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Koninklijke Ahold Delhaize NV
OTC:ADRNY

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Koninklijke Ahold Delhaize NV
OTC:ADRNY
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Price: 47.44 USD -1.8% Market Closed
Market Cap: $44.5B

Balance Sheet

Balance Sheet Decomposition
Koninklijke Ahold Delhaize NV

Balance Sheet
Koninklijke Ahold Delhaize NV

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Balance Sheet
Currency: EUR
Dec-2002 Dec-2003 Jan-2005 Jan-2006 Dec-2006 Dec-2007 Dec-2008 Jan-2010 Jan-2011 Jan-2012 Dec-2012 Dec-2013 Dec-2014 Jan-2016 Jan-2017 Dec-2017 Dec-2018 Dec-2019 Jan-2021 Jan-2022 Jan-2023 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
1 002
3 340
3 205
2 228
1 844
3 263
2 863
2 688
2 600
0
1 886
2 496
1 624
1 826
4 032
4 581
3 122
3 717
2 933
2 993
3 054
3 474
6 157
3 547
Cash
0
0
0
0
0
0
322
344
288
0
339
290
343
463
314
341
309
250
226
241
310
356
317
345
Cash Equivalents
1 002
3 340
3 205
2 228
1 844
3 263
2 541
2 344
2 312
0
1 547
2 206
1 281
1 363
3 718
4 240
2 813
3 467
2 707
2 752
2 744
3 118
5 840
3 202
Short-Term Investments
0
0
0
0
0
0
18
310
245
336
43
1 520
323
596
677
238
559
317
360
356
358
290
309
362
Total Receivables
2 231
2 632
2 184
2 462
2 107
948
810
713
783
27
840
676
787
851
1 624
1 760
1 801
1 944
2 033
2 103
2 439
2 568
2 830
2 813
Accounts Receivables
1 283
1 889
1 146
1 325
1 242
408
362
349
337
0
407
339
370
396
876
917
940
991
1 025
1 055
1 241
1 394
1 355
1 326
Other Receivables
948
743
1 038
1 137
865
540
448
364
446
0
433
337
417
455
748
843
861
953
1 008
1 048
1 198
1 174
1 475
1 487
Inventory
4 235
3 100
2 255
2 450
2 124
1 315
1 319
1 209
1 331
0
1 492
1 450
1 589
1 676
3 288
3 077
3 196
3 347
3 245
3 728
4 611
4 583
4 797
4 794
Other Current Assets
308
193
2 162
256
581
301
127
185
235
4 830
155
126
125
311
356
314
240
245
357
404
356
548
433
407
Total Current Assets
7 776
9 265
9 806
7 396
6 656
5 827
5 137
5 105
5 194
5 193
4 416
6 268
4 448
5 260
9 977
9 970
8 918
9 570
8 928
9 584
10 818
11 463
14 526
11 923
PP&E Net
11 043
9 283
6 506
7 403
6 925
5 390
6 027
5 938
6 409
0
6 038
5 712
6 150
6 677
11 770
10 689
17 073
17 827
18 151
20 848
22 089
21 130
21 602
21 117
PP&E Gross
11 043
0
6 506
7 403
6 925
5 390
6 027
5 938
6 409
0
6 038
5 712
6 150
6 677
11 770
10 689
17 073
17 827
18 151
20 848
22 089
21 130
21 602
21 117
Accumulated Depreciation
5 849
0
4 674
5 687
5 381
4 468
4 292
4 674
5 393
0
5 987
6 105
7 108
8 415
9 500
9 677
10 135
11 328
10 988
12 505
14 164
14 390
15 661
15 278
Intangible Assets
814
671
537
536
470
351
347
365
389
836
800
726
732
732
5 152
4 774
4 719
4 827
4 734
5 129
5 254
5 210
5 330
5 304
Goodwill
3 053
2 431
1 961
2 263
2 184
252
251
254
373
0
769
837
1 031
1 236
7 395
6 860
7 094
7 233
6 831
7 641
7 920
7 788
8 090
8 363
Note Receivable
311
0
0
0
0
0
0
0
0
0
35
32
36
31
53
55
52
44
42
423
405
116
147
219
Long-Term Investments
1 284
1 505
1 953
1 688
1 679
1 729
1 457
1 816
1 925
2 539
1 664
840
897
939
1 164
1 017
1 735
1 686
1 551
1 651
1 657
1 641
1 659
1 532
Other Long-Term Assets
457
507
611
672
528
395
384
455
435
6 412
850
727
844
1 005
764
506
239
303
455
436
412
473
488
631
Other Assets
3 053
2 431
1 961
2 263
2 184
252
251
254
373
0
769
837
1 031
1 236
7 395
6 860
7 094
7 233
6 831
7 641
7 920
7 788
8 090
8 363
Total Assets
24 738
N/A
23 662
-4%
21 374
-10%
