Carlsberg A/S
OTC:CABJF
Balance Sheet
Balance Sheet Decomposition
Carlsberg A/S
Carlsberg A/S
Balance Sheet
Carlsberg A/S
| 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
3 986
|
5 165
|
1 755
|
2 235
|
2 487
|
2 249
|
2 856
|
2 729
|
2 734
|
3 145
|
5 760
|
3 612
|
2 418
|
3 131
|
3 502
|
3 462
|
5 589
|
5 222
|
8 093
|
7 609
|
6 633
|
13 382
|
11 542
|
9 585
|
|
| Cash Equivalents |
3 986
|
5 165
|
1 755
|
2 235
|
2 487
|
2 249
|
2 856
|
2 729
|
2 734
|
3 145
|
5 760
|
3 612
|
2 418
|
3 131
|
3 502
|
3 462
|
5 589
|
5 222
|
8 093
|
7 609
|
6 633
|
13 382
|
11 542
|
9 585
|
|
| Short-Term Investments |
0
|
0
|
74
|
114
|
11
|
34
|
8
|
22
|
35
|
24
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
735
|
1 530
|
2 236
|
59
|
0
|
|
| Total Receivables |
8 261
|
8 285
|
7 742
|
9 126
|
7 337
|
7 856
|
9 726
|
7 823
|
7 625
|
9 830
|
9 981
|
9 679
|
9 656
|
8 585
|
8 251
|
6 930
|
7 222
|
7 199
|
5 521
|
8 236
|
7 786
|
7 934
|
7 608
|
11 085
|
|
| Accounts Receivables |
6 294
|
6 534
|
6 290
|
5 979
|
6 108
|
6 341
|
6 369
|
5 898
|
5 687
|
7 855
|
7 828
|
7 681
|
6 851
|
5 729
|
5 485
|
4 611
|
5 084
|
5 339
|
3 725
|
5 710
|
5 067
|
5 102
|
4 940
|
7 709
|
|
| Other Receivables |
1 967
|
1 751
|
1 452
|
3 147
|
1 229
|
1 515
|
3 357
|
1 925
|
1 938
|
1 975
|
2 153
|
1 998
|
2 805
|
2 856
|
2 766
|
2 319
|
2 138
|
1 860
|
1 796
|
2 526
|
2 719
|
2 832
|
2 668
|
3 376
|
|
| Inventory |
2 782
|
2 680
|
2 883
|
2 866
|
3 220
|
3 818
|
5 228
|
3 601
|
4 191
|
4 350
|
4 541
|
4 592
|
4 293
|
3 817
|
3 963
|
3 834
|
4 435
|
4 751
|
4 613
|
5 391
|
5 718
|
5 811
|
5 953
|
7 110
|
|
| Other Current Assets |
894
|
620
|
610
|
587
|
917
|
950
|
1 211
|
666
|
938
|
867
|
853
|
1 501
|
949
|
1 074
|
1 137
|
1 026
|
840
|
776
|
769
|
929
|
12 582
|
835
|
1 185
|
1 469
|
|
| Total Current Assets |
15 923
|
16 750
|
13 064
|
14 928
|
13 972
|
14 907
|
19 029
|
14 841
|
15 523
|
18 216
|
21 135
|
19 384
|
17 316
|
16 607
|
16 853
|
15 252
|
18 086
|
17 948
|
18 996
|
22 900
|
34 249
|
30 198
|
26 347
|
29 249
|
|
| PP&E Net |
20 850
|
19 131
|
20 435
|
20 355
|
20 367
|
22 109
|
34 052
|
31 825
|
32 420
|
31 848
|
31 991
|
31 738
|
29 173
|
26 678
|
25 810
|
24 325
|
25 394
|
27 607
|
26 299
|
26 648
|
23 679
|
24 405
|
27 050
|
32 780
|
|
| PP&E Gross |
20 850
|
19 131
|
20 435
|
20 355
|
20 367
|
22 109
|
34 052
|
31 825
|
32 420
|
31 848
|
31 991
|
31 738
|
29 173
|
26 678
|
25 810
|
24 325
|
25 394
|
27 607
|
26 299
|
26 648
|
23 679
|
24 405
|
27 050
|
32 780
|
|
| Accumulated Depreciation |
20 941
|
19 489
|
22 130
|
24 010
|
24 394
|
25 665
|
22 514
|
23 949
|
26 111
|
27 246
|
30 203
|
28 679
|
29 561
|
32 146
|
34 062
|
34 162
|
35 357
|
37 726
|
37 022
|
39 192
|
34 816
|
36 263
|
39 910
|
42 039
