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Reprocell Inc.
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Financials

Balance sheet

Fiscal date 2025 2024 2023 2022
Total assets 9.7B 9.1B 8.4B 8.1B
Current assets 4.9B 7.4B 7.2B 5.4B
Cash
Cash equivalents
Cash and cash equivalents 2.8B 2.9B 1.9B 2.6B
Other short term investments 1.1B 3.6B 4.5B 2B
Accounts receivable 463.9M 421.3M 445.8M 347.9M
Other receivables
Inventory 270.4M 248.1M 234.3M 259.2M
Prepaid assets
Restricted cash
Assets held for sale
Hedging assets
Other current assets 220.5M 163.0M 122.9M 130.3M
Non current assets 4.8B 1.7B 1.2B 2.7B
Properties 0 0 0 0
Land and improvements
Machinery furniture equipment 324.7M 240.0M 122.4M 129.4M
Construction in progress
Leases
Accumulated depreciation -141.8M -98.3M -72.8M -81.7M
Goodwill 35.0M 35.1M 28.5M 45.4M
Investment properties
Financial assets
Intangible assets 18.7M 13.4M 1.4M 12.8M
Investments and advances
Other non current assets 46.9M 47.6M 51.8M 48.6M
Total liabilities 685.8M 741.0M 780.6M 844.5M
Current liabilities 640.6M 678.4M 749.7M 827.3M
Accounts payable 131.1M 170.1M 207.0M 293.2M
Accrued expenses
Short term debt 80M
Deferred revenue
Tax payable 24.8M 27.2M 26.6M 5.4M
Pensions 11.1M 6.7M 7.6M 11.9M
Other current liabilities 216.4M 234.5M 157.0M 138.4M
Non current liabilities 45.2M 62.6M 31.0M 17.3M
Long term provisions 9.1M 9.0M 7.8M 7.6M
Long term debt
Provision for risks and charges
Deferred liabilities 35.2M 53.7M 23.2M 9.6M
Derivative product liabilities
Other non current liabilities 937K 2K 1K
Shareholders equity
Common stock 2.7B 2.3B 2.0B 1.7B
Retained earnings 58.3M -546.9M -515.5M -750.4M
Other shareholders equity
Total shareholders equity 9.0B 8.3B 7.6B 7.3B
Additional paid in capital 6.2B 6.4B 6.1B 6.3B
Treasury stock 916K 916K 916K 916K
Minority interest
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