Obayashi Corp
TSE:1802
Balance Sheet
Balance Sheet Decomposition
Obayashi Corp
Obayashi Corp
Balance Sheet
Obayashi Corp
| Mar-2002 | Mar-2003 | Mar-2004 | Mar-2005 | Mar-2006 | Mar-2007 | Mar-2008 | Mar-2009 | Mar-2010 | Mar-2011 | Mar-2012 | Mar-2013 | Mar-2014 | Mar-2015 | Mar-2016 | Mar-2017 | Mar-2018 | Mar-2019 | Mar-2020 | Mar-2021 | Mar-2022 | Mar-2023 | Mar-2024 | Mar-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
87 730
|
108 038
|
104 969
|
111 585
|
101 529
|
134 984
|
129 680
|
144 640
|
136 969
|
109 031
|
121 714
|
99 717
|
121 373
|
164 309
|
164 829
|
194 585
|
190 055
|
168 698
|
315 027
|
258 549
|
265 042
|
419 405
|
339 188
|
394 728
|
|
| Cash Equivalents |
87 730
|
108 038
|
104 969
|
111 585
|
101 529
|
134 984
|
129 680
|
144 640
|
136 969
|
109 031
|
121 714
|
99 717
|
121 373
|
164 309
|
164 829
|
194 585
|
190 055
|
168 698
|
315 027
|
258 549
|
265 042
|
419 405
|
339 188
|
394 728
|
|
| Short-Term Investments |
28 598
|
10 370
|
20
|
8 031
|
1
|
6 130
|
1 835
|
1 941
|
1 676
|
3 616
|
2 783
|
3 104
|
3 460
|
2 835
|
2 606
|
2 519
|
4 615
|
6 980
|
7 103
|
4 401
|
5 988
|
7 285
|
8 430
|
11 410
|
|
| Total Receivables |
353 468
|
465 396
|
386 663
|
417 431
|
436 087
|
482 936
|
520 398
|
562 954
|
521 860
|
513 315
|
558 992
|
597 295
|
726 015
|
792 278
|
794 791
|
819 303
|
855 165
|
963 395
|
861 381
|
830 154
|
992 677
|
952 847
|
1 197 284
|
1 244 325
|
|
| Accounts Receivables |
353 468
|
333 342
|
281 062
|
312 075
|
334 599
|
389 811
|
433 636
|
496 371
|
432 492
|
415 595
|
485 800
|
530 884
|
654 505
|
696 589
|
723 732
|
741 294
|
775 742
|
870 841
|
786 256
|
765 653
|
914 244
|
853 981
|
1 069 961
|
1 147 371
|
|
| Other Receivables |
0
|
132 054
|
105 601
|
105 356
|
101 488
|
93 125
|
86 762
|
66 583
|
89 368
|
97 720
|
73 192
|
66 411
|
71 510
|
95 689
|
71 059
|
78 009
|
79 423
|
92 554
|
75 125
|
64 501
|
78 433
|
98 866
|
127 323
|
96 954
|
|
| Inventory |
616 662
|
551 804
|
466 420
|
470 570
|
459 351
|
486 544
|
389 713
|
343 378
|
208 801
|
156 856
|
175 185
|
158 072
|
137 156
|
126 969
|
131 137
|
131 098
|
139 456
|
123 583
|
127 493
|
150 485
|
110 868
|
100 437
|
111 522
|
126 860
|
|
| Other Current Assets |
152 050
|
73 200
|
71 520
|
64 896
|
64 135
|
55 119
|
56 092
|
54 552
|
38 229
|
37 933
|
29 608
|
34 752
|
33 668
|
34 755
|
35 405
|
34 140
|
18 700
|
20 210
|
22 753
|
25 816
|
20 942
|
25 577
|
32 713
|
32 137
|
|
| Total Current Assets |
1 238 508
|
1 208 808
|
1 029 592
|
1 072 513
|
1 061 103
|
1 165 713
|
1 097 718
|
1 107 465
|
907 535
|
820 751
|
888 282
|
892 940
|
1 021 672
|
1 121 146
|
1 128 768
|
1 181 645
|
1 207 991
|
1 282 866
|
1 333 757
|
1 269 405
|
1 395 517
|
1 505 551
|
1 689 137
|
1 809 460
|
|
| PP&E Net |
399 830
|
381 980
|
373 825
|
370 760
|
357 160
|
325 902
|
341 043
|
329 413
|
319 371
|
360 207
|
358 186
|
376 489
|
415 089
|
408 848
|
441 604
|
459 597
|
526 270
|
544 558
|
572 190
|
609 256
|
623 306
|
692 545
|
735 914
|
737 577
|
|
| PP&E Gross |
399 830
|
381 980
|
373 825
|
370 760
|
357 160
|
325 902
|
341 043
|
329 413
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Accumulated Depreciation |
167 173
|
170 083
|
168 488
|
171 215
|