|
|
| Intangible Assets |
414
|
521
|
4 437
|
4 333
|
4 344
|
4 259
|
35 942
|
34 700
|
36 993
|
36 044
|
37 302
|
37 070
|
29 546
|
22 650
|
23 872
|
17 296
|
15 939
|
16 897
|
15 569
|
15 991
|
10 770
|
10 785
|
10 769
|
23 907
|
|
| Goodwill |
5 224
|
5 140
|
15 052
|
16 339
|
16 935
|
16 946
|
48 149
|
46 911
|
50 820
|
52 997
|
53 914
|
57 166
|
52 863
|
50 270
|
52 864
|
50 497
|
50 929
|
53 130
|
50 492
|
52 484
|
38 453
|
38 315
|
41 618
|
59 324
|
|
| Note Receivable |
2 090
|
2 136
|
1 290
|
1 235
|
1 139
|
1 476
|
1 707
|
1 604
|
1 747
|
1 650
|
2 208
|
2 049
|
2 130
|
1 854
|
1 071
|
952
|
1 097
|
1 179
|
1 004
|
1 075
|
936
|
881
|
814
|
860
|
|
| Long-Term Investments |
1 547
|
2 302
|
2 274
|
3 815
|
749
|
745
|
2 342
|
2 761
|
5 001
|
5 185
|
6 241
|
3 771
|
4 277
|
4 676
|
4 701
|
4 266
|
4 562
|
4 364
|
4 188
|
5 172
|
5 523
|
5 437
|
4 674
|
4 325
|
|
| Other Long-Term Assets |
475
|
732
|
1 146
|
1 354
|
945
|
778
|
1 418
|
1 873
|
1 728
|
1 774
|
1 170
|
1 130
|
2 153
|
2 166
|
1 735
|
1 663
|
1 693
|
1 938
|
2 268
|
2 113
|
1 731
|
1 810
|
2 056
|
3 510
|
|
| Other Assets |
5 224
|
5 140
|
15 052
|
16 339
|
16 935
|
16 946
|
48 149
|
46 911
|
50 820
|
52 997
|
53 914
|
57 166
|
52 863
|
50 270
|
52 864
|
50 497
|
50 929
|
53 130
|
50 492
|
52 484
|
38 453
|
38 315
|
41 618
|
59 324
|
|
| Total Assets |
46 523
N/A
|
46 712
+0%
|
57 698
+24%
|
62 359
+8%
|
58 451
-6%
|
61 220
+5%
|
142 639
+133%
|
134 515
-6%
|
144 232
+7%
|
147 714
+2%
|
153 961
+4%
|
152 308
-1%
|
137 458
-10%
|
124 901
-9%
|
126 906
+2%
|
114 251
-10%
|
117 700
+3%
|
123 063
+5%
|
118 816
-3%
|
126 383
+6%
|
115 341
-9%
|
111 831
-3%
|
113 328
+1%
|
153 955
+36%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
3 714
|
4 187
|
4 074
|
4 513
|
5 147
|
5 833
|
8 009
|
7 929
|
9 385
|
11 021
|
11 862
|
12 614
|
12 048
|
12 260
|
13 497
|
13 474
|
16 199
|
17 149
|
16 598
|
20 642
|
21 917
|
22 159
|
23 317
|
26 877
|
|
| Accrued Liabilities |
243
|
141
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
5 839
|
4 985
|
3 357
|
8 213
|
6 556
|
3 869
|
5 291
|
3 322
|
3 959
|
1 875
|
3 352
|
9 417
|
1 835
|
4 549
|
9 067
|
849
|
7 233
|
4 112
|
959
|
6 167
|
5 781
|
8 338
|
10 748
|
9 171
|
|
| Other Current Liabilities |
5 319
|
5 037
|
7 337
|
7 679
|
6 668
|
7 509
|
12 316
|
13 709
|
13 703
|
12 819
|
12 321
|
12 608
|
12 663
|
12 862
|
11 571
|
10 743
|
11 049
|
12 050
|
10 892
|
16 473
|
21 049
|
16 733
|
11 980
|
12 498
|
|
| Total Current Liabilities |
15 115
|
14 350
|
14 768
|
20 405
|
18 371
|
17 211
|
25 616
|
24 960
|
27 047
|
25 715
|
27 535
|
34 639
|
26 546
|
29 671
|
34 135
|
25 066
|
34 481
|
33 311
|
28 449
|
43 282
|
48 747
|
47 230
|
46 045
|
48 546
|
|
| Long-Term Debt |
10 696
|
10 883
|
