Valneva SE

NASDAQ: VALN · Real-Time Price · USD
11.51
1.04 (9.93%)
At close: Aug 15, 2025, 3:59 PM
11.70
1.65%
After-hours: Aug 15, 2025, 07:45 PM EDT

Valneva SE Balance Sheet Statement

Financials in EUR. Fiscal year is January - December.
Fiscal Year 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 Q2 2021 Q1 2021
Period Ending 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 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
152.99M 168.27M 156.34M 131.41M 176.64M 126.08M 171.25M 204.41M 254.49M 289.43M 261.04M 336.18M 311.26M 346.64M 329.72M 235.91M
Short-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 2.12M 2.12M 2.04M 2.11M
Other Long-Term Assets
8.35M 8.04M 7.55M 9.05M 8.77M 8.49M 8.22M 7.93M 8.59M 8.3M 18.29M 17.95M 19.52M 19.28M 18.06M 19.85M
Receivables
33.52M 35.2M 30.36M 30.52M 27.29M 41.65M 44.35M 33.67M 27.02M 23.91M 57.73M 16.25M 25.06M 44.01M 18.01M 25.1M
Inventory
61.68M 53.66M 57.83M 48.87M 48.59M 44.47M 38M 33.35M 39M 35.1M 96.46M 95.2M 139.72M 124.1M 125.66M 97.4M
Other Current Assets
38.85M 41.87M 59.09M 58.35M 53.73M 50.63M 67.05M 70.05M 68.83M 76.21M 61.3M 56.1M 68.97M 71.04M 88.53M 58.57M
Total Current Assets
287.05M 299.01M 303.61M 269.15M 306.24M 262.82M 320.65M 341.48M 389.33M 424.66M 476.54M 503.78M 545.02M 585.83M 561.96M 416.98M
Property-Plant & Equipment
154.31M 158.12M 160.3M 156.51M 155.96M 156.59M 156.13M 156.1M 158.04M 154.04M 170.66M 169.99M 175.98M 173.83M 123.03M 93.62M
Goodwill & Intangibles
24.6M 25.26M 33.48M 24.19M 24.85M 25.57M 26.34M 27.13M 27.9M 28.71M 29.65M 30.71M 31.77M 32.7M 34.42M 35.16M
Total Long-Term Assets
195.19M 201.02M 213M 197.42M 196.59M 206.57M 199.88M 201.09M 200.67M 196.69M 221.55M 221.33M 232.69M 231.52M 183.15M 157.13M
Total Assets
482.24M 500.03M 516.61M 466.57M 502.83M 469.39M 520.54M 542.57M 590M 621.34M 698.08M 725.11M 777.71M 817.35M 745.11M 574.11M
Account Payables
27.84M 12.64M 42.9M 8.53M 33.51M 17.56M 94.24M 69.15M 33.52M 14.51M 74.97M 83.7M 66.27M 16.04M 71.5M 60.88M
Deferred Revenue
3.75M 3.01M 956K 5.3M 5.29M 5.7M 13.34M 11.58M 9.16M 9.41M 6.91M 119.71M 122.48M 124.02M 338.47M 204.96M
Short-Term Debt
19.7M 20.85M 19.45M 19.87M 22.41M 44.08M 33.81M 21.2M 14.16M 11.58M 12.49M 11.54M 11.73M 7.11M 7.08M 5.94M
Other Current Liabilities
30.21M 44.59M 24.61M 24.5M 34.18M 73.45M 50.96M 96.17M 180.64M 189.5M 276.72M 217.92M 262.3M 175.6M 24.18M 45.98M
Total Current Liabilities
106.2M 114.58M 109.16M 102.49M 116.08M 158.86M 218.15M 241.04M 263.26M 277.39M 374.21M 436.13M 363.26M 368.98M 456.92M 320.36M
Long-Term Debt
161.48M 166.52M 153.13M 160.55M 159.03M 132.77M 107.05M 74.22M 83.23M 87.23M 93.36M 67.06M 48.01M 50.73M 47.4M 48.87M
Other Long-Term Liabilities
7.91M 7.08M 7.06M 6.98M 10.93M 20.42M 7.75M 6.31M 8.12M 8.07M 8.12M 69.64M 159.27M 167.35M 104.56M 99.71M
Total Long-Term Liabilities
200.79M 204.2M 189.99M 197.8M 197.52M 182.28M 144.87M 110.82M 121.96M 124.15M 158.89M 195.72M 266.05M 277.79M 211.12M 201.4M
Total Liabilities
306.99M 318.78M 299.14M 300.29M 313.6M 341.14M 363.02M 351.86M 385.22M 401.55M 533.1M 631.85M 629.3M 646.77M 668.04M 521.76M
Total Debt
211.15M 216.31M 201.25M 209.63M 211.67M 208.82M 194.5M 149.23M 152.73M 152.38M 161.62M 133.52M 115.52M 114.66M 111.49M 106.01M
Common Stock
24.38M 24.38M 24.34M 20.89M 20.89M 20.84M 20.84M 20.83M 20.75M 20.75M 17.6M 17.6M 16.17M 15.79M 14.99M 13.77M
Retained Earnings
-573.16M -563.93M -526.94M -517.71M -492.77M -551.68M -519.52M -485.3M -468.38M -450.25M -406.05M -478.47M -333.01M -306.97M -319.95M -261.25M
Comprehensive Income
76.43M 40.15M 72.43M 69.14M 67.16M 65.73M 62.2M 61.21M 58.37M 55.25M 51.79M 52.48M 52.45M 52.51M 40.45M 52.77M
Shareholders Equity
175.25M 181.25M 217.47M 166.28M 189.23M 128.25M 157.52M 190.71M 204.78M 219.8M 164.98M 93.25M 148.41M 170.58M 77.07M 52.35M
Total Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 2.12M 2.12M 2.04M 2.11M