Nestle SA
F:NESR
Balance Sheet
Balance Sheet Decomposition
Nestle SA
Nestle SA
Balance Sheet
Nestle SA
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
7 617
|
6 338
|
7 074
|
4 902
|
4 658
|
5 278
|
6 594
|
5 835
|
2 734
|
8 057
|
4 938
|
5 713
|
6 415
|
7 448
|
4 884
|
7 990
|
7 938
|
4 500
|
7 469
|
5 235
|
6 988
|
5 511
|
4 816
|
5 556
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 460
|
3 591
|
3 499
|
4 524
|
3 528
|
1 906
|
3 341
|
2 202
|
2 552
|
2 884
|
2 139
|
2 685
|
2 466
|
2 315
|
2 055
|
|
| Cash Equivalents |
7 617
|
6 338
|
7 074
|
4 902
|
4 658
|
5 278
|
6 594
|
5 835
|
2 734
|
5 597
|
1 347
|
2 214
|
1 891
|
3 920
|
2 978
|
4 649
|
5 736
|
1 948
|
4 585
|
3 096
|
4 303
|
3 045
|
2 501
|
3 501
|
|
| Short-Term Investments |
8 425
|
7 953
|
8 054
|
10 380
|
12 735
|
6 197
|
2 902
|
1 296
|
2 585
|
8 189
|
3 050
|
3 583
|
638
|
1 433
|
921
|
1 306
|
655
|
5 801
|
2 794
|
3 374
|
7 007
|
1 176
|
1 035
|
2 315
|
|
| Total Receivables |
14 074
|
12 666
|
12 851
|
11 809
|
14 291
|
14 577
|
15 421
|
14 331
|
13 354
|
13 039
|
14 434
|
14 020
|
13 357
|
14 367
|
13 126
|
13 197
|
12 953
|
12 036
|
12 534
|
11 454
|
12 359
|
12 401
|
12 279
|
12 585
|
|
| Accounts Receivables |
11 011
|
9 827
|
10 179
|
9 587
|
11 461
|
14 577
|
14 890
|
13 442
|
12 309
|
8 899
|
9 541
|
9 539
|
9 367
|
10 283
|
9 696
|
10 023
|
9 736
|
9 110
|
9 425
|
8 098
|
8 572
|
8 831
|
9 001
|
9 419
|
|
| Other Receivables |
3 063
|
2 839
|
2 672
|
2 222
|
2 830
|
0
|
531
|
889
|
1 045
|
4 140
|
4 893
|
4 481
|
3 990
|
4 084
|
3 430
|
3 174
|
3 217
|
2 926
|
3 109
|
3 356
|
3 787
|
3 570
|
3 278
|
3 166
|
|
| Inventory |
7 691
|
6 794
|
6 995
|
7 025
|
8 162
|
8 029
|
9 272
|
9 342
|
7 734
|
7 925
|
9 255
|
8 939
|
8 382
|
9 172
|
8 153
|
8 401
|
9 177
|
9 125
|
9 343
|
10 101
|
11 982
|
15 019
|
11 896
|
13 260
|
|
| Other Current Assets |
1 238
|
1 591
|
1 259
|
1 169
|
1 919
|
1 224
|
1 581
|
2 244
|
13 463
|
1 787
|
1 647
|
1 765
|
1 274
|
1 541
|
2 350
|
1 148
|
1 161
|
9 541
|
3 523
|
3 904
|
921
|
955
|
831
|
1 472
|
|
| Total Current Assets |
39 045
|
35 342
|
36 233
|
35 285
|
41 765
|
35 305
|
35 770
|
33 048
|
39 870
|
38 997
|
33 324
|
34 020
|
30 066
|
33 961
|
29 434
|
32 042
|
31 884
|
41 003
|
35 663
|
34 068
|
39 257
|
35 062
|
30 857
|
35 188
|
|
| PP&E Net |
19 898
|
17 025
|
17 439
|
17 052
|
18 990
|
20 230
|
22 065
|
21 097
|
21 599
|
21 438
|
23 971
|
26 576
|
26 895
|
28 421
|
26 576
|
27 554
|
30 777
|
29 956
|
28 762
|
25 840
|
28 345
|
30 141
|
30 467
|
33 706
|
|
| PP&E Gross |
19 898
|
17 025
|
17 439
|
17 052
|
18 990
|
20 230
|
22 065
|
21 097
|
21 599
|
21 438
|
23 971
|
26 576
|
26 895
|
28 421
|
26 576
|
27 554
|
30 777
|
29 956
|
28 762
|
25 840
|
28 345
|
30 141
|
30 467
|
33 706
|
|
| Accumulated Depreciation |
25 195
|
23 772
|
24 339
|
23 993
|
26 252
|
26 847
|
27 409
|
25 094
|
25 487
|
24 396
|
25 299
|
25 739
|
26 223
|
27 685
|
26 323
|
28 376
|
30 655
|
31 646
|
31 405
|
27 647
|
28 382
|
29 019
|
27 981
|
30 344
|
|
| Intangible Assets |
898
|
1 242
|
1 575
|
2 028
|
2 852
|
3 773