21 708
|
17 765
|
16 241
|
19 385
|
43 230
|
36 075
|
32 587
|
34 364
|
36 706
|
30 239
|
38 690
|
31 479
|
21 137
|
23 340
|
16 750
|
20 879
|
29 291
|
22 755
|
22 865
|
30 763
|
27 392
|
61 452
|
|
| Deferred Income Tax |
1 304
|
1 167
|
2 334
|
2 362
|
2 425
|
2 191
|
9 885
|
9 688
|
9 929
|
9 652
|
9 682
|
9 215
|
7 147
|
5 924
|
6 250
|
5 601
|
5 659
|
6 447
|
6 265
|
6 350
|
4 841
|
4 823
|
4 744
|
8 675
|
|
| Minority Interest |
6 450
|
6 630
|
1 708
|
1 528
|
1 390
|
1 323
|
5 151
|
4 660
|
5 381
|
5 763
|
3 389
|
3 190
|
3 560
|
3 742
|
2 839
|
2 595
|
2 587
|
2 585
|
4 054
|
4 815
|
2 820
|
2 515
|
2 841
|
2 872
|
|
| Other Liabilities |
2 122
|
2 406
|
2 096
|
2 331
|
2 427
|
2 489
|
4 007
|
4 303
|
5 040
|
6 354
|
6 388
|
7 214
|
9 078
|
10 596
|
11 734
|
10 719
|
12 921
|
16 392
|
11 449
|
5 240
|
4 166
|
3 266
|
4 535
|
4 606
|
|
| Total Liabilities |
35 687
N/A
|
35 436
-1%
|
42 614
+20%
|
44 391
+4%
|
40 854
-8%
|
42 599
+4%
|
87 889
+106%
|
79 686
-9%
|
79 984
+0%
|
81 848
+2%
|
83 700
+2%
|
84 497
+1%
|
85 021
+1%
|
81 412
-4%
|
76 095
-7%
|
67 321
-12%
|
72 398
+8%
|
79 614
+10%
|
79 508
0%
|
82 442
+4%
|
83 439
+1%
|
88 597
+6%
|
85 557
-3%
|
126 151
+47%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
1 278
|
1 278
|
1 526
|
1 526
|
1 526
|
1 526
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
3 051
|
2 963
|
2 905
|
2 837
|
2 747
|
2 685
|
2 653
|
|
| Retained Earnings |
9 558
|
9 998
|
13 558
|
16 442
|
16 071
|
17 095
|
59 392
|
62 356
|
67 246
|
70 543
|
73 833
|
78 650
|
80 392
|
75 885
|
77 261
|
77 362
|
79 088
|
74 049
|
77 169
|
78 853
|
70 776
|
23 306
|
25 582
|
28 345
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
0
|
7 693
|
10 578
|
6 049
|
7 728
|
6 623
|
13 890
|
31 006
|
35 447
|
29 501
|
33 483
|
36 837
|
33 651
|
40 824
|
37 817
|
41 711
|
2 819
|
496
|
3 194
|
|
| Total Equity |
10 836
N/A
|
11 276
+4%
|
15 084
+34%
|
17 968
+19%
|
17 597
-2%
|
18 621
+6%
|
54 750
+194%
|
54 829
+0%
|
64 248
+17%
|
65 866
+3%
|
70 261
+7%
|
67 811
-3%
|
52 437
-23%
|
43 489
-17%
|
50 811
+17%
|
46 930
-8%
|
45 302
-3%
|
43 449
-4%
|
39 308
-10%
|
43 941
+12%
|
31 902
-27%
|
23 234
-27%
|
27 771
+20%
|
27 804
+0%
|
|
| Total Liabilities & Equity |
46 523
N/A
|
46 712
+0%
|
57 698
+24%
|
62 359
+8%
|
58 451
-6%
|
61 220
+5%
|
142 639
+133%
|
134 515
-6%
|
144 232
+7%
|
147 714
+2%
|
153 961
+4%
|
152 308
-1%
|
137 458
-10%
|
124 901
-9%
|
126 906
+2%
|
114 251
-10%
|
117 700
+3%
|
123 063
+5%
|
118 816
-3%
|
126 383
+6%
|
115 341
-9%
|
111 831
-3%
|
113 328
+1%
|
153 955
+36%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
74
|
74
|
86
|
86
|
86
|
86
|
153
|
153
|
153
|
153
|
153
|
153
|
153
|
153
|
153
|
152
|
152
|
148
|
145
|
142
|
137
|
134
|
132
|
132
|
|