Bumrungrad Hospital Public Limited (BUGDF) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Bumrungrad Hospital Publi...

PNK: BUGDF · Real-Time Price · USD
6.31
0.00 (0.00%)
At close: May 06, 2025, 10:00 PM

Bumrungrad Hospital Public Balance Sheet Statement

Financials in THB. Fiscal year is January - December.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
3.25B 3.26B 3.51B 3.92B 2.6B 3.77B 2.06B 3.5B 2B 2.09B 1.84B 1.9B 1.8B 1.8B 2.02B 1.47B 1.56B
Short-Term Investments
10.74B 8.85B 6.4B 7.14B 10.25B 6.97B 7.41B 5.41B 7.85B 6.19B 4.82B 4.43B 4.91B 4.13B 5.91B 6.47B 7.56B
Long-Term Investments
2.16B 2.14B 2.14B 1.22B 94.62M 84.63M 71.7M 35.88M 1.67M 1.71M 2.06M 2.21M 1.66M 1.67M 63.71M 99.03M 214.89M
Other Long-Term Assets
74.4M 78.41M 79.82M 58.83M 91.3M 94.32M 95.2M 98.03M 69.61M 61.14M 63.67M 67.46M 67.71M 72.3M 64.04M 57.27M 59.46M
Receivables
3.75B 3.98B 3.96B 3.86B 4.08B 4.27B 3.48B 3.26B 3B 2.64B 2.22B 2.09B 1.76B 1.46B 1.2B 1.72B 1.61B
Inventory
297.15M 355.94M 303.83M 312.18M 328.21M 362.26M 340.45M 333.84M 329.28M 325.74M 306.61M 285.48M 299.4M 327.56M 283.65M 268.22M 266.52M
Other Current Assets
52.13M 151.23M 124.47M 85.28M 66.51M 197.6M 49.35M 32.8M 42.06M 44.7M 75.97M 140.34M 180.79M 243.83M 250.6M 31.21M 43.63M
Total Current Assets
18.26B 16.73B 14.42B 15.49B 17.46B 15.68B 13.46B 12.67B 13.36B 11.42B 9.43B 9B 9.11B 8.06B 9.77B 10.1B 11.19B
Property-Plant & Equipment
12.87B 12.74B 12.67B 12.69B 12.58B 12.37B 12.27B 12.08B 11.76B 11.77B 11.79B 11.58B 11.54B 11.6B 11.57B 11.71B 11.79B
Goodwill & Intangibles
647.38M 648.05M 639.9M 645.67M 656.59M 671.05M 685.49M 707.09M 704.22M 709.34M 731.03M 757.48M 777.05M 791M 798.41M 794.18M 773.75M
Total Long-Term Assets
16.07B 15.92B 15.84B 14.93B 13.73B 13.53B 13.44B 13.23B 12.83B 12.84B 12.93B 12.76B 12.72B 12.79B 12.85B 13.02B 13.18B
Total Assets
34.33B 32.65B 30.26B 30.42B 31.2B 29.21B 26.9B 25.9B 26.19B 24.26B 22.36B 21.76B 21.83B 20.86B 22.63B 23.12B 24.38B
Account Payables
937.75M 952.89M 1.04B 1.09B 1.01B 922.47M 1.19B 1.15B 1.09B 39.88M 990.35M 962.57M 884.49M 678.91M 559.25M 552.7M 328.68M
Deferred Revenue
n/a n/a n/a 882.58M 1.26B 803.18M 2.22B 2.16B n/a n/a n/a n/a n/a 1.3B 1.24B 1.29B 1.23B
Short-Term Debt
n/a n/a n/a -167.19M -582.45M n/a n/a n/a n/a n/a n/a n/a n/a n/a 2.5B 2.5B 2.5B
Other Current Liabilities
230.56M 215.91M 208.32M 932.15M 859.7M 2.23B 1.48B 1.52B 1.82B 1.77B 1.21B 1.26B 1.08B 1.1B 1.15B 1.02B 353.91M
Total Current Liabilities
3.75B 3.83B 3.36B 3.84B 4.07B 4.18B 3.6B 3.51B 3.75B 3.41B 2.93B 2.91B 2.55B 2.28B 4.65B 4.57B 4.44B
Long-Term Debt
24.24M 24.28M 22.91M 26.13M 25.77M 24.22M 25.66M 24.9M 23.95M 24.15M 26.36M 24.64M 23.21M 23.22M 23.54M 22.29M 21.71M
Other Long-Term Liabilities
934.27M 920.13M 945.24M 1.23B 1.2B 1.17B 873.21M 850.34M 824.8M 797.2M 983.31M 960.74M 926.45M 896M 978.86M 947.17M 916.41M
Total Long-Term Liabilities
1.04B 1.03B 1.05B 1.34B 1.32B 1.25B 917.67M 890.33M 865.61M 838.53M 1.03B 1.01B 980.54M 954.65M 1.05B 1.02B 995.56M
Total Liabilities
4.79B 4.85B 4.41B 5.18B 5.38B 5.43B 4.52B 4.4B 4.62B 4.25B 3.96B 3.92B 3.53B 3.24B 5.7B 5.59B 5.44B
Total Debt
142.55M 139.44M 142.7M 138.43M 467.65M 411.14M 57.34M 54.32M 58M 63.28M 72.61M 80.41M 85.7M 94.37M 2.6B 2.61B 2.61B
Common Stock
794.96M 794.92M 794.91M 794.91M 795.77M 795.77M 794.88M 794.88M 794.88M 794.89M 794.88M 794.88M 794.88M 794.59M 794.59M 794.59M 794.59M
Retained Earnings
27.8B 26.07B 24.15B 23.79B 24.37B 22.4B 20.68B 19.8B 19.93B 18.36B 16.68B 16.1B 16.57B 15.85B 15.18B 15.8B 17.23B
Comprehensive Income
92.28M -152.24M 92.28M 92.28M -118.48M -160.86M 92.28M 92.28M 92.28M -215.35M 92.28M 92.28M 92.28M 92.28M 92.28M 92.28M 92.28M
Shareholders Equity
29.21B 27.49B 25.54B 24.93B 25.5B 23.48B 22.05B 21.17B 21.27B 19.71B 18.08B 17.5B 17.98B 17.29B 16.62B 17.22B 18.64B
Total Investments
12.91B 11B 8.54B 8.36B 10.34B 7.06B 7.48B 5.45B 7.85B 6.19B 4.82B 4.43B 4.91B 4.14B 5.97B 6.56B 7.78B