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SPAR Group Ltd
OTC:SGPPF

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SPAR Group Ltd
OTC:SGPPF
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Price: 5.88 USD Market Closed
Market Cap: $1.1B

Balance Sheet

Balance Sheet Decomposition
SPAR Group Ltd

Balance Sheet
SPAR Group Ltd

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Balance Sheet
Currency: ZAR
Sep-2003 Sep-2004 Sep-2005 Sep-2006 Sep-2007 Sep-2008 Sep-2009 Sep-2010 Sep-2011 Sep-2012 Sep-2013 Sep-2014 Sep-2015 Sep-2016 Sep-2017 Sep-2018 Sep-2019 Sep-2020 Sep-2021 Sep-2022 Sep-2023 Sep-2024 Sep-2025
Assets
Cash & Cash Equivalents
37
0
69
69
453
58
69
85
96
842
112
436
481
2 040
1 741
1 607
1 486
1 934
1 645
1 113
1 708
1 622
2 753
Cash
37
0
0
0
389
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash Equivalents
0
0
69
69
64
58
69
85
96
842
112
436
481
2 040
1 741
1 607
1 486
1 934
1 645
1 113
1 708
1 622
2 753
Short-Term Investments
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1
0
0
0
0
0
Total Receivables
1 056
1 293
1 570
2 169
2 722
3 376
3 736
4 450
4 920
5 380
5 886
8 582
9 389
10 881
11 244
12 516
13 576
16 724
16 443
18 039
19 544
17 641
17 134
Accounts Receivables
0
0
1 570
2 146
2 498
3 068
3 359
3 928
4 378
4 859
5 271
7 528
8 166
10 544
9 400
10 602
11 900
13 436
13 446
14 499
15 887
14 820
14 382
Other Receivables
0
0
0
23
224
308
377
522
542
521
615
1 054
1 223
337
1 845
1 914
1 676
3 288
2 997
3 540
3 658
2 821
2 752
Inventory
316
335
385
449
595
796
853
959
1 135
1 416
1 374
2 203
2 430
3 811
3 816
3 933
4 447
5 377
5 303
6 554
6 760
6 364
4 653
Other Current Assets
7
6
33
13
46
54
26
29
27
36
33
33
64
75
78
110
257
289
227
257
283
341
446
Total Current Assets
1 415
1 635
2 056
2 700
3 815
4 284
4 684
5 523
6 178
7 673
7 405
11 254
12 365
16 807
16 880
18 166
19 767
24 324
23 618
25 963
28 295
25 968
24 986
PP&E Net
311
295
370
519
736
1 083
1 426
1 521
1 550
1 588
1 749
2 878
3 221
6 160
6 554
6 967
7 184
15 331
15 328
17 317
19 401
17 607
7 717
PP&E Gross
311
295
370
519
736
1 083
1 426
1 521
1 550
1 588
1 749
2 878
3 221
6 160
6 554
6 967
7 184
15 331
15 328
17 317
19 401
17 607
7 717
Accumulated Depreciation
243
252
275
306
303
358
435
520
621
723
813
947
1 253
1 666
2 050
2 696
2 832
12 574
12 123
13 988
16 960
16 882
8 684
Intangible Assets
0
0
0
0
0
0
0
0
0
0
0
0
1 687
4 008
1 734
1 788
2 132
2 808
2 772
3 219
3 530
3 518
3 575
Goodwill
7
247
246
246
246
246
246
300
382
391
388
2 545
1 595
0
2 428
2 649
2 932
4 176
4 065
4 357
4 711
4 648
2 849
Note Receivable
38
25
18
67
239
198
157
162
154
172
163
160
200
840
1 044
1 447
1 766
5 714
5 917
5 840
5 488
4 988
4 601
Long-Term Investments
0
0
0
6
4
4
4
19
24
61
55
49
35
93
175
215
123
125
109
146
168
178
170
Other Long-Term Assets
5
7
6
0
19
19
24
5
14
11
27
60
229
198
162
24
149
262
258
277
230
1 735
2 324
Other Assets
7
247
246
246
246
246
246
300
382
391
