Shin-Etsu Chemical Co Ltd
TSE:4063
Balance Sheet
Balance Sheet Decomposition
Shin-Etsu Chemical Co Ltd
Shin-Etsu Chemical Co Ltd
Balance Sheet
Shin-Etsu Chemical Co Ltd
| 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 |
233 865
|
235 647
|
210 322
|
246 741
|
262 145
|
296 851
|
217 265
|
209 541
|
209 046
|
244 002
|
241 390
|
252 881
|
363 339
|
461 489
|
597 048
|
752 675
|
854 506
|
826 680
|
836 448
|
866 882
|
1 112 775
|
1 449 617
|
1 698 999
|
1 708 438
|
|
| Cash Equivalents |
233 865
|
235 647
|
210 322
|
246 741
|
262 145
|
296 851
|
217 265
|
209 541
|
209 046
|
244 002
|
241 390
|
252 881
|
363 339
|
461 489
|
597 048
|
752 675
|
854 506
|
826 680
|
836 448
|
866 882
|
1 112 775
|
1 449 617
|
1 698 999
|
1 708 438
|
|
| Short-Term Investments |
107 472
|
115 323
|
131 215
|
105 839
|
178 555
|
207 178
|
184 519
|
111 878
|
109 761
|
116 714
|
89 301
|
214 380
|
274 282
|
304 180
|
236 486
|
186 591
|
197 339
|
215 444
|
251 377
|
286 039
|
323 305
|
151 031
|
20 710
|
103 240
|
|
| Total Receivables |
188 846
|
192 774
|
217 269
|
231 582
|
272 641
|
309 722
|
309 217
|
213 215
|
271 006
|
267 965
|
257 301
|
237 121
|
260 220
|
282 173
|
254 065
|
273 304
|
320 679
|
331 322
|
318 303
|
337 868
|
467 695
|
466 862
|
474 763
|
504 761
|
|
| Accounts Receivables |
188 846
|
192 774
|
217 269
|
231 582
|
272 641
|
309 722
|
309 217
|
213 215
|
271 006
|
267 965
|
257 301
|
237 121
|
260 220
|
282 173
|
254 065
|
273 304
|
320 679
|
331 322
|
318 303
|
337 868
|
467 695
|
466 862
|
474 763
|
504 761
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
119 618
|
119 360
|
117 728
|
135 225
|
147 367
|
169 177
|
204 335
|
208 108
|
183 551
|
188 283
|
260 307
|
269 376
|
273 135
|
276 909
|
281 012
|
267 156
|
282 076
|
329 492
|
365 665
|
365 031
|
453 659
|
688 477
|
720 645
|
769 966
|
|
| Other Current Assets |
42 760
|
44 673
|
54 009
|
61 444
|
66 278
|
80 568
|
101 985
|
73 182
|
69 203
|
70 961
|
93 945
|
58 755
|
64 853
|
75 095
|
84 022
|
69 881
|
48 316
|
47 531
|
52 726
|
59 089
|
80 541
|
107 537
|
121 392
|
123 247
|
|
| Total Current Assets |
692 561
|
707 777
|
730 543
|
780 831
|
926 986
|
1 063 496
|
1 017 321
|
815 924
|
842 567
|
887 925
|
942 244
|
1 032 513
|
1 235 829
|
1 399 846
|
1 452 633
|
1 549 607
|
1 702 916
|
1 750 469
|
1 824 519
|
1 914 909
|
2 437 975
|
2 863 524
|
3 036 509
|
3 209 652
|
|
| PP&E Net |
455 843
|
441 470
|
434 886
|
448 183
|
468 781
|
545 405
|
654 641
|
609 676
|
646 131
|
620 332
|
598 559
|
649 650
|
720 799
|
784 409
|
804 972
|
846 570
|
899 728
|
987 960
|
1 119 915
|
1 165 149
|
1 290 165
|
1 518 190
|
1 746 577
|
2 065 945
|
|
| Intangible Assets |
3 509
|
4 292
|
8 700
|
8 278
|
6 477
|
2 887
|
3 055
|
3 162
|
3 135
|
3 499
|
4 567
|
5 274
|
6 756
|
6 309
|
13 152
|
10 229
|
9 405
|
8 740
|
10 099
|
8 922
|
10 535
|
10 351
|
10 195
|
36 908
|
|
| Goodwill |
0
|
0
|
15 677
|
20 359
|
18 870
|
23 077
|
22 803
|
15 091
|
13 920
|
10 521
|
9 020
|
9 363
|
12 652
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
1 717
|
957
|
1 188
|
1 213
|
1 029
|
1 062
|
941
|
4 678
|
4 136
|
3 627
|
3 583
|
6 405
|
7 159
