nVent Electric PLC Balance Sheet
Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
2023
2022
2021
2020
2019
2018
2017
2016
2015
6,162M
1,336M
185M
0M
0M
634M
441M
76M
4,826M
0M
0M
3,020M
734M
276M
58M
27M
2,286M
1,749M
34M
3,142M
603M
4,923M
1,905M
1,720M
4,902M
1,229M
298M
298M
0M
473M
347M
113M
3,673M
366M
0M
2,171M
650M
252M
15M
23M
1,521M
1,068M
125M
2,732M
580M
1,083M
1,083M
786M
4,674M
912M
50M
50M
0M
438M
322M
102M
3,763M
291M
0M
2,178M
636M
261M
5M
18M
1,542M
994M
129M
2,496M
275M
999M
999M
950M
4,366M
764M
123M
123M
0M
314M
235M
93M
3,602M
289M
0M
1,956M
450M
171M
20M
11M
1,506M
928M
348M
2,410M
314M
3,358M
948M
826M
4,640M
799M
106M
106M
0M
334M
245M
113M
3,842M
329M
0M
2,048M
462M
187M
18M
14M
1,586M
1,047M
11M
2,593M
337M
3,657M
1,065M
958M
4,553M
847M
159M
159M
0M
341M
228M
118M
3,706M
265M
0M
1,866M
462M
186M
13M
13M
1,404M
929M
7M
2,687M
385M
3,629M
942M
783M
4,725M
733M
27M
27M
0M
419M
224M
2M
3,992M
266M
0M
934M
391M
174M
160M
10M
543M
0M
4M
3,791M
342M
3,791M
0M
-27M
4,494M
657M
22M
22M
0M
388M
202M
2M
3,837M
260M
0M
1,008M
318M
150M
116M
7M
690M
0M
7M
3,486M
0M
0M
0M
-22M
4,564M
650M
23M
0M
0M
397M
207M
8M
0M
228M
0M
1,058M
361M
139M
0M
0M
0M
0M
0M
3,507M
0M
0M
0M
0M
Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
4Q2023
3Q2023
2Q2023
1Q2023
4Q2022
3Q2022
2Q2022
1Q2022
4Q2021
3Q2021
2Q2021
1Q2021
4Q2020
3Q2020
2Q2020
1Q2020
4Q2019
3Q2019
2Q2019
1Q2019
4Q2018
3Q2018
2Q2018
1Q2018
4Q2017
3Q2017
2Q2017
1Q2017
4Q2016
6,162M
1,336M
185M
0M
0M
634M
441M
76M
4,826M
0M
0M
3,020M
734M
276M
58M
27M
2,286M
1,749M
34M
3,142M
603M
4,923M
1,905M
1,720M
5,926M
1,300M
113M
113M
0M
591M
465M
131M
4,626M
372M
0M
2,981M
659M
243M
30M
115M
2,321M
1,832M
140M
2,945M
641M
1,862M
1,862M
1,748M
5,922M
1,296M
139M
139M
0M
547M
475M
136M
4,626M
378M
0M
3,046M
621M
241M
30M
23M
2,426M
1,939M
282M
2,876M
676M
1,969M
1,969M
1,830M
4,916M
1,252M
303M
303M
0M
455M
367M
127M
3,665M
293M
0M
2,127M
601M
241M
15M
27M
1,525M
1,065M
264M
2,790M
651M
1,080M
1,080M
777M
4,902M
1,229M
298M
298M
0M
473M
347M
113M
3,673M
366M
0M
2,171M
650M
252M
15M
23M
1,521M
1,068M
125M
2,732M
580M
1,083M
1,083M
786M
4,876M
1,213M
194M
194M
0M
493M
375M
151M
3,663M
272M
0M
2,225M
645M
259M
15M
26M
1,580M
1,072M
299M
2,651M
568M
3,737M
1,087M
893M
4,766M
1,068M
56M
56M
0M
539M
375M
3M
3,697M
279M
0M
2,180M
612M
280M
22M
21M
1,568M
1,043M
314M
2,586M
456M