|
7 217
|
6 867
|
6 658
|
7 728
|
9 356
|
13 018
|
12 673
|
19 800
|
19 236
|
20 397
|
20 615
|
18 634
|
17 824
|
20 148
|
22 223
|
20 237
|
18 225
|
19 245
|
|
| Goodwill |
25 253
|
25 718
|
26 745
|
23 854
|
26 990
|
28 513
|
33 423
|
30 637
|
27 502
|
27 031
|
29 008
|
32 688
|
31 039
|
34 557
|
32 772
|
33 007
|
29 746
|
31 702
|
28 896
|
27 620
|
31 012
|
31 262
|
28 693
|
30 595
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
213
|
90
|
39
|
27
|
124
|
128
|
128
|
114
|
62
|
58
|
55
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
5 382
|
5 423
|
5 101
|
6 501
|
9 586
|
11 208
|
13 149
|
11 664
|
12 642
|
14 280
|
15 790
|
16 565
|
16 865
|
14 142
|
14 094
|
16 428
|
17 631
|
13 359
|
14 116
|
14 599
|
14 630
|
16 276
|
16 035
|
17 976
|
|
| Other Long-Term Assets |
3 310
|
2 602
|
2 468
|
2 397
|
2 535
|
2 776
|
3 737
|
2 902
|
2 432
|
2 077
|
2 603
|
2 983
|
2 780
|
2 441
|
1 752
|
2 359
|
2 495
|
2 303
|
2 624
|
1 753
|
3 675
|
2 204
|
2 273
|
2 554
|
|
| Other Assets |
25 253
|
25 718
|
26 745
|
23 854
|
26 990
|
28 513
|
33 423
|
30 637
|
27 502
|
27 031
|
29 008
|
32 688
|
31 039
|
34 557
|
32 772
|
33 007
|
29 746
|
31 702
|
28 896
|
27 620
|
31 012
|
31 262
|
28 693
|
30 595
|
|
| Total Assets |
93 786
N/A
|
87 352
-7%
|
89 561
+3%
|
87 117
-3%
|
102 718
+18%
|
101 805
-1%
|
115 361
+13%
|
106 215
-8%
|
110 916
+4%
|
111 641
+1%
|
114 091
+2%
|
125 877
+10%
|
120 442
-4%
|
133 450
+11%
|
123 992
-7%
|
131 901
+6%
|
133 210
+1%
|
137 015
+3%
|
127 940
-7%
|
124 028
-3%
|
139 142
+12%
|
135 182
-3%
|
126 550
-6%
|
139 264
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
6 667
|
6 191
|
6 710
|
6 370
|
7 841
|
12 572
|
14 179
|
12 608
|
13 033
|
12 592
|
13 584
|
14 627
|
16 072
|
17 437
|
17 038
|
18 629
|
12 890
|
13 045
|
14 017
|
13 802
|
15 625
|
15 798
|
14 195
|
16 685
|
|
| Accrued Liabilities |
4 265
|
3 894
|
3 699
|
3 839
|
4 231
|
3 059
|
3 266
|
2 931
|
2 779
|
2 798
|
2 909
|
3 078
|
3 185
|
3 759
|
3 673
|
3 855
|
6 581
|
6 009
|
6 392
|
6 863
|
6 923
|
6 880
|
6 777
|
7 158
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
13 503
|
7 243
|
5 573
|
5 944
|
7 180
|
5 727
|
9 193
|
8 053
|
4 992
|
4 303
|
3 822
|
2 213
|
4 625
|
|
| Current Portion of Long-Term Debt |
25 486
|
18 702
|
15 419
|
14 722
|
18 841
|
15 494
|
24 541
|
15 383
|
14 438
|
12 617
|
16 100
|
4 905
|
4 137
|
3 237
|
3 685
|
4 938
|
5 484
|
5 501
|
5 979
|
7 027
|
5 789
|
7 070
|
7 203
|
7 238
|
|
| Other Current Liabilities |
5 074
|
4 950
|
4 537
|
4 144
|
4 941
|
1 354
|
1 340
|
2 301
|
5 833
|
2 139
|
2 639
|
2 484
|
2 280
|
2 889
|
2 981
|
2 915
|
7 507
|
9 282
|
7 174
|
7 038
|
7 380
|
6 406
|
6 696
|
7 157
|
|
| Total Current Liabilities |
41 492
|
33 737
|
30 365
|
29 075
|
35 854
|
32 479
|
43 326
|
33 223
|
36 083
|
30 146
|
35 232
|
38 597
|
32 917
|
32 895
|
33 321
|
37 517
|
38 189
|
43 030
|
41 615
|
39 722
|
40 020
|
39 976
|
37 084
|
42 863
|
|
| Long-Term Debt |
9 946
|
10 548
|
14 064
|
10 731
|
8 277
|
6 952
|
6 129
|
6 344
|
8 966
|
7 483
|
6 207
|
9 008
|
10 363
|
12 396
|
11 601
|
