Marwyn Value Investors Ltd (MVIR) - Total Liabilities

Latest as of June 2025: GBX141.81K GBX ≈ $17.25 USD

Based on the latest financial reports, Marwyn Value Investors Ltd (MVIR) has total liabilities worth GBX141.81K GBX (≈ $17.25 USD) as of June 2025. Total liabilities represent everything the company owes to external parties, combining both current liabilities—like accounts payable, short-term debt, and accrued expenses—and non-current liabilities such as long-term debt, pension obligations, lease liabilities, and deferred tax liabilities. Also explore Marwyn Value Investors Ltd annual equity growth to track the company's year-over-year net asset growth rate.

Marwyn Value Investors Ltd - Total Liabilities Trend (2011–2024)

This chart illustrates how Marwyn Value Investors Ltd's total liabilities have evolved over time, based on quarterly financial data. See Marwyn Value Investors Ltd (MVIR) FCF generation index to measure how efficiently the company converts operating cash flow to free cash.

Marwyn Value Investors Ltd Competitors by Total Liabilities

The table below lists competitors of Marwyn Value Investors Ltd ranked by their total liabilities.

Company Country Total Liabilities
British and American Investment Trust PLC
LSE:BAF
UK GBX7.02 Million
Platinum Industries Ltd
NSE:PLATIND
India Rs940.21 Million
Isaac Engineering Co. Ltd.
KQ:351330
Korea ₩41.54 Billion
Red Rock Resources
LSE:RRR
UK GBX8.60 Million
Selcuk Gida Endustri Ihracat Ithalat AS
IS:SELGD
Turkey TL23.39 Million
Petrel Resources
LSE:PET
UK GBX1.22 Million
High Templar Tech Limited Sponsored ADR Class A
NYSE:HTT
USA $2.00 Billion
Rex Trueform Group Ltd
JSE:RTO
South Africa ZAC793.92 Million

Liability Composition Analysis (2011–2024)

This chart breaks down Marwyn Value Investors Ltd's total liabilities into key components over time: long-term debt, short-term debt, other current liabilities, and other non-current liabilities. Toggle between absolute values and percentage view to see how the composition has shifted. For the full company profile including market capitalisation, see how much is Marwyn Value Investors Ltd worth.

Liquidity & Leverage Metrics

Key Metrics Explained

Metric Value Description
Current Ratio 1.00 Measures ability to pay short-term obligations (Current Assets ÷ Current Liabilities)
Quick Ratio N/A More stringent measure of short-term liquidity ((Current Assets - Inventory) ÷ Current Liabilities)
Cash Ratio N/A Most conservative liquidity measure (Cash & Equivalents ÷ Current Liabilities)
Debt to Equity 0.00 Measures financial leverage (Total Liabilities ÷ Shareholder Equity)
Debt to Assets 0.00 Portion of assets financed with debt (Total Liabilities ÷ Total Assets)

Liability Trends Comparison

This chart compares key liability metrics across different time periods, showing how Marwyn Value Investors Ltd's debt structure has evolved. The comparison includes total liabilities, long-term debt, and current liabilities.

Annual Total Liabilities for Marwyn Value Investors Ltd (2011–2024)

The table below shows the annual total liabilities of Marwyn Value Investors Ltd from 2011 to 2024.

Year Total Liabilities Change
2024-12-31 GBX140.04K
≈ $17.04
+4.52%
2023-12-31 GBX133.99K
≈ $16.30
+7.19%
2022-12-31 GBX125.00K
≈ $15.21
0.00%
2021-12-31 GBX125.00K
≈ $15.21
0.00%
2020-12-31 GBX125.00K
≈ $15.21
0.00%
2019-12-31 GBX125.00K
≈ $15.21
-2.21%
2018-12-31 GBX127.83K
≈ $15.55
-91.95%
2017-12-31 GBX1.59 Million
≈ $193.25
0.00%
2016-12-31 GBX1.59 Million
≈ $193.25
+1146.48%
2015-12-31 GBX127.42K
≈ $15.50
+0.13%
2014-12-31 GBX127.26K
≈ $15.48
-51.79%
2013-12-31 GBX263.97K
≈ $32.12
+0.09%
2012-12-31 GBX263.74K
≈ $32.09
+0.06%
2011-12-31 GBX263.58K
≈ $32.07
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About Marwyn Value Investors Ltd

LSE:MVIR UK Asset Management
Market Cap
$23.55K
GBX193.57 Million GBX
Market Cap Rank
#31605 Global
#1256 in UK
Share Price
GBX283.00
Change (1 day)
+0.00%
52-Week Range
GBX233.00 - GBX283.00
All Time High
GBX283.00
About

Marwyn Value Investors Limited specializes in investments in growth capital, buyout, industry consolidation, and acquisition-led growth strategies in small and mid-cap businesses. The fund also invests in consolidation opportunities in industry sectors that are undergoing structural or regulatory change, and is sector agnostic. It follows the buy-and-build strategy. It invests in companies based … Read more