Siam Cement Public Limit... (SCVUF)
PNK: SCVUF
· Real-Time Price · USD
7.16
0.00 (0.00%)
At close: May 06, 2025, 10:00 PM
Siam Cement Public Balance Sheet Statement
Financials in THB. Fiscal
year is
January - December.
Fiscal Year | 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 | 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 | 36.49B | 32.46B | 57.22B | 55.97B | 43.6B | 51.63B | 47.85B | 38.74B | 57.53B | 43.51B | 44.45B | 59.07B | 35.99B | 34.26B | 39.81B | 53.2B |
Short-Term Investments | 15.4B | 13.83B | 18.33B | 19.13B | 20.27B | 37.35B | 37.75B | 47.23B | 32.33B | 23.26B | 22.73B | 21.46B | 31.62B | 30.43B | 48.36B | 53.33B |
Long-Term Investments | 156.11B | 160.39B | 165.24B | 172.51B | 168.79B | 171.16B | 166.31B | 166.13B | 141.92B | 144.76B | 139.46B | 142.06B | 137.58B | 141.73B | 122.62B | 123.08B |
Other Long-Term Assets | 11.58B | 10.42B | 20.14B | 9.96B | 8.86B | 16.76B | 15.9B | 15.12B | 14.21B | 14.74B | 12.83B | 10.11B | 8.88B | 8.41B | 8.5B | 8.42B |
Receivables | 71.7B | 76.98B | 85.59B | 60.29B | 70.69B | 76.07B | 81.15B | 59.34B | 74.62B | 85.77B | 70.06B | 86.5B | 79.15B | 59.92B | 75.06B | 68.9B |
Inventory | 73.3B | 80.67B | 89.66B | 84.11B | 80.63B | 90.71B | 83.41B | 81.62B | 83.16B | 94.63B | 86.81B | 83.51B | 83.12B | 78.91B | 68.82B | 58.72B |
Other Current Assets | 2.27B | 3.21B | 1.4B | 20.32B | 19.31B | 3.36B | 1.74B | 1.6B | 21.84B | 3.27B | 29.62B | 3.88B | 3.13B | 20.57B | 20.38B | 1.06B |
Total Current Assets | 199.17B | 207.17B | 252.2B | 239.82B | 217.21B | 259.12B | 251.91B | 248.74B | 250.05B | 250.44B | 253.66B | 254.42B | 233.02B | 224.09B | 235.59B | 235.21B |
Property-Plant & Equipment | 422.61B | 417.67B | 441.33B | 440.51B | 424.34B | 435.86B | 430.67B | 419.23B | 425.05B | 441.7B | 424.62B | 412.2B | 410.71B | 406.77B | 387.67B | 377.25B |
Goodwill & Intangibles | 66.49B | 66B | 70.57B | 71.55B | 69.67B | 71.84B | 72.31B | 69.73B | 70.06B | 72.86B | 67.73B | 66.04B | 66.39B | 63.51B | 52.11B | 51.39B |
Total Long-Term Assets | 662.33B | 659.88B | 697.28B | 699.58B | 676.39B | 700.93B | 690.11B | 674.98B | 656.44B | 679.49B | 649.48B | 635.12B | 628.09B | 626.25B | 576.46B | 565.72B |
Total Assets | 861.5B | 867.05B | 949.48B | 939.4B | 893.6B | 960.06B | 942.02B | 923.72B | 906.49B | 929.93B | 903.14B | 889.54B | 861.1B | 850.34B | 812.05B | 800.93B |
Account Payables | 58.09B | 56.94B | 69.17B | 59.32B | 59.69B | 67.05B | 61.72B | 61.66B | 59.78B | 67.28B | 76.06B | 74.7B | 75.03B | 79.47B | 74.83B | 72.58B |
Deferred Revenue | n/a | n/a | n/a | 8.99B | 2.63B | 2.64B | 2.62B | 6.38B | 2.2B | 2.58B | 3.31B | 17.25B | 2.76B | 2.79B | 4.91B | 16.93B |
Short-Term Debt | 149.87B | 181.47B | 134.08B | 131.13B | 113.1B | 100.01B | 82.41B | 68.73B | 65.99B | 74.37B | 91.72B | 101.39B | 84.14B | 92.85B | 94.31B | 93.97B |
Other Current Liabilities | 4.84B | 5.45B | 25.9B | 25.59B | 24.6B | 26.2B | 24.84B | 1.65B | 2B | 2.06B | 1.69B | 4.33B | 4.21B | 5.88B | 3.33B | 3.12B |
Total Current Liabilities | 217.32B | 248.41B | 234.66B | 227.33B | 202.24B | 198.2B | 173.84B | 140.73B | 132.32B | 148.74B | 175.05B | 199.97B | 168.39B | 183.29B | 179.62B | 189B |
Long-Term Debt | 183.79B | 163.92B | 218.79B | 215.89B | 210.51B | 261.97B | 269.87B | 280.42B | 284.66B | 263.02B | 222.87B | 205.81B | 206.29B | 187.94B | 166.38B | 167.16B |
Other Long-Term Liabilities | 18.05B | 17.07B | 27.67B | 16.51B | 27.5B | 3.73B | 3.86B | 15.45B | 3.88B | 3.2B | 11.58B | 11.84B | 3.11B | 9.8B | 8.95B | 8.52B |
Total Long-Term Liabilities | 224.4B | 203.44B | 259.4B | 256.87B | 249.76B | 301.71B | 309.44B | 319.26B | 321.75B | 302.12B | 260.33B | 243.48B | 242.71B | 223.86B | 200.33B | 200.37B |
Total Liabilities | 441.72B | 451.85B | 494.06B | 484.2B | 452B | 499.91B | 483.28B | 460B | 454.07B | 450.86B | 435.38B | 443.44B | 411.09B | 407.15B | 379.94B | 389.37B |
Total Debt | 348.43B | 359.76B | 368.1B | 362.27B | 337.59B | 375.36B | 365.41B | 361.64B | 364.18B | 351.13B | 327.7B | 320.47B | 303.11B | 293.59B | 272.78B | 273.33B |
Common Stock | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B | 1.2B |
Retained Earnings | 371.82B | 373.24B | 386.21B | 371.81B | 373.6B | 374.64B | 375.2B | 366.96B | 352.82B | 351.58B | 355.49B | 345.41B | 348.56B | 339.58B | 342.96B | 325.8B |
Comprehensive Income | -5.59B | -5.45B | 12.3B | 4.07B | -10.83B | 13.84B | 13.84B | 13.84B | 13.86B | 13.88B | 13.88B | 13.88B | 14.14B | 14.22B | 10.68B | 2.06B |
Shareholders Equity | 352.89B | 347.21B | 379.68B | 377.08B | 363.96B | 383.64B | 380.87B | 387.45B | 374.25B | 395.53B | 383.48B | 362.8B | 365.69B | 359.03B | 351.98B | 332.41B |
Total Investments | 171.51B | 174.23B | 183.56B | 191.64B | 189.07B | 208.51B | 204.06B | 213.35B | 174.24B | 168.02B | 162.18B | 163.52B | 169.2B | 172.16B | 170.98B | 176.41B |