163 711
|
155 902
|
158 275
|
157 097
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Intangible Assets |
3 778
|
5 690
|
6 059
|
6 167
|
6 211
|
5 852
|
8 183
|
6 827
|
5 999
|
7 127
|
6 046
|
5 407
|
5 397
|
6 369
|
6 404
|
6 558
|
5 038
|
4 997
|
6 367
|
6 437
|
8 648
|
17 932
|
36 465
|
37 116
|
|
| Note Receivable |
36 760
|
33 152
|
31 890
|
25 278
|
25 237
|
1 272
|
8 762
|
1 478
|
1 194
|
1 035
|
3 460
|
4 335
|
2 284
|
2 181
|
0
|
2 024
|
876
|
1 767
|
2 109
|
1 769
|
2 096
|
1 312
|
2 637
|
2 812
|
|
| Long-Term Investments |
315 481
|
244 877
|
345 399
|
339 312
|
502 411
|
541 518
|
374 454
|
238 245
|
296 589
|
251 196
|
264 365
|
317 386
|
323 858
|
415 541
|
342 021
|
346 245
|
372 308
|
360 627
|
290 719
|
340 079
|
337 976
|
306 570
|
422 583
|
311 557
|
|
| Other Long-Term Assets |
50 290
|
74 064
|
35 110
|
28 225
|
25 165
|
26 720
|
23 900
|
42 207
|
59 970
|
65 373
|
98 409
|
59 732
|
50 586
|
42 108
|
30 940
|
19 927
|
16 544
|
19 697
|
25 155
|
45 682
|
54 542
|
86 019
|
130 311
|
144 256
|
|
| Total Assets |
2 044 647
N/A
|
1 948 571
-5%
|
1 821 875
-7%
|
1 842 255
+1%
|
1 977 287
+7%
|
2 066 977
+5%
|
1 854 060
-10%
|
1 725 635
-7%
|
1 590 658
-8%
|
1 505 689
-5%
|
1 618 748
+8%
|
1 656 289
+2%
|
1 818 886
+10%
|
1 996 193
+10%
|
1 951 907
-2%
|
2 015 996
+3%
|
2 129 027
+6%
|
2 214 512
+4%
|
2 230 297
+1%
|
2 272 628
+2%
|
2 422 085
+7%
|
2 609 929
+8%
|
3 017 047
+16%
|
3 042 778
+1%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
496 953
|
496 529
|
441 919
|
504 996
|
523 235
|
572 015
|
524 008
|
493 760
|
453 076
|
429 365
|
525 536
|
531 300
|
578 750
|
627 024
|
609 230
|
635 697
|
658 482
|
671 137
|
655 839
|
572 669
|
629 717
|
672 254
|
820 867
|
773 951
|
|
| Short-Term Debt |
0
|
10 000
|
0
|
0
|
10 000
|
0
|
31 000
|
66 000
|
50 000
|
40 000
|
0
|
85 891
|
112 585
|
117 033
|
97 130
|
72 789
|
0
|
40 834
|
38 210
|
38 210
|
43 206
|
46 405
|
52 795
|
53 375
|
|
| Current Portion of Long-Term Debt |
290 753
|
303 168
|
238 410
|
163 885
|
113 591
|
103 569
|
102 155
|
133 606
|
91 336
|
120 958
|
143 510
|
62 636
|
76 690
|
59 045
|
70 271
|
48 626
|
108 333
|
38 061
|
25 083
|
24 609
|
33 995
|
50 801
|
35 704
|
56 362
|
|
| Other Current Liabilities |
659 651
|
610 473
|
507 186
|
495 547
|
468 881
|
452 747
|
372 985
|
312 684
|
250 768
|
197 582
|
209 570
|
204 450
|
245 000
|
255 670
|
296 569
|
321 572
|
352 020
|
345 152
|
371 038
|
357 437
|
421 684
|
456 974
|
524 151
|
569 670
|
|
| Total Current Liabilities |
1 447 357
|
1 420 170
|
1 187 515
|
1 164 428
|
1 115 707
|
1 128 331
|
1 030 148
|
1 006 050
|
845 180
|
787 905
|
878 616
|
884 277
|
1 013 025
|
1 058 772
|
1 073 200
|
1 078 684
|
1 118 835
|
1 095 184
|
1 090 170
|
992 925
|
1 128 602
|
1 226 434
|
1 433 517
|
1 453 358
|
|
| Long-Term Debt |
174 197
|
127 752
|
138 491
|
163 361
|
156 173
|
154 180
|
194 664
|
200 769
|
251 044
|
249 286
|
262 148
|
239 928
|
239 406
|
234 972
|
179 146
|
152 154
|
168 653
|
193 623
|
186 539
|
204 169
|
203 671
|
247 156
|
244 404
|
263 896
|
|
| Deferred Income Tax |
9 107
|
23 043
|
35 780
|
34 686
|
102 307
|
121 746
|
56 338
|
29 095
|
33 810
|
34 808
|
29 786
|
33 165
|
37 905
|
77 518
|
63 143
