O

Origin Enterprises PLC
LSE:OGN

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Origin Enterprises PLC
LSE:OGN
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Price: 3.7 EUR Market Closed
Market Cap: €395.6m

Balance Sheet

Balance Sheet Decomposition
Origin Enterprises PLC

Balance Sheet
Origin Enterprises PLC

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Balance Sheet
Currency: EUR
Jul-2005 Jul-2006 Jul-2007 Jul-2008 Jul-2009 Jul-2010 Jul-2011 Jul-2012 Jul-2013 Jul-2014 Jul-2015 Jul-2016 Jul-2017 Jul-2018 Jul-2019 Jul-2020 Jul-2021 Jul-2022 Jul-2023 Jul-2024 Jul-2025
Assets
Cash & Cash Equivalents
79
35
32
75
90
76
56
95
126
140
199
168
163
147
112
172
169
193
151
125
170
Cash
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
172
169
193
151
125
170
Cash Equivalents
79
35
32
75
90
76
56
95
126
140
199
168
163
147
112
0
0
0
0
0
0
Total Receivables
77
94
85
197
191
174
214
266
348
281
323
419
387
445
514
395
421
436
425
461
450
Accounts Receivables
67
77
68
184
182
170
212
264
343
278
321
413
382
431
508
389
412
428
417
451
439
Other Receivables
10
17
17
13
9
4
2
2
5
3
2
6
5
13
6
6
9
9
7
10
12
Inventory
55
56
68
161
96
82
103
106
108
134
158
163
159
194
203
189
214
380
232
228
229
Other Current Assets
0
0
0
8
8
6
7
7
9
11
42
15
15
18
41
40
38
27
22
23
27
Total Current Assets
211
185
185
441
385
338
380
475
590
566
723
766
724
805
870
797
842
1 037
830
837
876
PP&E Net
99
99
71
106
87
129
94
91
81
90
98
103
105
118
108
149
150
155
172
192
203
PP&E Gross
99
99
71
106
87
129
94
91
81
90
98
103
105
118
108
149
150
155
172
192
203
Accumulated Depreciation
85
85
85
121
85
83
36
39
36
41
49
49
55
60
65
72
75
73
78
81
79
Intangible Assets
3
3
2
43
45
43
56
61
55
64
63
74
77
78
95
73
77
74
86
91
90
Goodwill
14
14
13
74
71
72
75
82
75
88
99
111
129
138
176
163
171
178
214
218
229
Long-Term Investments
17
20
192
225
143
106
170
175
92
105
47
51
44
60
52
43
46
51
56
48
57
Other Long-Term Assets
5
2
2
5
5
5
5
5
5
4
3
7
4
5
4
7
12
18
18
16
13
Other Assets
14
14
13
74
71
72
75
82
75
88
99
111
129
138
176
163
171
178
214
218
229
Total Assets
348
N/A
322
-8%
465
+44%
893
+92%
736
-18%
692
-6%
779
+13%
889
+14%
898
+1%
917
+2%
1 032
+13%
1 113
+8%
1 083
-3%
1 204
+11%
1 306
+8%
1 232
-6%
1 298
+5%
1 512
+17%
1 376
-9%
1 402
+2%
1 467
+5%
Liabilities
Accounts Payable
131
171
83
226
188
174
264
341
330
388
444
514
449
540
566
488
523
674
591
572
562
Accrued Liabilities
36
37
47
101
91
83
93
84
86
82
80
79
95
93
111
94
111
154
119
112
104
Short-Term Debt
0
0
0
0
0
0
0
0
4
5
8
9
16
21
24
20
13
17
1
0
0
Current Portion of Long-Term Debt
40
0
21
1
11
4
6
7
0
30
32
0
0
0
0
9
40
10
12
14
12
Other Current Liabilities
8
7
11
12
9
24
21
26
19
25
45
31
24
19
36
27
27
58
70
23
29
Total Current Liabilities
216
215
162
340
299
284
384
458
439
530
609
632
584
673
737
637
713
913
793
722
707
Long-Term Debt
0
0
83
249
233
184
142
156
151
116
100
159
178
165
163
238
176
172
140
243
297
Deferred Income Tax
6
6
32
43
19
18
21
21
15
16
16
19
18
22
23
20
21
21
21
22
23
Minority Interest
0
0
0
2
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
28
12
4
38
41
24
15
11
18
30
24
23
17
14
36
25
26
4
11
10
16
Total Liabilities
250
N/A
232
-7%
281
+21%
672
+139%
592
-12%
511
-14%
561
+10%
646
+15%
623
-4%
693
+11%
750
+8%
833
+11%
796
-4%
874
+10%
960
+10%
920
-4%
937
+2%
1 110
+18%
965
-13%
997
+3%
1 043
+5%
Equity
Common Stock
0
0
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
Retained Earnings
98
89
83
73
166
203
56
81
322
263
305
328
350
388
409
399
438
500
527
552
567
Additional Paid In Capital
0
0
265
265
160
160
160
160
160
160
160
160
160
160
160
160
160
161
161
161
161
Unrealized Security Profit/Loss
0
0
0
107
162
162
0
0
184
184
184
184
184
184
184
184
184
184
184
184
184
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
36
52
68
47
Other Equity
0
0
0
11
22
21
0
0
25
16
0
26
41
36
41
65
55
39
42
58
74
Total Equity
98
N/A
89
-9%
183
+105%
222
+21%
144
-35%
182
+26%
218
+20%
243
+11%
275
+13%
224
-18%
282
+26%
279
-1%
287
+3%
330
+15%
346
+5%
312
-10%
361
+16%
403
+12%
411
+2%
405
-1%
424
+5%
Total Liabilities & Equity
348
N/A
322
-8%
465
+44%
893
+92%
736
-18%
692
-6%
779
+13%
889
+14%
898
+1%
917
+2%
1 032
+13%
1 113
+8%
1 083
-3%
1 204
+11%
1 306
+8%
1 232
-6%
1 298
+5%
1 512
+17%
1 376
-9%
1 402
+2%
1 467
+5%
Shares Outstanding
Common Shares Outstanding
133
133
133
133
133
133
133
138
140
125
125
126
126
126
126
126
126
116
112
107
107
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