Autobacs Seven Co Ltd
TSE:9832

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Autobacs Seven Co Ltd Logo
Autobacs Seven Co Ltd
TSE:9832
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Price: 1 421 JPY -0.07% Market Closed
Market Cap: 110.8B JPY
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Balance Sheet

Balance Sheet Decomposition
Autobacs Seven Co Ltd

Current Assets 107.1B
Cash & Short-Term Investments 29.9B
Receivables 44.8B
Other Current Assets 32.5B
Non-Current Assets 84.3B
PP&E 49.5B
Intangibles 7.8B
Other Non-Current Assets 27.1B
Current Liabilities 47.7B
Accounts Payable 22.7B
Other Current Liabilities 25.1B
Non-Current Liabilities 16.8B
Long-Term Debt 5.8B
Other Non-Current Liabilities 11.1B

Balance Sheet
Autobacs Seven 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
42 744
37 052
31 520
39 069
30 679
28 233
38 940
24 800
24 570
31 297
Cash Equivalents
42 744
37 052
31 520
39 069
30 679
28 233
38 940
24 800
24 570
31 297
Short-Term Investments
0
0
0
0
0
0
0
0
0
0
Total Receivables
38 365
38 652
41 368
45 584
48 113
40 866
45 617
51 829
53 268
48 498
Accounts Receivables
18 580
19 543
19 962
23 508
25 052
21 890
23 490
25 378
25 657
21 812
Other Receivables
19 785
19 109
21 406
22 076
23 061
18 976
22 127
26 451
27 611
26 686
Inventory
16 798
17 213
15 317
16 419
19 639
20 774
18 327
21 516
23 899
22 635
Other Current Assets
15 518
14 738
13 954
10 623
9 426
8 354
7 694
9 772
9 604
9 761
Total Current Assets
113 425
107 655
102 159
111 695
107 857
98 227
110 578
107 917
111 341
112 191
PP&E Net
39 806
42 265
42 176
41 226
41 090
42 124
42 086
45 268
46 757
48 252
PP&E Gross
39 806
42 265
42 176
41 226
41 090
42 124
42 086
45 268
46 757
48 252
Accumulated Depreciation
41 949
41 156
40 112
39 551
40 735
44 355
46 404
48 832
50 952
53 251
Intangible Assets
5 730
5 052
5 744
4 880
4 692
4 976
5 460
6 736
8 006
6 683
Goodwill
740
852
853
1 170
1 344
1 880
1 697
2 215
1 386
1 080
Note Receivable
231
0
1 177
712
3
0
204
44
46
49
Long-Term Investments
7 559
5 831
7 273
8 409
7 708
6 658
8 970
8 710
9 078
9 065
Other Long-Term Assets
19 040
18 590
17 326
19 262
18 697
18 934
18 919
19 020
17 713
17 628
Other Assets
740
852
853
1 170
1 344
1 880
1 697
2 215
1 386
1 080
Total Assets
186 531
N/A
180 454
-3%
176 708
-2%
187 354
+6%
181 391
-3%
172 799
-5%
187 914
+9%
189 910
+1%
194 327
+2%
194 948
+0%
Liabilities
Accounts Payable
12 814
13 835
12 838
20 710
21 298
12 435
13 845
17 702
17 629
22 050
Short-Term Debt
800
1 594
3 801
2 887
2 272
809
5 666
740
625
0
Current Portion of Long-Term Debt
2 348
1 067
2 398
534
299
1 725
913
1 676
1 923
751
Other Current Liabilities
18 568
18 986
18 226
22 294
20 535
21 162
26 153
26 677
28 729
26 183
Total Current Liabilities
34 530
35 482
37 263
46 425
44 404
36 131
46 577
46 795
48 906
48 984
Long-Term Debt
3 709
3 650
2 083
3 475
2 420
4 768
6 086
8 346
9 645
8 568
Deferred Income Tax
103
109
588
480
414
387
389
562
516
225
Minority Interest
215
292
314
486
604
714
653
342
340
307
Other Liabilities
9 636
9 466
9 382
9 622
9 966
11 547
11 029
11 315
8 297
8 019
Total Liabilities
48 193
N/A
48 999
+2%
49 630
+1%
60 488
+22%
57 808
-4%
53 547
-7%
64 734
+21%
67 360
+4%
67 704
+1%
66 103
-2%
Equity
Common Stock
33 998
33 998
33 998
33 998
33 998
33 998
33 998
33 998
33 998
33 998
Retained Earnings
72 859
67 125
59 188
59 639
60 172
59 110
61 359
59 442
61 997
63 670
Additional Paid In Capital
34 278
34 299
34 299
34 298
34 298
34 297
34 286
34 156
34 156
34 218
Unrealized Security Profit/Loss
2 224
0
2 025
1 924
1 462
1 550
2 367
2 308
2 077
2 124
Treasury Stock
5 699
0
2 769
2 773
5 689
7 771
7 747
7 016
6 990
6 970
Other Equity
678
518
337
220
658
1 932
1 083
338
1 385
1 805
Total Equity
138 338
N/A
131 455
-5%
127 078
-3%
126 866
0%
123 583
-3%
119 252
-4%
123 180
+3%
122 550
-1%
126 623
+3%
128 845
+2%
Total Liabilities & Equity
186 531
N/A
180 454
-3%
176 708
-2%
187 354
+6%
181 391
-3%
172 799
-5%
187 914
+9%
189 910
+1%
194 327
+2%
194 948
+0%
Shares Outstanding
Common Shares Outstanding
87
84
83
83
81
80
80
78
78
78

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