Obic Business Consultants Co Ltd
TSE:4733

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Obic Business Consultants Co Ltd Logo
Obic Business Consultants Co Ltd
TSE:4733
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Price: 7 027 JPY -2.44% Market Closed
Market Cap: 529.8B JPY
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Balance Sheet

Balance Sheet Decomposition
Obic Business Consultants Co Ltd

Current Assets 165.8B
Cash & Short-Term Investments 155.5B
Receivables 10B
Other Current Assets 297.7m
Non-Current Assets 34.6B
Long-Term Investments 31.6B
PP&E 1.2B
Intangibles 940.5m
Other Non-Current Assets 943.2m
Current Liabilities 38.4B
Accounts Payable 305.5m
Accrued Liabilities 2.2B
Other Current Liabilities 36B
Non-Current Liabilities 7.5B
Other Non-Current Liabilities 7.5B

Balance Sheet
Obic Business Consultants Co Ltd

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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
58 092
69 699
81 311
87 124
97 840
106 701
114 105
124 469
134 454
151 601
Cash Equivalents
58 092
69 699
81 311
87 124
97 840
106 701
114 105
124 469
134 454
151 601
Short-Term Investments
0
838
0
0
0
0
0
0
0
0
Total Receivables
6 762
7 310
7 507
8 172
10 078
9 085
10 354
11 594
12 941
12 794
Accounts Receivables
5 698
5 817
6 145
6 567
7 709
7 353
8 436
8 909
10 234
9 066
Other Receivables
1 064
1 493
1 363
1 605
2 369
1 732
1 918
2 685
2 707
3 728
Inventory
203
219
198
187
191
208
190
193
156
133
Other Current Assets
371
417
545
193
192
159
201
142
161
226
Total Current Assets
65 429
78 483
89 560
95 675
108 301
116 153
124 849
136 399
147 712
164 754
PP&E Net
364
295
477
537
448
506
1 098
1 232
1 146
1 230
PP&E Gross
364
295
477
537
448
506
1 098
1 232
1 146
1 230
Accumulated Depreciation
1 060
1 117
1 032
1 009
1 032
1 008
1 106
1 266
1 475
1 627
Intangible Assets
503
464
418
454
456
417
435
533
621
1 228
Note Receivable
6
3
118
71
68
66
69
78
79
104
Long-Term Investments
38 383
32 578
26 856
26 244
29 949
25 307
31 068
32 797
28 907
29 651
Other Long-Term Assets
522
601
501
635
642
681
844
868
850
840
Total Assets
105 207
N/A
112 425
+7%
117 931
+5%
123 616
+5%
139 864
+13%
143 129
+2%
158 362
+11%
171 907
+9%
179 315
+4%
197 807
+10%
Liabilities
Accounts Payable
307
260
234
244
316
290
281
360
380
450
Accrued Liabilities
1 182
986
1 116
1 039
1 682
1 441
1 519
1 973
1 436
2 098
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Other Current Liabilities
9 049
11 639
12 486
13 672
16 447
17 983
21 324
25 601
31 411
39 955
Total Current Liabilities
10 538
12 885
13 836
14 954
18 445
19 713
23 124
27 934
33 227
42 502
Long-Term Debt
0
0
0
0
0
0
0
0
0
0
Deferred Income Tax
2 455
2 544
2 461
1 600
2 728
1 297
2 628
3 114
1 912
1 909
Other Liabilities
1 220
1 465
1 591
1 796
3 252
3 593
4 048
4 220
4 387
4 502
Total Liabilities
14 212
N/A
16 894
+19%
17 888
+6%
18 351
+3%
24 425
+33%
24 604
+1%
29 800
+21%
35 268
+18%
39 526
+12%
48 913
+24%
Equity
Common Stock
10 519
10 519
10 519
10 519
10 519
10 519
10 519
10 519
10 519
10 519
Retained Earnings
56 510
61 165
66 204
71 558
78 622
84 821
90 733
93 092
98 864
107 443
Additional Paid In Capital
18 949
18 949
18 949
18 949
18 949
18 957
18 967
18 415
18 430
18 438
Unrealized Security Profit/Loss
10 364
10 246
9 719
9 588
12 698
9 576
13 690
14 841
12 200
12 717
Treasury Stock
5 348
5 348
5 349
5 349
5 350
5 348
5 346
228
224
223
Other Equity
0
0
0
0
0
0
0
0
0
0
Total Equity
90 995
N/A
95 531
+5%
100 042
+5%
105 265
+5%
115 438
+10%
118 526
+3%
128 563
+8%
136 639
+6%
139 789
+2%
148 894
+7%
Total Liabilities & Equity
105 207
N/A
112 425
+7%
117 931
+5%
123 616
+5%
139 864
+13%
143 129
+2%
158 362
+11%
171 907
+9%
179 315
+4%
197 807
+10%
Shares Outstanding
Common Shares Outstanding
75
75
75
75
75
75
75
75
75
75

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