QMC Balance Sheet - SMC Corp - Alpha Spread

SMC Corp
SWB:QMC

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SMC Corp
SWB:QMC
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Price: 408 EUR 2.51%
Market Cap: 26.3B EUR
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Balance Sheet

Balance Sheet Decomposition
SMC Corp

Current Assets 1.4T
Cash & Short-Term Investments 589.9B
Receivables 223.9B
Other Current Assets 571.2B
Non-Current Assets 791.5B
Long-Term Investments 151.2B
PP&E 440.9B
Intangibles 18B
Other Non-Current Assets 181.4B
Current Liabilities 166.2B
Accounts Payable 60.4B
Accrued Liabilities 9.5B
Other Current Liabilities 96.2B
Non-Current Liabilities 51.9B
Long-Term Debt 5.3B
Other Non-Current Liabilities 46.6B

Balance Sheet
SMC Corp

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Balance Sheet
Currency: JPY
Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024
Assets
Cash & Cash Equivalents
453 178
412 707
459 874
506 436
519 609
548 311
629 291
684 834
603 570
511 257
Cash Equivalents
453 178
412 707
459 874
506 436
519 609
548 311
629 291
684 834
603 570
511 257
Short-Term Investments
0
0
22 401
37 074
31 977
12 454
11 256
12 219
19 926
33
Total Receivables
119 668
117 370
140 239
161 940
157 619
142 619
174 183
211 038
228 108
216 641
Accounts Receivables
119 668
117 370
140 239
161 940
157 619
142 619
174 183
211 038
228 108
216 641
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
194 572
182 562
179 184
205 658
230 267
232 559
248 751
303 544
418 601
519 557
Other Current Assets
34 839
34 484
34 230
28 832
28 452
28 606
33 472
46 771
53 643
60 502
Total Current Assets
802 257
747 123
835 928
939 940
967 924
964 549
1 096 953
1 258 406
1 323 848
1 307 990
PP&E Net
146 861
148 309
149 252
156 925
170 342
188 477
198 540
270 584
326 995
413 558
PP&E Gross
146 861
148 309
149 252
156 925
170 342
188 477
198 540
270 584
326 995
413 558
Accumulated Depreciation
196 143
200 771
200 705
209 081
217 110
222 289
232 781
258 340
278 181
317 074
Intangible Assets
4 884
4 553
11 060
11 756
11 456
10 771
11 389
15 183
16 591
17 332
Long-Term Investments
50 763
52 941
54 699
97 153
97 427
74 791
72 383
58 750
92 420
172 436
Other Long-Term Assets
124 236
167 245
141 505
137 116
142 159
151 951
160 606
167 028
168 086
183 243
Total Assets
1 129 001
N/A
1 120 171
-1%
1 192 444
+6%
1 342 890
+13%
1 389 308
+3%
1 390 539
+0%
1 539 871
+11%
1 769 951
+15%
1 927 940
+9%
2 094 559
+9%
Liabilities
Accounts Payable
48 753
55 405
60 648
88 411
38 513
38 379
44 091
62 101
73 636
58 818
Accrued Liabilities
2 969
2 611
2 812
3 062
2 894
2 434
3 055
5 350
5 143
5 162
Short-Term Debt
60 580
40 440
10 240
170
140
2 331
48
271
5 350
5 185
Current Portion of Long-Term Debt
2 923
5 514
1 529
1 501
4 391
1 418
1 456
6 767
1 855
2 228
Other Current Liabilities
63 846
46 279
54 210
79 892
71 732
49 802
69 393
94 914
102 863
93 207
Total Current Liabilities
179 071
150 249
129 439
173 036
117 670
94 364
118 043
169 403
188 847
164 600
Long-Term Debt
12 728
8 948
11 345
10 897
9 223
14 438
15 786
11 020
11 493
12 073
Deferred Income Tax
12 123
7 855
11 374
1 535
11 287
18 682
17 385
21 463
16 094
21 802
Minority Interest
2 238
2 403
2 761
3 171
3 232
3 078
3 283
3 645
3 912
4 284
Other Liabilities
3 596
11 306
9 917
7 006
7 876
9 789
8 670
8 791
9 181
10 213
Total Liabilities
209 756
N/A
180 761
-14%
164 836
-9%
195 645
+19%
149 288
-24%
140 351
-6%
163 167
+16%
214 322
+31%
229 527
+7%
212 972
-7%
Equity
Common Stock
61 005
61 005
61 005
61 005
61 005
61 005
61 005
61 005
61 005
61 005
Retained Earnings
696 953
775 655
875 230
985 216
1 088 960
1 182 014
1 277 198
1 430 285
1 596 086
1 716 354
Additional Paid In Capital
72 677
72 778
72 871
73 372
73 372
73 335
73 335
73 335
73 342
73 342
Unrealized Security Profit/Loss
5 841
0
8 864
10 864
7 667
6 344
11 404
11 235
7 573
14 777
Treasury Stock
3 458
0
3 348
3 066
3 086
30 432
59 139
109 136
164 167
194 795
Other Equity
86 227
30 504
12 986
19 854
12 102
42 078
12 901
88 905
124 574
210 904
Total Equity
919 245
N/A
939 410
+2%
1 027 608
+9%
1 147 245
+12%
1 240 020
+8%
1 250 188
+1%
1 376 704
+10%
1 555 629
+13%
1 698 413
+9%
1 881 587
+11%
Total Liabilities & Equity
1 129 001
N/A
1 120 171
-1%
1 192 444
+6%
1 342 890
+13%
1 389 308
+3%
1 390 539
+0%
1 539 871
+11%
1 769 951
+15%
1 927 940
+9%
2 094 559
+9%
Shares Outstanding
Common Shares Outstanding
67
67
67
67
67
67
66
65
65
64

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