Panasonic Holdings Corp
TSE:6752

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Panasonic Holdings Corp
TSE:6752
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Price: 1 551 JPY 2.04% Market Closed
Market Cap: 3.6T JPY
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Balance Sheet

Balance Sheet Decomposition
Panasonic Holdings Corp

Current Assets 3.9T
Cash & Short-Term Investments 1.1T
Receivables 1.3T
Other Current Assets 1.6T
Non-Current Assets 5.4T
Long-Term Investments 602.8B
PP&E 2T
Intangibles 2T
Other Non-Current Assets 747.9B
Current Liabilities 3.1T
Accounts Payable 1.6T
Other Current Liabilities 1.5T
Non-Current Liabilities 1.8T
Long-Term Debt 1.4T
Other Non-Current Liabilities 438B

Balance Sheet
Panasonic Holdings 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
1 298 878
1 012 666
1 270 787
1 089 585
772 264
1 016 504
1 593 224
1 205 873
819 499
1 119 625
Cash Equivalents
1 298 878
1 012 666
1 270 787
1 089 585
772 264
1 016 504
1 593 224
1 205 873
819 499
1 119 625
Short-Term Investments
0
165 496
143 519
203 557
131 305
148 436
149 629
210 633
169 665
143 054
Total Receivables
992 094
835 456
847 003
1 038 984
1 190 620
1 051 203
1 194 391
1 324 618
1 322 593
1 579 425
Accounts Receivables
913 039
775 593
778 635
960 021
1 123 533
1 002 798
1 129 124
1 251 889
1 272 929
1 312 915
Other Receivables
79 055
59 863
68 368
78 963
67 087
48 405
65 267
72 729
49 664
266 510
Inventory
762 670
769 650
806 309
988 609
1 016 437
793 516
832 569
1 132 664
1 288 751
1 208 898
Other Current Assets
359 098
110 494
137 201
165 223
163 467
426 176
152 934
157 409
202 377
101 756
Total Current Assets
3 412 740
2 893 762
3 204 819
3 485 958
3 274 093
3 435 835
3 922 747
4 031 197
3 802 885
4 152 758
PP&E Net
1 374 831
1 288 234
1 323 282
1 374 066
1 324 374
1 295 707
1 311 568
1 373 052
1 411 209
1 829 769
PP&E Gross
1 374 831
1 288 234
1 323 282
1 374 066
1 324 374
1 295 707
1 311 568
1 373 052
1 411 209
1 829 769
Accumulated Depreciation
3 147 363
3 873 949
3 849 155
3 946 686
4 004 586
3 553 155
3 674 857
3 676 524
3 594 847
3 760 473
Intangible Assets
172 898
178 575
278 245
329 948
323 810
298 602
297 189
685 317
718 616
781 311
Goodwill
457 103
295 574
386 887
408 303
395 747
322 009
304 853
994 710
1 077 620
1 202 522
Note Receivable
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
175 824
310 089
317 973
314 425
352 711
522 157
686 984
616 225
643 891
669 394
Other Long-Term Assets
225 706
521 790
471 755
378 448
343 196
344 208
323 732
323 082
405 306
775 441
Other Assets
457 103
295 574
386 887
408 303
395 747
322 009
304 853
994 710
1 077 620
1 202 522
Total Assets
5 956 947
N/A
5 488 024
-8%
5 982 961
+9%
6 291 148
+5%
6 013 931
-4%
6 218 518
+3%
6 847 073
+10%
8 023 583
+17%
8 059 527
+0%
9 411 195
+17%
Liabilities
Accounts Payable
983 305
894 927
955 965
1 146 476
1 151 174
969 695
1 045 617
1 664 179
1 662 971
1 690 349
Accrued Liabilities
0
0
0
0
0
0
0
0
0
0
Short-Term Debt
0
12 277
16 454
259 315
125 289
223 012
24 722
320 733
4 499
5 916
Current Portion of Long-Term Debt
260 531
9 451
160 584
116 077
264 666
91 983
344 414
172 679
214 627
324 943
Other Current Liabilities
601 379
1 566 685
1 579 060
1 576 067
1 448 321
1 331 418
1 389 575
907 873
991 323
1 100 479
Total Current Liabilities
2 732 800
2 483 340
2 712 063
3 097 935
2 989 450
2 616 108
2 804 328
3 065 464
2 873 420
3 121 687
Long-Term Debt
712 385
703 113
946 966
864 052
608 766
1 156 316
1 078 287
1 403 872
1 237 981
1 295 908
Deferred Income Tax
0
0
0
0
38 192
33 404
34 837
81 983
70 678
81 104
Minority Interest
169 259
202 791
188 046
174 734
171 102
157 519
174 468
182 209
171 556
177 827
Other Liabilities
468 283
654 338
563 997
446 876
292 908
256 822
161 119
125 093
87 490
190 593
Total Liabilities
4 133 654
N/A
4 043 582
-2%
4 411 072
+9%
4 583 597
+4%
4 100 418
-11%
4 220 169
+3%
4 253 039
+1%
4 858 621
+14%
4 441 125
-9%
4 867 119
+10%
Equity
Common Stock
258 740
258 740
258 740
258 740
258 740
258 867
258 981
259 168
259 274
259 445
Retained Earnings
1 021 241
878 208
1 051 445
1 300 336
1 500 870
1 646 403
2 154 023
2 387 283
2 588 800
3 037 982
Additional Paid In Capital
984 111
645 949
636 905
527 408
528 880
531 048
529 157
525 554
515 760
508 274
Unrealized Security Profit/Loss
5 790
0
38 716
47 279
40 934
57 794
34 832
30 659
37 428
24 718
Treasury Stock
247 548
0
210 569
210 674
210 560
210 012
209 757
209 270
209 196
209 137
Other Equity
210 671
107 922
203 348
215 538
205 351
285 751
173 202
171 568
426 336
922 794
Total Equity
1 823 293
N/A
1 444 442
-21%
1 571 889
+9%
1 707 551
+9%
1 913 513
+12%
1 998 349
+4%
2 594 034
+30%
3 164 962
+22%
3 618 402
+14%
4 544 076
+26%
Total Liabilities & Equity
5 956 947
N/A
5 488 024
-8%
5 982 961
+9%
6 291 148
+5%
6 013 931
-4%
6 218 518
+3%
6 847 073
+10%
8 023 583
+17%
8 059 527
+0%
9 411 195
+17%
Shares Outstanding
Common Shares Outstanding
2 311
2 321
2 332
2 332
2 332
2 333
2 333
2 334
2 334
2 334

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