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
111 005
|
133 390
|
171 527
|
180 588
|
216 227
|
176 150
|
150 492
|
146 893
|
163 789
|
163 450
|
158 034
|
134 762
|
129 221
|
152 262
|
141 136
|
139 441
|
145 455
|
145 409
|
129 784
|
154 324
|
165 099
|
174 887
|
187 544
|
139 211
|
|
| Other Long-Term Assets |
23 789
|
22 983
|
23 687
|
36 790
|
32 903
|
47 910
|
69 283
|
89 515
|
95 452
|
94 805
|
93 835
|
82 936
|
86 496
|
90 173
|
98 192
|
109 789
|
145 633
|
146 139
|
146 168
|
137 311
|
149 638
|
163 442
|
167 149
|
184 885
|
|
| Other Assets |
0
|
0
|
15 677
|
20 359
|
18 870
|
23 077
|
22 803
|
15 091
|
13 920
|
10 521
|
9 020
|
9 363
|
12 652
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
1 288 424
N/A
|
1 310 869
+2%
|
1 386 208
+6%
|
1 476 242
+6%
|
1 671 273
+13%
|
1 859 987
+11%
|
1 918 536
+3%
|
1 684 939
-12%
|
1 769 130
+5%
|
1 784 159
+1%
|
1 809 842
+1%
|
1 920 903
+6%
|
2 198 912
+14%
|
2 452 306
+12%
|
2 510 085
+2%
|
2 655 636
+6%
|
2 903 137
+9%
|
3 038 717
+5%
|
3 230 485
+6%
|
3 380 615
+5%
|
4 053 412
+20%
|
4 730 394
+17%
|
5 147 974
+9%
|
5 636 601
+9%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
97 280
|
110 649
|
107 041
|
114 667
|
132 673
|
155 463
|
149 304
|
75 188
|
93 294
|
110 753
|
109 378
|
100 197
|
109 401
|
120 694
|
115 557
|
123 823
|
136 834
|
141 027
|
136 442
|
125 410
|
177 682
|
185 006
|
161 364
|
184 369
|
|
| Accrued Liabilities |
62 387
|
56 275
|
65 073
|
80 039
|
79 768
|
88 654
|
66 488
|
47 347
|
41 069
|
39 918
|
47 622
|
47 904
|
60 269
|
63 467
|
59 998
|
65 121
|
72 626
|
78 599
|
77 681
|
73 596
|
73 943
|
90 508
|
94 043
|
102 224
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
5 239
|
7 134
|
6 372
|
6 510
|
6 976
|
0
|
6 273
|
7 490
|
8 234
|
7 509
|
6 155
|
4 710
|
7 712
|
|
| Current Portion of Long-Term Debt |
113 551
|
78 511
|
66 281
|
43 516
|
26 167
|
24 490
|
11 826
|
10 920
|
11 944
|
8 795
|
13 862
|
487
|
607
|
611
|
1 498
|
5 922
|
7 094
|
735
|
1 963
|
4 746
|
7 537
|
8 804
|
10 121
|
6 757
|
|
| Other Current Liabilities |
55 297
|
52 666
|
83 349
|
92 954
|
114 278
|
164 284
|
149 026
|
75 836
|
83 813
|
89 964
|
76 579
|
45 808
|
76 750
|
107 702
|
98 391
|
115 158
|
161 867
|
165 220
|
154 218
|
151 260
|
211 088
|
217 337
|
250 157
|
236 032
|
|
| Total Current Liabilities |
328 515
|
298 101
|
321 744
|
331 176
|
352 886
|
432 891
|
376 644
|
209 291
|
230 120
|
249 430
|
247 441
|
199 635
|
254 161
|
298 846
|
281 954
|
317 000
|
378 421
|
391 854
|
377 794
|
363 246
|
477 759
|
507 810
|
520 395
|
537 094
|
|
| Long-Term Debt |
63 905
|
88 850
|
96 885
|
76 905
|
57 670
|
20 652
|
22 132
|
12 905
|
8 105
|
5 777
|
1 454
|
8 201
|
7 896
|
7 344
|
5 460
|
1 742
|
8 430
|
7 624
|
20 928
|
21 474
|
23 909
|
32 137
|
26 361
|
19 434
|
|
| Deferred Income Tax |
23 497
|
24 703
|
33 094
|
33 416
|
40 734
|
28 817
|
16 973
|
37 385
|
38 107
|
39 498
|
44 295
|
65 033
|
80 934
|
93 571
|
96 183
|
98 228
|
61 476
|
62 669
|
59 378
|
55 289
|
66 833
|
112 246
|
129 262
|
191 813
|
|
| Minority Interest |
23 871
|
25 517
|
26 508
|
29 065
|
34 219
|
39 407
|
43 257
|
38 846
|
39 417
|
38 798
|
37 727
|
