Neste (NTOIF) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Neste

OTC: NTOIF · Real-Time Price · USD
17.50
0.00 (0.00%)
At close: Sep 30, 2025, 10:24 AM
17.50
0.00%
After-hours: Oct 01, 2025, 08:00 PM EDT

Neste Balance Sheet Statement

Financials in EUR. Fiscal year is January - December.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
981M 1.14B 955M 922M 823M 1.37B 1.57B 1.43B 1.04B 1.75B 1.27B 1.03B 1.14B 806M 1.58B 1.47B 1.28B 1.37B
Short-Term Investments
n/a n/a n/a n/a n/a -146M 5M -123M -126M -118M -109M -147M 25M 155M 135M 21M 36M 27M
Long-Term Investments
n/a 93M 93M 93M 241M 247M 264M 245M 233M 222M 216M 258M 82M -42M -27M 72M 57M 66M
Other Long-Term Assets
242M 150M 161M 162M n/a 1M n/a 1M n/a 1M -1M n/a 150M 238M 209M 96M 102M 91M
Receivables
1.31B 1.49B 1.53B 1.67B 1.7B n/a 1.99B 2.19B 1.91B 1.74B 2.17B 2.5B 2.95B 2.08B 1.68B 1.55B 1.48B 1.49B
Inventory
3.05B 3.24B 2.9B 3.45B 4.04B 4.08B 3.37B 3.84B 3.73B 3.81B 3.65B 4.19B 4.51B 3.81B 2.62B 2.6B 2.42B 2.28B
Other Current Assets
306M 176M 163M 309M 240M 143M 2.17B 313M 285M 356M 2.58B 481M 513M 882M 513M 491M 137M 169M
Total Current Assets
5.65B 6.05B 5.55B 6.35B 6.81B 7.29B 7.13B 7.77B 6.96B 7.66B 7.5B 8.2B 9.14B 7.73B 6.52B 6.13B 5.34B 5.33B
Property-Plant & Equipment
8.76B 8.89B 8.87B 8.62B 8.46B 8.06B 7.79B 7.54B 7.27B 7.02B 6.57B 6.19B 5.32B 5.23B 5.15B 4.99B 4.89B 4.69B
Goodwill & Intangibles
626M 661M 678M 656M 678M 683M 681M 702M 698M 706M 570M 590M 566M 535M 516M 441M 433M 441M
Total Long-Term Assets
9.86B 10.04B 10.03B 9.7B 9.57B 9.14B 8.86B 8.63B 8.31B 8.02B 7.41B 7.08B 6.17B 6.01B 5.89B 5.64B 5.52B 5.33B
Total Assets
15.51B 16.09B 15.58B 16.05B 16.38B 16.43B 15.98B 16.4B 15.27B 15.68B 14.92B 15.27B 15.31B 13.74B 12.42B 11.76B 10.87B 10.66B
Account Payables
2.17B 2.47B 2.19B 2.73B 3.16B 3.54B 1.73B 3.2B 2.88B 3.56B 2.02B 3.21B 3.56B 3.59B 1.83B 2.46B 2.22B 2.34B
Deferred Revenue
n/a n/a n/a n/a 39M n/a 15M n/a n/a n/a 243M n/a n/a n/a 205M n/a n/a n/a
Short-Term Debt
429M 506M 562M 617M 519M 580M 382M 615M 549M 518M 541M 635M 564M 410M 268M 513M 473M 493M
Other Current Liabilities
145M 110M 230M 102M 186M 220M 1.06B 563M 267M 299M 1.2B 849M 626M 423M 1.13B 230M 146M 215M
Total Current Liabilities
2.96B 3.33B 3.21B 3.68B 4.13B 4.59B 3.39B 4.75B 3.96B 4.43B 3.92B 4.96B 5.09B 4.64B 3.35B 3.3B 2.96B 3.18B
Long-Term Debt
3.98B 4.03B 3.47B 3.35B 3.23B 2.71B 2.72B 2.1B 2.1B 2.96B 1.54B 1.9B 1.54B 1.04B 1.04B 984M 922M 933M
Other Long-Term Liabilities
309M 291M 255M 301M 664M 327M 645M 28M 356M 364M 42M 315M 336M 339M 44M 301M 280M 241M
Total Long-Term Liabilities
5.37B 5.5B 4.95B 4.83B 4.72B 4.17B 4.13B 3.56B 3.53B 3.68B 2.67B 2.56B 2.56B 2.09B 2.09B 1.94B 1.87B 1.86B
Total Liabilities
8.33B 8.83B 8.16B 8.51B 8.85B 8.76B 7.52B 8.31B 7.49B 8.11B 6.59B 7.53B 7.65B 6.73B 5.43B 5.23B 4.83B 5.04B
Total Debt
5.34B 5.59B 5.15B 5.02B 4.79B 4.34B 4.07B 3.65B 3.54B 3.48B 2.62B 2.53B 2.57B 1.91B 1.76B 1.9B 1.82B 1.87B
Book Value
7.18B 7.26B 7.42B 7.54B 7.53B 7.67B 8.46B 8.09B 7.78B 7.57B 8.33B 7.75B 7.66B 7.01B 6.99B 6.53B 6.04B 5.62B
Book Value Per Share
9.97 9.45 9.89 9.82 9.80 9.98 11.02 10.53 10.12 9.85 10.84 10.25 9.97 9.13 9.10 8.50 7.87 7.32
Common Stock
40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M 40M
Retained Earnings
7.31B 7.34B 7.54B 7.67B 7.64B 7.79B 8.55B 8.17B 7.82B 7.57B 8.31B 7.79B 7.66B 7.04B 7.04B 6.58B 6.07B 5.65B
Comprehensive Income
n/a n/a n/a -169M -153M -146M -198M -122M -149M -149M -120M 62M -3M -55M 25M -56M -59M 34M
Shareholders Equity
7.18B 7.26B 7.42B 7.54B 7.53B 7.67B 8.46B 8.09B 7.77B 7.56B 8.32B 7.74B 7.66B 7B 6.98B 6.52B 6.04B 5.62B
Total Investments
87M 93M 93M 93M 241M 101M 269M 122M 107M 104M 107M 111M 107M 113M 108M 93M 93M 93M