Balance Sheet

Balance Sheet Decomposition
Valeo SE

Balance Sheet
Valeo SE

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Balance Sheet
Currency: EUR
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
680
686
860
868
949
618
771
661
860
1 316
560
541
685
681
700
668
1 254
1 619
1 671
1 550
1 473
2 689
3 025
3 153
Cash
0
0
0
0
0
0
0
296
227
335
560
541
685
681
700
668
1 254
1 619
1 671
1 550
1 473
2 689
739
1 568
Cash Equivalents
680
686
860
868
949
618
771
365
633
981
0
0
0
0
0
0
0
0
0
0
0
0
2 286
1 585
Short-Term Investments
0
0
0
0
24
10
4
15
13
24
745
813
850
860
1 050
1 711
1 208
745
106
1 416
992
681
32
20
Total Receivables
1 821
1 752
1 780
2 012
2 200
2 209
2 063
1 446
1 446
1 659
2 037
1 943
1 895
2 072
2 351
2 927
3 432
3 339
3 312
3 214
3 072
3 629
3 645
3 451
Accounts Receivables
1 821
1 752
1 780
1 726
1 906
1 834
1 699
1 168
1 251
1 449
1 705
1 517
1 460
1 681
1 964
2 462
2 906
2 783
2 824
2 676
2 381
2 770
2 760
2 688
Other Receivables
0
0
0
286
294
375
364
278
195
210
332
426
435
391
387
465
526
556
488
538
691
859
885
763
Inventory
753
628
570
567
654
647
622
543
482
621
765
789
810
938
1 161
1 393
1 706
1 906
1 896
1 582
1 990
2 383
2 365
2 110
Other Current Assets
506
356
241
0
11
20
7
5
1
2
2
342
2
0
62
0
55
6
13
105
20
122
305
141
Total Current Assets
3 760
3 422
3 451
3 447
3 838
3 504
3 467
2 670
2 802
3 622
4 109
4 428
4 242
4 551
5 324
6 699
7 655
7 615
6 998
7 867
7 547
9 504
9 372
8 875
PP&E Net
2 458
2 232
2 096
1 945
2 041
1 918
1 790
1 739
1 665
1 655
1 956
2 075
2 080
2 497
2 744
3 063
4 110
4 621
5 346
4 919
4 962
5 309
5 065
5 102
PP&E Gross
2 458
2 232
2 096
1 945
0
1 918
1 790
1 739
1 665
1 655
0
2 075
0
2 497
2 744
0
4 110
4 621
5 346
4 919
4 962
5 309
5 065
5 102
Accumulated Depreciation
3 363
3 420
3 659
3 823
0
4 407
4 435
4 613
4 885
5 185
0
5 796
0
6 160
6 644
0
7 635
8 233
8 974
9 426
10 237
11 316
11 689
12 311
Intangible Assets
50
43
54
281
522
528
514
525
535
544
643
736
829
1 012
1 148
1 372
2 042
2 419
2 694
2 341
2 367
2 774
3 057
3 319
Goodwill
1 596
1 387
1 261
1 158
1 484
1 415
1 165
1 154
1 146
1 210
1 438
1 327
1 210
1 374
1 450
1 944
2 512
2 550
2 571
2 512
2 552
3 245
3 112
3 086
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
78
295
344
327
362
3
0
25
Long-Term Investments
93
100
79
110
144
127
121
157
168
211
195
134
273
226
247
684
672
425
421
372
406
484
440
424
Other Long-Term Assets
134
116
77
82
100
96
99
103
117
198
223
220
238
359
527
625
492
547
539
509
639
710
710
827
Other Assets
1 596
1 387
1 261
1 158
1 484
1 415
1 165
1 154
1 146
1 210
1 438
1 327
1 210
1 374
1 450
1 944
2 512
2 550
2 571
2 512
2 552
3 245
3 112
3 086
Total Assets
8 091
N/A
7 300
-10%
7 018
-4%
7 023
+0%
8 129
+16%
7 588
-7%
7 156
-6%
6 348
-11%
6 433
+1%
7 440
+16%
8 564
+15%
8 920
+4%
8 872
-1%
10 019
+13%
11 440
+14%
14 387
+26%
17 561
+22%
18 472
+5%