388
2 545
1 595
0
2 428
2 649
2 932
4 176
4 065
4 357
4 711
4 648
2 849
Total Assets
1 776
N/A
2 208
+24%
2 696
+22%
3 537
+31%
5 058
+43%
5 834
+15%
6 540
+12%
7 529
+15%
8 302
+10%
9 895
+19%
9 786
-1%
16 946
+73%
19 330
+14%
28 105
+45%
28 977
+3%
31 256
+8%
34 053
+9%
52 739
+55%
52 067
-1%
57 118
+10%
61 825
+8%
58 642
-5%
46 221
-21%
Liabilities
Accounts Payable
1 032
1 266
1 741
2 420
2 957
2 874
3 100
3 507
4 309
5 514
4 806
7 687
8 655
13 163
10 343
11 704
11 553
14 878
13 585
15 547
21 146
20 073
21 154
Short-Term Debt
0
307
69
27
0
310
351
531
115
0
111
980
519
507
269
9
1 554
1 210
2 416
3 013
3 158
3 697
680
Current Portion of Long-Term Debt
0
1
39
38
0
0
0
0
0
0
0
85
87
494
620
666
793
2 259
2 335
2 587
3 073
3 598
1 997
Other Current Liabilities
179
158
56
88
821
978
940
1 095
1 172
1 308
1 467
2 217
2 872
187
3 310
3 729
4 281
6 807
4 781
5 170
2 695
3 065
2 967
Total Current Liabilities
1 211
1 732
1 905
2 572
3 778
4 161
4 390
5 132
5 596
6 821
6 383
10 968
12 134
14 351
14 541
16 108
18 181
25 155
23 117
26 317
30 071
30 433
26 797
Long-Term Debt
5
0
1
0
0
0
0
0
0
0
0
2 415
3 098
4 701
4 686
4 530
5 009
18 097
19 398
20 108
20 733
17 004
13 590
Deferred Income Tax
0
0
0
6
0
0
0
0
1
4
2
2
215
291
361
413
297
278
312
436
545
534
235
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
70
178
227
7
0
0
Other Liabilities
32
39
41
66
170
185
209
210
216
232
223
534
555
3 135
2 829
3 094
3 099
1 320
861
249
254
298
287
Total Liabilities
1 248
N/A
1 771
+42%
1 947
+10%
2 644
+36%
3 948
+49%
4 346
+10%
4 600
+6%
5 342
+16%
5 812
+9%
7 058
+21%
6 608
-6%
13 920
+111%
16 002
+15%
22 478
+40%
22 416
0%
24 146
+8%
26 586
+10%
44 779
+68%
43 865
-2%
47 336
+8%
51 610
+9%
48 268
-6%
40 909
-15%
Equity
Common Stock
0
0
5
13
13
13
0
0
0
55
62
68
68
2 232
2 232
2 232
2 232
2 232
2 232
2 232
2 232
2 232
2 232
Retained Earnings
528
437
744
944
1 251
1 552
1 917
2 165
2 468
2 790
3 158
2 991
3 250
3 435
4 327
4 737
5 032
5 214
5 407
6 645
6 776
7 168
2 394
Additional Paid In Capital
1
0
0
35
0
0
23
33
50
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Treasury Stock
0
0
0
100
154
78
0
11
28
7
43
48
27
19
16
10
24
15
13
31
2
2
2
Other Equity
0
0
0
0
0
0
0
0
0
0
1
17
37
20
18
151
227
530
576
937
1 209
976
688
Total Equity
528
N/A
437
-17%
749
+71%
892
+19%
1 110
+24%
1 488
+34%
1 940
+30%
2 187
+13%
2 490
+14%
2 838
+14%
3 178
+12%
3 027
-5%
3 328
+10%
5 628
+69%
6 560
+17%
7 110
+8%
7 467
+5%
7 960
+7%
8 202
+3%
9 782
+19%
10 215
+4%
10 374
+2%
5 312
-49%
Total Liabilities & Equity
1 776
N/A
2 208
+24%
2 696
+22%
3 537
+31%
5 058
+43%
5 834
+15%
6 540
+12%
7 529
+15%
8 302
+10%
9 895
+19%
9 786
-1%
16 946
+73%
19 330
+14%
28 105
+45%
28 977
+3%
31 256
+8%
34 053
+9%
52 739
+55%
52 067
-1%
57 118
+10%
61 825
+8%
58 642
-5%
46 221
-21%
Shares Outstanding
Common Shares Outstanding
169
169
169
167
166
168
171
171
172
172
172
173
173
193
193
193
192
193
193
192
193
193
193