Tallink Grupp AS
F:T5N

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Tallink Grupp AS Logo
Tallink Grupp AS
F:T5N
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Price: 0.583 EUR Market Closed
Market Cap: €433.5m

Balance Sheet

Balance Sheet Decomposition
Tallink Grupp AS

Balance Sheet
Tallink Grupp AS

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Balance Sheet
Currency: EUR
Aug-2005 Aug-2006 Aug-2007 Aug-2008 Aug-2009 Aug-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
5
26
83
67
50
58
69
59
70
63
80
77
88
82
39
28
128
115
42
19
Cash
0
0
0
0
0
0
69
59
70
63
80
77
88
82
39
28
128
43
41
13
Cash Equivalents
5
26
83
67
50
58
0
0
0
0
0
0
0
0
0
0
0
72
1
5
Short-Term Investments
16
64
0
0
0
0
7
7
2
2
2
2
1
0
0
0
0
72
1
0
Total Receivables
10
54
52
75
51
42
35
43
41
38
37
39
46
44
38
25
29
31
32
25
Accounts Receivables
7
31
35
49
27
26
23
28
25
23
23
24
28
30
23
12
15
20
17
16
Other Receivables
2
23
17
26
24
17
12
15
15
15
13
14
19
14
14
13
14
11
14
10
Inventory
5
15
17
23
19
20
25
29
34
31
29
39
41
36
37
29
35
40
41
48
Other Current Assets
3
17
8
10
12
11
7
5
4
5
7
8
5
6
7
7
12
9
8
16
Total Current Assets
39
176
161
175
132
130
143
143
150
140
154
164
181
168
121
89
203
196
123
108
PP&E Net
375
1 362
1 395
1 600
1 727
1 663
1 583
1 527
1 493
1 468
1 311
1 305
1 308
1 268
1 347
1 363
1 323
1 438
1 378
1 310
PP&E Gross
375
1 362
1 395
1 600
1 727
1 663
1 583
1 527
1 493
1 468
1 311
1 305
1 308
1 268
1 347
1 363
1 323
1 438
1 378
1 310
Accumulated Depreciation
17
37
56
107
168
18
104
164
226
293
323
386
402
454
538
614
690
772
859
917
Intangible Assets
11
69
71
67
62
56
50
48
47
44
42
39
38
35
33
29
25
21
17
12
Goodwill
0
11
11
12
11
11
11
11
11
11
11
11
11
11
11
11
11
11
11
11
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
0
1
1
1
1
1
3
1
1
1
1
1
1
1
1
1
1
1
5
1
Other Long-Term Assets
18
38
60
44
15
11
10
13
20
21
19
19
19
18
20
22
22
25
22
22
Other Assets
0
11
11
12
11
11
11
11
11
11
11
11
11
11
11
11
11
11
11
11
Total Assets
443
N/A
1 657
+274%
1 698
+2%
1 898
+12%
1 947
+3%
1 871
-4%
1 800
-4%
1 742
-3%
1 722
-1%
1 686
-2%
1 539
-9%
1 539
+0%
1 559
+1%
1 501
-4%
1 533
+2%
1 516
-1%
1 586
+5%
1 692
+7%
1 555
-8%
1 464
-6%
Liabilities
Accounts Payable
21
102
82
95
91
49
42
46
52
51
92
54
43
44
42
24
42
38
34
35
Accrued Liabilities
0
0
0
0
0
37
38
46
46
46
0
51
50
52
54
48
47
46
48
55
Short-Term Debt
44
79
143
140
105
64
145
0
19
62
3
40
0
0
0
16
0
0
0
0
Current Portion of Long-Term Debt
0
0
1
1
0
0
0
104
88
87
78
66
160
79
89
96
244
165
104
105
Other Current Liabilities
7
18
16
18
33
50
54
48
59
75
33
34
63
38
36
25
24
47
38
35
Total Current Liabilities
72
198
242
254
229
199
280
244
263
314
208
244
317
212
221
208
358
296
224
230
Long-Term Debt
201
877
804
979
1 076
1 004
814
737
688
594
467
453
401
431
489
594
535
688
545
452
Deferred Income Tax
0
0
4
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
0
2
0
0
0
0
0
0
0
0
43
32
5
0
0
0
0
0
0
0
Total Liabilities
273
N/A
1 077
+295%
1 050
-3%
1 234
+17%
1 305
+6%
1 204
-8%
1 095
-9%
981
-10%
951
-3%
907
-5%
718
-21%
729
+2%
722
-1%
644
-11%
710
+10%
802
+13%
893
+11%
985
+10%
769
-22%
682
-11%
Equity
Common Stock
70
90
431
431
431
431
404
404
404
404
404
362
362
362
315
315
349
349
349
349
Retained Earnings
99
267
217
233
211
236
300
356
366
323
372
402
430
453
467
361
307
323
404
402
Additional Paid In Capital
0
129
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
55
48
46
44
42
40
37
35
33
31
29
Treasury Stock
0
0
0
0
0
0
0
0
0
4
4
0
0
0
0
0
0
0
0
0
Other Equity
0
94
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1
1
1
Total Equity
170
N/A
580
+242%
648
+12%
664
+3%
643
-3%
668
+4%
705
+6%
761
+8%
771
+1%
778
+1%
821
+5%
810
-1%
836
+3%
857
+2%
823
-4%
714
-13%
693
-3%
707
+2%
786
+11%
782
0%
Total Liabilities & Equity
443
N/A
1 657
+274%
1 698
+2%
1 898
+12%
1 947
+3%
1 871
-4%
1 800
-4%
1 742
-3%
1 722
-1%
1 686
-2%
1 539
-9%
1 539
+0%
1 559
+1%
1 501
-4%
1 533
+2%
1 516
-1%
1 586
+5%
1 692
+7%
1 555
-8%
1 464
-6%
Shares Outstanding
Common Shares Outstanding
440
674
674
670
670
670
670
670
670
670
670
688
688
688
688
688
744
744
744
744