Shimadzu Corp
TSE:7701

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Shimadzu Corp
TSE:7701
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Price: 4 435 JPY -0.96% Market Closed
Market Cap: 1.3T JPY
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Balance Sheet

Balance Sheet Decomposition
Shimadzu Corp

Current Assets 439.8B
Cash & Short-Term Investments 157.1B
Receivables 124B
Other Current Assets 158.7B
Non-Current Assets 210.5B
Long-Term Investments 15.6B
PP&E 118.3B
Intangibles 22.3B
Other Non-Current Assets 54.4B
Current Liabilities 137.3B
Accounts Payable 39.8B
Accrued Liabilities 12.8B
Other Current Liabilities 84.6B
Non-Current Liabilities 22.5B
Long-Term Debt 6.6B
Other Non-Current Liabilities 15.9B

Balance Sheet
Shimadzu 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
41 360
46 907
56 698
76 926
73 641
70 868
112 760
157 966
158 847
165 285
Cash Equivalents
41 360
46 907
56 698
76 926
73 641
70 868
112 760
157 966
158 847
165 285
Short-Term Investments
0
0
0
20
0
0
0
0
425
0
Total Receivables
102 099
104 273
111 735
117 708
124 687
118 092
115 738
119 764
129 025
142 759
Accounts Receivables
102 099
104 273
111 735
117 708
124 687
118 092
115 738
119 764
129 025
142 759
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
74 865
73 669
76 700
80 635
83 468
87 872
97 650
106 647
128 094
141 772
Other Current Assets
16 493
16 817
17 947
8 934
9 110
8 808
9 298
9 986
15 118
17 120
Total Current Assets
234 817
241 666
263 080
284 223
290 906
285 640
335 446
394 363
431 509
466 936
PP&E Net
75 430
76 158
78 751
84 136
92 880
97 775
102 392
104 430
112 992
118 564
Intangible Assets
7 298
7 558
8 396
9 234
10 830
11 441
11 615
11 151
12 016
12 793
Goodwill
0
0
0
0
0
0
0
0
4 947
5 220
Note Receivable
177
0
174
159
174
149
132
156
174
205
Long-Term Investments
13 761
14 654
13 779
16 464
13 562
12 008
13 663
13 496
15 145
17 621
Other Long-Term Assets
8 349
9 587
11 174
24 332
28 838
30 605
34 211
36 932
42 086
52 623
Other Assets
0
0
0
0
0
0
0
0
4 947
5 220
Total Assets
339 832
N/A
349 798
+3%
375 354
+7%
418 548
+12%
437 190
+4%
437 618
+0%
497 459
+14%
560 528
+13%
618 869
+10%
673 962
+9%
Liabilities
Accounts Payable
51 596
52 422
57 263
66 589
66 610
60 189
61 424
66 538
66 713
52 400
Accrued Liabilities
7 574
8 377
8 463
8 994
9 376
9 697
11 722
12 012
13 993
14 012
Short-Term Debt
8 231
2 518
2 469
2 434
1 962
1 851
1 428
1 428
1 328
1 486
Current Portion of Long-Term Debt
1 404
1 478
1 501
1 761
16 488
2 225
3 602
3 534
3 309
3 544
Other Current Liabilities
31 830
32 792
34 451
42 187
38 842
41 512
65 920
75 231
87 044
87 069
Total Current Liabilities
100 635
97 587
104 147
121 965
133 278
115 474
144 096
158 743
172 387
158 511
Long-Term Debt
17 628
17 545
17 406
17 487
2 575
3 552
5 226
6 627
6 631
6 884
Minority Interest
248
277
297
366
47
0
0
0
0
4
Other Liabilities
11 552
14 695
12 172
11 036
13 396
15 817
12 633
13 994
16 352
16 232
Total Liabilities
130 063
N/A
130 104
+0%
134 022
+3%
150 854
+13%
149 296
-1%
134 843
-10%
161 955
+20%
179 364
+11%
195 370
+9%
181 631
-7%
Equity
Common Stock
26 648
26 648
26 648
26 648
26 648
26 648
26 648
26 648
26 648
26 648
Retained Earnings
134 871
153 758
174 391
198 038
222 801
245 254
262 966
298 758
336 066
376 400
Additional Paid In Capital
35 188
35 188
35 188
35 188
34 927
34 910
34 910
34 910
34 910
34 910
Unrealized Security Profit/Loss
5 200
0
5 850
7 440
5 508
4 758
6 579
6 471
5 829
8 203
Treasury Stock
796
0
885
1 410
1 415
1 419
1 259
1 244
1 210
1 109
Other Equity
8 658
75
140
1 790
575
7 376
5 660
15 621
21 256
47 279
Total Equity
209 769
N/A
219 694
+5%
241 332
+10%
267 694
+11%
287 894
+8%
302 775
+5%
335 504
+11%
381 164
+14%
423 499
+11%
492 331
+16%
Total Liabilities & Equity
339 832
N/A
349 798
+3%
375 354
+7%
418 548
+12%
437 190
+4%
437 618
+0%
497 459
+14%
560 528
+13%
618 869
+10%
673 962
+9%
Shares Outstanding
Common Shares Outstanding
295
295
295
295
295
295
295
295
295
295

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