3,634M
1,128M
1,072M
4,704M
965M
51M
51M
0M
495M
348M
4M
3,739M
288M
0M
2,170M
588M
264M
22M
19M
1,581M
1,041M
331M
2,534M
377M
3,580M
1,130M
1,079M
4,674M
912M
50M
50M
0M
438M
322M
102M
3,763M
291M
0M
2,178M
636M
261M
5M
18M
1,542M
994M
129M
2,496M
275M
999M
999M
950M
4,679M
890M
46M
46M
0M
429M
301M
114M
3,789M
288M
0M
2,137M
571M
228M
5M
18M
1,566M
972M
17M
2,542M
319M
3,518M
977M
931M
4,710M
903M
102M
102M
0M
457M
275M
3M
3,807M
292M
0M
2,217M
536M
219M
38M
14M
1,681M
1,084M
19M
2,493M
367M
3,597M
1,187M
1,085M
4,398M
799M
105M
0M
0M
397M
238M
4M
3,599M
332M
0M
1,948M
464M
177M
34M
13M
1,484M
923M
15M
2,450M
335M
3,393M
997M
892M
4,366M
764M
123M
0M
0M
314M
235M
93M
3,602M
289M
0M
1,956M
450M
171M
20M
11M
1,506M
928M
348M
2,410M
314M
3,358M
948M
826M
4,411M
816M
160M
0M
0M
327M
239M
90M
3,595M
278M
0M
1,997M
410M
139M
20M
12M
1,587M
1,033M
320M
2,413M
406M
3,466M
1,053M
893M
4,712M
883M
235M
0M
0M
356M
248M
3M
3,829M
324M
0M
2,134M
386M
135M
34M
13M
1,748M
1,188M
8M
2,578M
497M
3,786M
1,259M
1,024M
4,730M
886M
188M
0M
0M
394M
249M
2M
3,844M
323M
0M
2,154M
409M
151M
33M
15M
1,744M
1,192M
8M
2,577M
477M
3,788M
1,259M
1,071M
4,640M
799M
106M
0M
0M
334M
245M
113M
3,842M
329M
0M
2,048M
462M
187M
18M
14M
1,586M
1,047M
11M
2,593M
0M
0M
1,065M
958M
4,636M
806M
50M
0M
0M
441M
259M
3M
3,830M
327M
0M
2,070M
437M
140M
32M
15M
1,632M
1,134M
8M
2,567M
0M
0M
1,201M
1,152M
4,465M
748M
25M
0M
0M
422M
248M
3M
3,717M
306M
0M
1,927M
400M
139M
29M
11M
1,527M
1,041M
6M
2,538M
0M
0M
1,101M
1,076M
4,475M
746M
33M
0M
0M
343M
244M
127M
3,729M
306M
0M
1,840M
410M
149M
14M
13M
1,429M
926M
12M
2,635M
0M
0M
939M
907M
4,553M
847M
159M
0M
0M
341M
228M
118M
3,706M
265M
0M
1,866M
462M
186M
13M
13M
1,404M
929M
250M
2,687M
0M
0M
942M
783M
4,583M
835M
106M
0M
0M
434M
237M
10M
3,748M
264M
0M
1,868M
425M
142M
11M
9M
1,442M
933M
254M
2,716M
0M
0M
944M
838M
4,577M
820M
92M
0M
0M
439M
227M
4M
3,757M
261M
0M
1,880M
387M
153M
10M
9M
1,493M
984M
254M
2,696M
0M
0M
994M
903M
9,368M
2,719M
908M
0M
0M
985M
594M
233M
6,649M
265M
0M
4,648M
1,028M
404M
0M
9M
3,621M
793M
274M
4,720M
0M
0M
2,673M
1,766M
4,725M
733M
27M
0M
0M
419M
224M
2M
3,992M
266M
0M
934M
391M
174M
160M
10M
543M
0M
0M
3,791M
0M
0M
0M
-27M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
3,486M
0M
0M
0M
0M
4,494M
657M
0M
0M
0M
388M
276M
46M
0M
260M
0M
1,008M
318M
150M
0M
0M
0M
0M
0M
3,486M
0M
0M
0M
0M