19 958
-7%
18 442
-8%
13 944
-24%
13 603
-2%
13 933
+2%
14 725
+6%
14 980
+2%
14 572
-3%
15 142
+4%
14 138
-7%
15 880
+12%
36 275
+128%
33 871
-7%
39 830
+18%
41 490
+4%
40 692
-2%
45 712
+12%
48 555
+6%
47 821
-2%
51 842
+8%
49 089
-5%
Liabilities
Accounts Payable
4 480
3 914
2 744
3 206
2 955
2 240
2 284
2 137
2 323
2 436
2 667
2 387
2 655
2 800
5 389
5 277
5 815
6 311
6 795
7 563
8 191
8 278
8 524
9 009
Accrued Liabilities
1 425
1 304
1 094
958
1 260
782
567
549
553
0
533
542
607
1 021
0
2 105
2 284
2 375
2 711
2 996
3 199
3 084
3 199
3 214
Short-Term Debt
2 370
1 991
612
597
56
66
37
38
39
0
42
52
47
52
1 253
1 432
753
1 455
757
952
916
1 017
2 257
926
Current Portion of Long-Term Debt
0
0
1 853
320
539
1 126
422
420
78
0
97
96
118
141
738
645
1 324
1 664
1 491
1 398
1 560
2 068
2 074
2 374
Other Current Liabilities
769
864
1 974
1 801
1 011
719
828
881
1 099
2 178
1 088
1 065
1 039
988
3 017
846
767
785
1 058
1 270
1 216
1 163
1 342
1 271
Total Current Liabilities
9 044
8 073
8 277
6 882
5 821
4 933
4 138
4 025
4 092
4 614
4 427
4 142
4 466
5 002
10 397
10 305
10 943
12 590
12 812
14 179
15 082
15 610
17 396
16 794
Long-Term Debt
10 537
8 768
7 555
6 831
5 885
4 187
3 924
3 413
3 577
3 144
3 107
2 873
3 032
3 309
5 569
5 174
12 408
12 325
12 305
14 739
15 164
14 682
15 984
15 103
Deferred Income Tax
572
228
64
57
73
34
115
173
177
199
98
123
150
110
1 596
1 105
682
786
664
746
1 005
925
1 051
1 135
Minority Interest
56
71
64
63
71
77
0
0
0
0
0
0
0
1
0
0
0
0
0
0
0
0
0
0
Other Liabilities
1 920
1 671
1 526
1 527
1 393
903
739
882
969
1 146
1 794
1 484
1 646
1 838
2 437
2 117
1 592
1 706
2 479
2 327
1 899
1 849
1 957
1 862
Total Liabilities
22 129
N/A
18 811
-15%
17 486
-7%
15 360
-12%
13 243
-14%
10 134
-23%
8 916
-12%
8 493
-5%
8 815
+4%
9 103
+3%
9 426
+4%
8 622
-9%
9 294
+8%
10 258
+10%
19 999
+95%
18 701
-6%
25 625
+37%
27 407
+7%
28 260
+3%
31 991
+13%
33 150
+4%
33 066
0%
36 388
+10%
34 894
-4%
Equity
Common Stock
298
480
389
389
558
544
358
358
358
330
318
318
9
8
13
12
12
11
11
10
10
10
9
9
Retained Earnings
9 200
10 146
9 916
9 808
8 993
6 923
4 874
4 154
3 916
3 189
3 467
1 938
1 774
668
291
542
276
1 670
1 016
2 799
5 198
6 168
7 067
8 303
Additional Paid In Capital
11 220
13 980
13 416
13 422
13 453
10 536
9 916
9 916
9 916
9 094
8 713
8 713
6 844
6 059
15 802
15 175
13 999
12 246
12 246
10 988
9 603
8 413
7 516
6 524
Other Equity
291
537
1
595
181
347
713
680
448
358
418
573
235
223
752
559
82
156
841
76
594
164
862
641
Total Equity
2 609
N/A
4 851
+86%
3 888
-20%
4 598
+18%
5 199
+13%
3 810
-27%
4 687
+23%
5 440
+16%
5 910
+9%
5 877
-1%
5 146
-12%
6 520
+27%
4 844
-26%
5 622
+16%
16 276
+190%
15 170
-7%
14 205
-6%
14 083
-1%
12 432
-12%
13 721
+10%
15 405
+12%
14 755
-4%
15 454
+5%
14 195
-8%
Total Liabilities & Equity
24 738
N/A
23 662
-4%
21 374
-10%
19 958
-7%
18 442
-8%
13 944
-24%
13 603
-2%
13 933
+2%
14 725
+6%
14 980
+2%
14 572
-3%
15 142
+4%
14 138
-7%
15 880
+12%
36 275
+128%
33 871
-7%
39 830
+18%
41 490
+4%
40 692
-2%
45 712
+12%
48 555
+6%
47 821
-2%
51 842
+8%
49 089
-5%
Shares Outstanding
Common Shares Outstanding
647
1 079
1 080
1 081
1 081
1 018
1 022
1 026
995
921
902
854
774
770
1 272
1 228
1 130
1 088
1 047
1 011
977
946
914
887
Preferred Shares Outstanding
259
369
369
369
369
0
0
268
268
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
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