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Berjaya Corporation Bhd
OTC:BRYAF

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Berjaya Corporation Bhd
OTC:BRYAF
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Price: 0.0672 USD Market Closed
Market Cap: $871.2m

Balance Sheet

Balance Sheet Decomposition
Berjaya Corporation Bhd

Balance Sheet
Berjaya Corporation Bhd

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Balance Sheet
Currency: MYR
Apr-2002 Apr-2003 Apr-2004 Apr-2005 Apr-2006 Apr-2007 Apr-2008 Apr-2009 Apr-2010 Apr-2011 Apr-2012 Apr-2013 Apr-2014 Apr-2015 Apr-2016 Apr-2017 Apr-2018 Jun-2019 Jun-2020 Jun-2021 Jun-2022 Jun-2023 Jun-2024 Jun-2025
Assets
Cash & Cash Equivalents
249
215
152
230
289
329
508
427
509
579
570
555
915
959
1 789
1 098
921
882
1 010
646
722
1 041
904
833
Cash
249
215
152
230
289
329
508
427
509
579
570
555
915
959
1 789
1 098
921
882
1 010
646
722
1 041
904
833
Short-Term Investments
363
276
282
313
253
541
1 020
824
912
704
1 369
813
731
639
822
648
755
721
573
621
737
727
1 056
1 094
Total Receivables
1 807
1 623
1 194
1 119
1 352
1 261
1 645
1 636
1 672
1 001
1 024
1 285
956
923
1 532
1 954
1 298
1 189
1 891
1 814
1 834
1 654
2 271
1 787
Accounts Receivables
1 238
1 192
805
525
635
586
960
944
961
708
791
960
608
527
1 467
689
549
642
573
670
690
725
1 178
863
Other Receivables
569
431
389
594
717
675
685
692
711
293
233
325
348
397
65
1 265
749
548
1 318
1 144
1 144
930
1 093
924
Inventory
1 462
1 408
956
1 089
1 217
1 146
1 222
1 536
1 281
1 562
1 810
1 887
3 015
2 955
1 900
2 135
1 959
1 947
1 785
1 590
1 559
1 924
1 653
1 648
Other Current Assets
111
101
87
91
156
277
223
270
671
1 366
348
343
336
1 007
1 393
315
882
676
1 206
429
430
899
479
614
Total Current Assets
3 992
3 623
2 671
2 842
3 267
3 554
4 618
4 692
5 045
5 213
5 121
4 883
5 953
6 484
7 436
6 150
5 815
5 415
6 465
5 101
5 282
6 245
6 351
5 964
PP&E Net
3 320
3 076
2 811
2 603
2 963
3 160
2 692
2 873
3 304
2 842
2 878
2 927
3 136
3 520
3 772
3 727
3 465
3 481
5 079
4 998
5 084
5 857
5 328
5 092
PP&E Gross
3 320
3 076
2 811
2 603
2 963
3 160
2 692
2 873
3 304
2 842
2 878
2 927
3 136
3 520
0
3 727
3 465
3 481
5 079
4 998
5 084
5 857
5 328
5 092
Accumulated Depreciation
1 091
1 024
947
956
1 015
638
824
906
967
1 217
1 408
1 549
1 727
1 868
0
2 111
2 207
2 282
3 089
2 402
2 589
2 693
2 689
2 798
Intangible Assets
132
113
39
33
26
18
4 973
4 816
4 691
4 662
4 786
4 804
5 011
5 139
6 583
4 833
4 681
4 246
4 079
4 018
4 034
3 853
3 808
3 712
Goodwill
2 310
1 407
1 111
942
487
810
1 375
1 376
1 422
1 231
1 234
1 248
1 171
1 282
0
1 022
1 015
1 005
915
861
844
858
855
851
Note Receivable
0
0
0
0
0
0
0
0
0
352
80
525
513
580
1 189
1 361
1 593
1 407
263
359
384
419
470
511
Long-Term Investments
1 681
2 884
3 104
3 115
3 690
3 278
2 601
2 680
3 205
3 541
3 901
4 726
4 729
5 234
4 293
4 363
4 176
4 158
4 526
4 681
4 711
4 813
2 987
3 390
Other Long-Term Assets
6
7
19
25
23
16
166
169
159
35
467
57
78
56
86
77
111
108
114
104
112
145
2 708
2 959
Other Assets
2 310
1 407
1 111
942
487
810
1 375
1 376
1 422
1 231
1 234
1 248
1 171
1 282
0
1 022
1 015
1 005
915
861
844
858
855
851
Total Assets
11 442
N/A
11 110
-3%
9 754
-12%
9 561
-2%
10 455
+9%
10 836
+4%
16 426
+52%
16 605
+1%
17 825
+7%
17 876
+0%
