Balance sheet of medmix Ltd
December 31
thousands of CHF | 2025 | 2024 | ||||
Current assets | ||||||
Cash and cash equivalents | 936 | 404 | ||||
Accounts receivable from subsidiaries | 36 | 6 | ||||
Other current accounts receivable | 161 | 275 | ||||
Prepaid expenses and other current accounts receivable | 61 | 97 | ||||
Current loans to subsidiaries | 36’500 | 37’500 | ||||
Total current assets | 37’695 | 38’282 | ||||
Non-current assets | ||||||
Non-current loans to subsidiaries | 183’500 | 183’500 | ||||
Investments in subsidiaries | 424’394 | 424’394 | ||||
Total non-current assets | 607’894 | 607’894 | ||||
Total assets | 645’589 | 646’176 | ||||
Current liabilities | ||||||
Current liabilities with shareholders | 21’747 | 16’310 | ||||
Accrued liabilities and other current liabilities | 41 | 264 | ||||
Accrued liabilities and other current liabilities with subsidiaries | – | 75 | ||||
Total current liabilities | 21’788 | 16’650 | ||||
Non-current liabilities | ||||||
Total non-current liabilities | – | – | ||||
Total liabilities | 21’788 | 16’650 | ||||
Equity | ||||||
Share capital | 413 | 413 | ||||
Legal capital reserves | ||||||
– Reserves from capital contribution | 294’653 | 294’653 | ||||
– Other capital reserves | 50’000 | 50’000 | ||||
Voluntary retained earnings | 263’951 | 263’951 | ||||
Treasury shares | –13’431 | –14’548 | ||||
Available earnings | ||||||
– Profit / (loss) brought forward | 14’643 | 16’025 | ||||
– Profit / (loss) for the year | 13’571 | 19’033 | ||||
Total equity | 623’801 | 629’526 | ||||
Total equity and liabilities | 645’589 | 646’176 |