Compagnie Financière Richemont S.A.

CFRUY · OTC
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Assets
Cash & Equivalents$7,606$10,710$10,963$9,931
Short-Term Investments$9,162$8,784$7,419$6,669
Receivables$1,639$1,657$1,513$1,425
Inventory$9,013$7,980$7,113$7,138
Other Curr. Assets$912$2,101$4,935$1,776
Total Curr. Assets$28,332$31,232$30,442$25,524
Property Plant & Equip (Net)$8,268$7,576$6,925$6,626
Goodwill$819$759$611$3,558
Intangibles$730$539$1,110$5,912
Long-Term Investments$0$945$1,376$1,049
Tax Assets$1,047$4$754$758
Other NC Assets$1,810$1,626-$232-$3,221
Total NC Assets$12,674$11,449$10,545$14,682
Other Assets$0$0$0$0
Total Assets$41,006$42,681$40,987$40,206
Liabilities
Payables$739$762$736$927
Short-Term Debt$4,791$6,745$6,478$5,957
Tax Payable$869$924$863$728
Deferred Revenue$0$0$863$728
Other Curr. Liab.$3,376$3,361$4,231$2,895
Total Curr. Liab.$9,775$11,792$12,338$10,565
LT Debt$8,356$9,620$9,235$9,091
Deferred Rev, NC$0$0$3,289$3,160
Deferred Tax Liab, NC$313$0$129$327
Other NC Liab.$396$634$348$578
Total NC Liab.$9,065$10,254$9,583$9,669
Other Liabilities$0$0$0$0
Cap. Leases$4,636$4,321$3,925$3,790
Total Liabilities$18,840$22,046$21,921$20,234
Equity
Pref Stock$0$0$0$0
Common Stock$352$352$335$336
Retained Earnings$15,864$14,779$14,661$16,171
AOCI$0$0$4,315$3,897
Other Equity$5,883$5,409-$305$3,507
Total Equity$22,099$20,540$19,005$19,923
Supplemental Information
Minority Interest$67$114$60$49
Total Liab. & Tot. Equity$41,006$42,681$40,987$40,206
Net Debt$5,541$5,655$4,750$5,117