18 467
+3%
19 169
+4%
20 591
+7%
22 294
+8%
23 359
+5%
21 533
-8%
20 856
-3%
19 821
-5%
21 441
+8%
20 123
-6%
20 451
+2%
22 191
+9%
22 508
+1%
22 478
0%
Liabilities
Accounts Payable
1 974
1 287
1 087
1 642
1 814
1 131
541
609
779
788
838
942
837
844
2 758
708
524
564
518
469
429
575
3 385
3 487
Accrued Liabilities
0
0
0
0
0
0
321
395
321
348
410
431
488
451
0
602
521
541
543
641
637
696
1 064
706
Short-Term Debt
1 699
1 755
1 279
1 562
1 588
806
1 026
1 673
1 494
1 732
1 849
326
250
344
2 844
655
452
261
173
493
178
905
1 967
1 842
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
733
23
2 317
2 066
1 947
0
2 654
2 215
2 186
2 384
2 111
1 928
2 319
1 183
1 784
Other Current Liabilities
273
263
221
205
231
448
996
1 045
1 545
1 319
663
762
1 259
1 192
222
1 032
1 495
1 348
1 586
1 345
1 749
1 981
1 655
1 564
Total Current Liabilities
3 947
3 305
2 587
3 410
3 632
2 384
2 884
3 722
4 139
4 920
3 783
4 779
4 899
4 779
5 824
5 651
5 208
4 901
5 204
5 058
4 920
6 476
6 512
6 571
Long-Term Debt
3 717
3 291
3 060
2 703
2 237
3 193
2 655
2 231
2 204
1 365
3 296
3 003
4 052
4 928
4 689
3 457
3 681
3 559
4 990
4 525
5 056
5 165
5 309
5 713
Deferred Income Tax
105
90
175
137
339
421
362
368
338
355
384
319
350
358
1 531
1 361
1 354
1 251
1 319
1 244
1 237
1 205
1 214
1 199
Minority Interest
2 471
2 316
2 343
2 429
1 193
1 261
4 593
4 396
4 815
4 762
4 831
4 970
5 293
5 015
4 476
3 663
3 482
3 044
2 978
2 824
2 808
2 694
2 831
2 580
Other Liabilities
338
1 383
1 282
390
403
296
285
296
391
453
450
281
296
211
259
245
424
378
377
388
358
497
339
271
Total Liabilities
10 577
N/A
10 384
-2%
9 446
-9%
9 068
-4%
7 805
-14%
7 555
-3%
10 780
+43%
11 013
+2%
11 888
+8%
11 855
0%
12 745
+8%
13 352
+5%
14 891
+12%
15 291
+3%
16 779
+10%
14 377
-14%
14 150
-2%
13 132
-7%
14 867
+13%
14 039
-6%
14 380
+2%
16 037
+12%
16 206
+1%
16 335
+1%
Equity
Common Stock
1 498
1 498
1 498
1 498
1 859
2 424
3 004
3 170
4 022
4 221
4 269
4 295
4 301
4 331
4 673
4 931
4 931
5 018
5 018
5 093
5 286
5 348
5 348
5 348
Retained Earnings
1 383
1 976
2 399
2 230
756
9
716
555
714
813
1 191
1 352
1 146
2 435
1 784
1 639
1 134
1 387
1 366
796
833
874
908
405
Additional Paid In Capital
734
734
734
734
0
0
0
0
0
0
6
6
7
7
0
0
0
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
0
0
0
0
0
0
1 175
1 122
970
973
931
855
899
769
0
132
170
88
98
22
87
69
107
269
Treasury Stock
0
0
0
0
0
0
0
0
4
37
74
80
83
130
130
34
34
34
92
60
75
92
30
33
Other Equity
15
470
474
490
1 548
867
752
747
235
50
601
610
569
408
254
488
506
406
381
276
114
92
183
155
Total Equity
865
N/A
726
-16%
308
-58%
492
+60%
2 651
+439%
3 281
+24%
5 646
+72%
5 593
-1%
5 938
+6%
6 021
+1%
5 722
-5%
5 817
+2%
5 701
-2%
7 003
+23%
6 580
-6%
7 155
+9%
6 707
-6%
6 689
0%
6 574
-2%
6 083
-7%
6 071
0%
6 154
+1%
6 302
+2%
6 144
-3%
Total Liabilities & Equity
11 442
N/A
11 110
-3%
9 754
-12%
9 561
-2%
10 455
+9%
10 836
+4%
16 426
+52%
16 605
+1%
17 825
+7%
17 876
+0%
18 467
+3%
19 169
+4%
20 591
+7%
22 294
+8%
23 359
+5%
21 533
-8%
20 856
-3%
19 821
-5%
21 441
+8%
20 123
-6%
20 451
+2%
22 191
+9%
22 508
+1%
22 478
0%
Shares Outstanding
Common Shares Outstanding
1 543
1 543
1 543
1 543
1 914
2 497
3 094
3 265
4 139
4 314
4 327
4 342
4 343
4 273
4 811
5 071
4 876
5 165
5 069
5 420
5 874
5 918
5 841
5 832