|
68 047
|
54 258
|
49 620
|
24 229
|
39 873
|
28 667
|
22 474
|
64 982
|
32 682
|
|
| Minority Interest |
13 772
|
12 886
|
18 719
|
19 458
|
20 153
|
22 804
|
27 628
|
24 739
|
25 390
|
25 351
|
25 028
|
29 919
|
35 651
|
41 812
|
45 559
|
49 916
|
26 688
|
29 204
|
32 606
|
30 970
|
33 222
|
38 772
|
43 180
|
51 956
|
|
| Other Liabilities |
109 852
|
104 360
|
97 097
|
96 022
|
96 929
|
97 265
|
95 406
|
93 913
|
93 008
|
82 403
|
82 705
|
84 269
|
80 442
|
75 448
|
74 760
|
73 035
|
75 756
|
77 936
|
78 861
|
73 682
|
72 232
|
77 984
|
79 334
|
82 641
|
|
| Total Liabilities |
1 754 285
N/A
|
1 688 211
-4%
|
1 477 602
-12%
|
1 477 955
+0%
|
1 491 269
+1%
|
1 524 326
+2%
|
1 404 184
-8%
|
1 354 566
-4%
|
1 248 432
-8%
|
1 179 753
-6%
|
1 278 283
+8%
|
1 271 558
-1%
|
1 406 429
+11%
|
1 488 522
+6%
|
1 435 808
-4%
|
1 421 836
-1%
|
1 444 190
+2%
|
1 445 567
+0%
|
1 412 405
-2%
|
1 341 619
-5%
|
1 466 394
+9%
|
1 612 820
+10%
|
1 865 417
+16%
|
1 884 533
+1%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
57 752
|
|
| Retained Earnings |
114 681
|
92 225
|
108 221
|
125 871
|
151 816
|
183 599
|
198 507
|
202 941
|
139 176
|
151 684
|
152 278
|
161 666
|
178 665
|
199 296
|
255 750
|
334 957
|
404 840
|
498 195
|
587 012
|
661 512
|
677 559
|
728 087
|
773 841
|
853 125
|
|
| Additional Paid In Capital |
41 694
|
41 694
|
41 705
|
41 705
|
41 738
|
41 750
|
41 750
|
41 750
|
41 750
|
41 750
|
41 750
|
41 750
|
41 750
|
41 750
|
41 752
|
41 752
|
43 135
|
42 540
|
42 825
|
42 641
|
42 641
|
41 962
|
42 002
|
41 328
|
|
| Unrealized Security Profit/Loss |
77 400
|
70 447
|
138 009
|
140 454
|
236 290
|
259 990
|
151 445
|
73 382
|
108 077
|
80 309
|
95 500
|
128 089
|
136 008
|
204 941
|
0
|
160 681
|
178 677
|
169 329
|
123 851
|
158 921
|
159 287
|
141 684
|
228 400
|
148 185
|
|
| Treasury Stock |
291
|
446
|
319
|
504
|
655
|
810
|
919
|
1 246
|
1 340
|
1 379
|
1 530
|
1 547
|
1 577
|
1 608
|
0
|
1 964
|
1 929
|
2 132
|
2 121
|
2 090
|
2 808
|
2 754
|
2 711
|
14 828
|
|
| Other Equity |
877
|
1 314
|
1 095
|
979
|
926
|
368
|
1 338
|
3 513
|
3 189
|
4 182
|
5 286
|
2 979
|
141
|
5 540
|
1 538
|
982
|
2 362
|
3 261
|
8 573
|
12 273
|
21 260
|
30 378
|
52 346
|
72 683
|
|
| Total Equity |
290 359
N/A
|
260 358
-10%
|
344 273
+32%
|
364 299
+6%
|
486 015
+33%
|
542 649
+12%
|
449 873
-17%
|
371 066
-18%
|
342 226
-8%
|
325 934
-5%
|
340 464
+4%
|
384 731
+13%
|
412 457
+7%
|
507 671
+23%
|
516 099
+2%
|
594 160
+15%
|
684 837
+15%
|
768 945
+12%
|
817 892
+6%
|
931 009
+14%
|
955 691
+3%
|
997 109
+4%
|
1 151 630
+15%
|
1 158 245
+1%
|
|
| Total Liabilities & Equity |
2 044 644
N/A
|
1 948 569
-5%
|
1 821 875
-7%
|
1 842 254
+1%
|
1 977 284
+7%
|
2 066 975
+5%
|
1 854 057
-10%
|
1 725 632
-7%
|
1 590 658
-8%
|
1 505 687
-5%
|
1 618 747
+8%
|
1 656 289
+2%
|
1 818 886
+10%
|
1 996 193
+10%
|
1 951 907
-2%
|
2 015 996
+3%
|
2 129 027
+6%
|
2 214 512
+4%
|
2 230 297
+1%
|
2 272 628
+2%
|
2 422 085
+7%
|
2 609 929
+8%
|
3 017 047
+16%
|
3 042 778
+1%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
722
|
720
|
721
|
720
|
720
|
720
|
720
|
719
|
719
|
719
|
718
|
718
|
718
|
718
|
718
|
718
|
718
|
718
|
718
|
718
|
717
|
717
|
717
|
711
|
|