-13.22-4.08158.07
Upgrade
Filing Date Shares Outstanding
1.461.451.451.450.98
Upgrade
Total Common Shares Outstanding
1.461.451.451.250.98
Upgrade
Working Capital
-0.27-22.87-87.749.2129.66
Upgrade
Book Value Per Share
-0.36-15.64-60.52-34.7485.05
Upgrade
Tangible Book Value
-0.53-22.68-87.69-43.5283.23
Upgrade
Tangible Book Value Per Share
-0.36-15.64-60.52-34.7484.84
Upgrade
Machinery
0.180.18-1.721.05
Upgrade
Construction In Progress
---38.770.71
Upgrade
Source: S&P Capital IQ. Standard template. Financial Sources.