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TAN Tanfield Group Plc

3.76
0.00 (0.00%)
May 10 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2022 20152016201720182019202020212022
GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)GBP (£)
Total Assets 36.48M36.61M36.43M19.3M19.26M19.65M19.71M22.95M
Total Current Assets 192k330k147k199k159k548k611k3.85M
Cash and Equivalents 94k269k134k188k136k524k588k3.82M
Total Non-Current Assets 36.11M36.52M36.37M19.25M19.16M18.46M17.94M22.89M
Total Liabilities 364k91k56k52k104k1.19M1.77M64k
Total Current Liabilities 110k91k56k52k104k90k72k64k
Total Non-Current Liabilities 508k00002.2M3.39M0
Total Equity 36.11M36.52M36.37M19.25M19.16M18.46M17.94M22.89M
Common Equity 7.55M7.82M7.82M7.92M8.15M8.15M8.15M8.15M
Retained Earnings -57.07M-57.31M-57.33M-74.71M-75.03M-75.73M-75.91M-70.96M

Your Recent History

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