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Sunway Real Estate Investment Trust
KLSE:SUNWAY

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Sunway Real Estate Investment Trust
KLSE:SUNWAY
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Price: 4.61 MYR -0.65%
Market Cap: 26.2B MYR
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Balance Sheet

Balance Sheet Decomposition
Sunway Real Estate Investment Trust

Current Assets 10.8B
Cash & Short-Term Investments 3.4B
Receivables 3.7B
Other Current Assets 3.6B
Non-Current Assets 19.1B
Long-Term Investments 12.9B
PP&E 1.2B
Intangibles 458.2m
Other Non-Current Assets 4.5B
Current Liabilities 9.7B
Accounts Payable 3B
Short-Term Debt 2.8B
Other Current Liabilities 4B
Non-Current Liabilities 5.7B
Long-Term Debt 3.4B
Other Non-Current Liabilities 2.2B

Balance Sheet
Sunway Real Estate Investment Trust

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Balance Sheet
Currency: MYR
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
544
650
589
2 383
2 636
2 484
2 238
2 810
1 958
3 594
Cash
544
650
589
2 383
2 636
646
2 238
2 810
1 958
2 300
Cash Equivalents
0
0
0
0
0
1 838
0
0
0
1 294
Short-Term Investments
1 434
1 981
3 491
2 036
46
447
100
99
536
960
Total Receivables
1 663
2 293
2 649
2 261
2 116
2 976
2 593
2 665
2 567
3 129
Accounts Receivables
1 185
1 541
1 551
1 764
1 615
1 715
2 525
2 597
2 501
2 425
Other Receivables
478
752
1 098
497
501
1 261
69
68
65
704
Inventory
2 098
1 671
1 841
1 788
1 858
2 102
2 075
2 422
3 280
3 435
Other Current Assets
243
145
444
68
65
196
32
2
2
259
Total Current Assets
5 982
6 740
9 015
8 536
6 721
8 206
7 038
7 999
8 341
9 945
PP&E Net
978
1 334
1 881
2 248
2 628
2 749
2 621
1 262
1 265
1 358
PP&E Gross
978
1 334
1 881
0
0
2 749
0
0
0
1 358
Accumulated Depreciation
1 096
1 116
1 130
0
0
1 894
0
0
0
1 646
Intangible Assets
15
46
40
21
24
25
31
62
68
71
Goodwill
319
320
312
312
314
312
325
376
378
388
Note Receivable
24
28
50
1 305
1 917
1 479
1 974
1 704
1 920
1 693
Long-Term Investments
5 429
7 098
7 219
7 378
5 755
6 983
7 248
11 955
12 188
12 563
Other Long-Term Assets
109
435
235
431
2 268
1 741
1 856
1 728
1 900
2 566
Other Assets
319
320
312
312
314
312
325
376
378
388
Total Assets
12 857
N/A
16 001
+24%
18 752
+17%
20 231
+8%
19 625
-3%
21 495
+10%
21 094
-2%
25 086
+19%
26 062
+4%
28 584
+10%
Liabilities
Accounts Payable
1 276
1 287
1 346
2 639
2 576
1 344
2 453
2 477
2 510
1 598
Accrued Liabilities
334
375
575
0
0
623
0
0
0
617
Short-Term Debt
649
2 194
2 261
0
0
2 067
0
0
0
1 305
Current Portion of Long-Term Debt
1 484
877
2 599
4 979
5 588
5 025
5 311
4 125
5 394
4 748
Other Current Liabilities
533
831
746
183
160
771
184
112
121
1 006
Total Current Liabilities
4 276
5 564
7 527
7 801
8 324
9 830
7 948
6 714
8 025
9 242
Long-Term Debt
1 794
2 818
2 553
3 631
2 441
2 041
2 575
4 712
3 786
3 713
Deferred Income Tax
83
91
95
121
147
130
122
109
185
167
Minority Interest
387
651
764
621
619
1 044
797
1 092
1 032
1 150
Other Liabilities
381
314
344
263
129
60
136
435
507
462
Total Liabilities
6 921
N/A
9 438
+36%
11 282
+20%
12 437
+10%
11 660
-6%
13 105
+12%
11 580
-12%
13 062
+13%
13 536
+4%
14 733
+9%
Equity
Common Stock
1 731
1 800
2 063
5 371
5 379
5 394
6 371
6 372
6 372
7 139
Retained Earnings
1 461
1 820
2 168
2 436
2 674
2 827
3 217
5 727
6 228
6 327
Additional Paid In Capital
2 642
2 772
3 119
0
0
0
0
0
0
0
Unrealized Security Profit/Loss
26
26
34
0
0
56
0
0
0
83
Treasury Stock
29
64
121
64
140
53
74
74
74
74
Other Equity
106
209
206
52
52
166
0
0
0
377
Total Equity
5 936
N/A
6 563
+11%
7 470
+14%
7 794
+4%
7 965
+2%
8 389
+5%
9 514
+13%
12 024
+26%
12 526
+4%
13 850
+11%
Total Liabilities & Equity
12 857
N/A
16 001
+24%
18 752
+17%
20 231
+8%
19 625
-3%
21 495
+10%
21 094
-2%
25 086
+19%
26 062
+4%
28 584
+10%
Shares Outstanding
Common Shares Outstanding
4 139
4 280
4 867
4 995
4 950
4 904
4 889
4 889
4 889
5 456
Preferred Shares Outstanding
0
0
0
0
0
0
978
978
978
978

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