18 913
+2%
18 847
0%
18 835
0%
22 029
+17%
21 756
-1%
21 658
0%
Liabilities
Accounts Payable
1 685
1 667
1 664
1 685
1 925
1 955
1 836
1 454
1 648
1 987
2 338
2 209
2 347
2 700
3 224
3 885
4 395
4 475
4 762
4 697
4 633
5 586
5 449
5 382
Accrued Liabilities
0
0
0
0
0
0
0
0
28
28
31
54
0
42
40
0
0
39
46
45
52
65
85
107
Short-Term Debt
634
579
237
175
157
274
260
166
73
77
75
73
253
257
128
542
664
900
269
1 637
748
1 239
1 057
844
Current Portion of Long-Term Debt
19
14
28
188
581
54
29
26
12
477
276
386
108
82
432
225
383
395
147
577
729
964
872
1 227
Other Current Liabilities
1 761
1 254
1 078
1 095
1 314
1 341
1 167
1 253
1 063
1 144
1 176
1 292
1 188
1 303
1 535
1 726
2 029
2 233
2 089
2 352
2 322
2 840
3 385
3 427
Total Current Liabilities
4 099
3 514
3 007
3 143
3 977
3 624
3 292
2 899
2 824
3 713
3 896
4 014
3 896
4 384
5 359
6 378
7 471
8 042
7 313
9 308
8 484
10 694
10 848
10 987
Long-Term Debt
676
657
1 166
1 027
1 303
1 274
1 283
1 299
1 526
1 097
1 545
1 581
1 498
1 463
1 146
2 185
3 227
3 466
4 417
3 869
4 350
5 074
5 057
4 859
Deferred Income Tax
27
25
18
13
9
1
21
16
25
22
26
26
26
37
39
66
119
89
76
67
63
58
46
48
Minority Interest
129
134
132
57
43
38
44
51
51
62
144
143
147
209
219
236
719
807
835
756
796
790
785
796
Other Liabilities
898
869
715
993
1 123
937
778
772
774
838
1 017
1 104
924
1 180
1 204
1 405
1 638
1 497
1 643
1 621
1 447
1 591
1 445
1 249
Total Liabilities
5 829
N/A
5 199
-11%
5 038
-3%
5 233
+4%
6 455
+23%
5 874
-9%
5 418
-8%
5 037
-7%
5 200
+3%
5 732
+10%
6 628
+16%
6 868
+4%
6 491
-5%
7 273
+12%
7 967
+10%
10 270
+29%
13 174
+28%
13 901
+6%
14 284
+3%
15 621
+9%
15 140
-3%
18 207
+20%
18 181
0%
17 939
-1%
Equity
Common Stock
249
246
246
251
233
233
235
235
235
236
238
238
238
238
238
239
240
240
241
242
243
244
245
245
Retained Earnings
1 288
1 119
998
78
56
94
101
326
404
170
39
197
691
929
1 556
2 134
2 696
2 801
2 786
1 710
1 906
1 830
1 905
1 919
Additional Paid In Capital
725
736
736
1 617
1 385
1 387
1 402
1 402
1 402
1 412
1 429
1 434
1 434
1 434
1 434
1 462
1 487
1 513
1 531
1 545
1 560
1 573
1 588
1 588
Other Equity
0
0
0
0
0
0
0
0
0
230
230
183
18
145
245
282
36
17
71
271
14
175
163
33
Total Equity
2 262
N/A
2 101
-7%
1 980
-6%
1 790
-10%
1 674
-6%
1 714
+2%
1 738
+1%
1 311
-25%
1 233
-6%
1 708
+39%
1 936
+13%
2 052
+6%
2 381
+16%
2 746
+15%
3 473
+26%
4 117
+19%
4 387
+7%
4 571
+4%
4 629
+1%
3 226
-30%
3 695
+15%
3 822
+3%
3 575
-6%
3 719
+4%
Total Liabilities & Equity
8 091
N/A
7 300
-10%
7 018
-4%
7 023
+0%
8 129
+16%
7 588
-7%
7 156
-6%
6 348
-11%
6 433
+1%
7 440
+16%
8 564
+15%
8 920
+4%
8 872
-1%
10 019
+13%
11 440
+14%
14 387
+26%
17 561
+22%
18 472
+5%
18 913
+2%
18 847
0%
18 835
0%
22 029
+17%
21 756
-1%
21 658
0%
Shares Outstanding
Common Shares Outstanding
249
246
246
248
230
231
230
225
227
225
225
228
233
233
235
238
238
237
239
240
242
241
244
243