11 091
|
18 566
|
25 700
|
23 132
|
27 928
|
36 482
|
43 420
|
45 825
|
51 697
|
|
| Deferred Income Tax |
1 301
|
492
|
576
|
447
|
240
|
706
|
1 558
|
1 341
|
1 404
|
1 371
|
2 060
|
2 240
|
2 643
|
3 191
|
3 063
|
3 865
|
3 492
|
2 540
|
2 589
|
2 636
|
3 794
|
3 671
|
2 886
|
3 767
|
|
| Minority Interest |
576
|
813
|
943
|
1 063
|
1 570
|
1 857
|
2 149
|
4 142
|
4 716
|
731
|
1 477
|
1 657
|
1 564
|
1 754
|
1 648
|
1 391
|
1 273
|
1 040
|
827
|
819
|
587
|
810
|
645
|
776
|
|
| Other Liabilities |
6 818
|
6 943
|
6 733
|
6 565
|
9 279
|
8 820
|
9 572
|
10 391
|
10 832
|
10 043
|
12 318
|
13 368
|
10 380
|
13 084
|
12 021
|
13 447
|
10 734
|
7 342
|
7 742
|
7 228
|
5 119
|
5 323
|
4 368
|
4 244
|
|
| Total Liabilities |
60 133
N/A
|
52 533
-13%
|
52 681
+0%
|
47 881
-9%
|
55 220
+15%
|
50 814
-8%
|
62 734
+23%
|
55 441
-12%
|
62 001
+12%
|
49 774
-20%
|
57 294
+15%
|
64 870
+13%
|
57 867
-11%
|
63 320
+9%
|
61 654
-3%
|
67 311
+9%
|
72 254
+7%
|
79 652
+10%
|
75 905
-5%
|
78 333
+3%
|
86 002
+10%
|
93 200
+8%
|
90 808
-3%
|
103 347
+14%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
404
|
404
|
404
|
404
|
404
|
401
|
393
|
383
|
365
|
347
|
330
|
322
|
322
|
322
|
319
|
311
|
311
|
306
|
298
|
288
|
282
|
275
|
267
|
262
|
|
| Retained Earnings |
30 105
|
35 137
|
38 551
|
42 530
|
48 110
|
54 513
|
66 549
|
71 146
|
67 736
|
88 422
|
80 116
|
80 397
|
85 168
|
90 839
|
90 639
|
84 037
|
84 651
|
84 454
|
82 946
|
76 430
|
81 144
|
74 580
|
68 012
|
66 128
|
|
| Additional Paid In Capital |
5 926
|
5 926
|
5 926
|
5 926
|
5 926
|
5 926
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
573
|
50
|
250
|
36
|
46
|
36
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
2 794
|
2 578
|
2 371
|
2 435
|
2 770
|
4 644
|
8 013
|
9 652
|
8 011
|
11 108
|
6 722
|
2 078
|
2 196
|
3 918
|
7 489
|
990
|
4 537
|
6 948
|
9 752
|
6 643
|
6 194
|
9 303
|
5 155
|
4 283
|
|
| Other Equity |
12
|
4 070
|
5 630
|
7 189
|
4 172
|
5 205
|
6 302
|
11 103
|
11 175
|
15 794
|
16 927
|
18 207
|
20 769
|
17 363
|
21 167
|
18 814
|
19 505
|
20 449
|
21 457
|
24 380
|
22 092
|
23 570
|
27 382
|
26 190
|
|
| Total Equity |
33 653
N/A
|
34 819
+3%
|
36 880
+6%
|
39 236
+6%
|
47 498
+21%
|
50 991
+7%
|
52 627
+3%
|
50 774
-4%
|
48 915
-4%
|
61 867
+26%
|
56 797
-8%
|
61 007
+7%
|
62 575
+3%
|
70 130
+12%
|
62 338
-11%
|
64 590
+4%
|
60 956
-6%
|
57 363
-6%
|
52 035
-9%
|
45 695
-12%
|
53 140
+16%
|
41 982
-21%
|
35 742
-15%
|
35 917
+0%
|
|
| Total Liabilities & Equity |
93 786
N/A
|
87 352
-7%
|
89 561
+3%
|
87 117
-3%
|
102 718
+18%
|
101 805
-1%
|
115 361
+13%
|
106 215
-8%
|
110 916
+4%
|
111 641
+1%
|
114 091
+2%
|
125 877
+10%
|
120 442
-4%
|
133 450
+11%
|
123 992
-7%
|
131 901
+6%
|
133 210
+1%
|
137 015
+3%
|
127 940
-7%
|
124 028
-3%
|
139 142
+12%
|
135 182
-3%
|
126 550
-6%
|
139 264
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
3 877
|
3 869
|
3 879
|
3 874
|
3 882
|
3 837
|
3 763
|
3 616
|
3 472
|
3 257
|
3 172
|
3 189
|
3 190
|
3 168
|
3 084
|
3 098
|
3 058
|
2 974
|
2 880
|
2 816
|
2 760
|
2 668
|
2 621
|
2 573
|
|