44 931
|
48 574
|
52 242
|
51 936
|
57 096
|
61 258
|
65 814
|
68 927
|
71 473
|
99 910
|
151 999
|
161 308
|
175 112
|
|
| Other Liabilities |
36 571
|
26 738
|
7 254
|
9 374
|
12 086
|
17 316
|
19 120
|
18 004
|
18 587
|
20 026
|
22 078
|
24 858
|
33 786
|
39 834
|
46 023
|
48 584
|
41 785
|
44 014
|
49 244
|
53 981
|
55 703
|
51 992
|
47 883
|
50 675
|
|
| Total Liabilities |
476 359
N/A
|
463 909
-3%
|
485 485
+5%
|
479 936
-1%
|
497 595
+4%
|
539 083
+8%
|
478 126
-11%
|
316 431
-34%
|
334 336
+6%
|
353 529
+6%
|
352 995
0%
|
342 658
-3%
|
425 351
+24%
|
491 837
+16%
|
481 556
-2%
|
522 650
+9%
|
551 370
+5%
|
571 975
+4%
|
576 271
+1%
|
565 463
-2%
|
724 114
+28%
|
856 184
+18%
|
885 209
+3%
|
974 128
+10%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
110 259
|
110 271
|
110 493
|
117 513
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
119 419
|
|
| Retained Earnings |
556 465
|
626 141
|
694 996
|
780 198
|
882 412
|
1 017 923
|
1 165 294
|
1 279 502
|
1 322 061
|
1 379 865
|
1 439 184
|
1 472 164
|
1 541 553
|
1 627 012
|
1 731 279
|
1 858 009
|
2 071 303
|
2 284 903
|
2 415 673
|
2 618 095
|
2 995 759
|
3 314 019
|
3 525 196
|
3 761 511
|
|
| Additional Paid In Capital |
119 028
|
119 040
|
119 261
|
126 274
|
128 178
|
128 177
|
128 177
|
128 177
|
128 177
|
128 177
|
128 177
|
128 234
|
128 625
|
128 572
|
128 759
|
129 626
|
129 937
|
128 299
|
128 323
|
128 954
|
129 090
|
128 320
|
127 894
|
125 694
|
|
| Unrealized Security Profit/Loss |
6 138
|
1 481
|
11 928
|
13 687
|
38 599
|
29 173
|
10 695
|
1 776
|
6 717
|
3 275
|
1 212
|
11 591
|
10 439
|
22 349
|
13 780
|
22 887
|
26 446
|
22 955
|
10 296
|
25 027
|
26 841
|
31 511
|
40 518
|
32 481
|
|
| Treasury Stock |
8 356
|
9 636
|
9 219
|
11 091
|
6 300
|
7 560
|
12 217
|
41 613
|
40 892
|
40 917
|
40 925
|
39 167
|
34 954
|
33 837
|
33 407
|
31 213
|
30 207
|
94 702
|
7 123
|
12 612
|
15 702
|
22 891
|
24 292
|
121 025
|
|
| Other Equity |
28 531
|
2 625
|
26 736
|
30 275
|
11 369
|
33 773
|
29 040
|
115 200
|
100 690
|
159 192
|
190 221
|
113 996
|
8 479
|
96 954
|
68 699
|
34 258
|
34 869
|
5 868
|
12 374
|
63 731
|
73 891
|
303 832
|
474 030
|
744 393
|
|
| Total Equity |
812 065
N/A
|
846 960
+4%
|
900 723
+6%
|
996 306
+11%
|
1 173 677
+18%
|
1 320 905
+13%
|
1 440 408
+9%
|
1 368 509
-5%
|
1 434 792
+5%
|
1 430 627
0%
|
1 456 846
+2%
|
1 578 245
+8%
|
1 773 561
+12%
|
1 960 469
+11%
|
2 028 529
+3%
|
2 132 986
+5%
|
2 351 767
+10%
|
2 466 742
+5%
|
2 654 214
+8%
|
2 815 152
+6%
|
3 329 298
+18%
|
3 874 210
+16%
|
4 262 765
+10%
|
4 662 473
+9%
|
|
| Total Liabilities & Equity |
1 288 424
N/A
|
1 310 869
+2%
|
1 386 208
+6%
|
1 476 242
+6%
|
1 671 272
+13%
|
1 859 988
+11%
|
1 918 534
+3%
|
1 684 940
-12%
|
1 769 128
+5%
|
1 784 156
+1%
|
1 809 841
+1%
|
1 920 903
+6%
|
2 198 912
+14%
|
2 452 306
+12%
|
2 510 085
+2%
|
2 655 636
+6%
|
2 903 137
+9%
|
3 038 717
+5%
|
3 230 485
+6%
|
3 380 615
+5%
|
4 053 412
+20%
|
4 730 394
+17%
|
5 147 974
+9%
|
5 636 601
+9%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
421
|
420
|
421
|
428
|
431
|
431
|
430
|
424
|
425
|
425
|
425
|
425
|
426
|
426
|
426
|
2 132
|
2 133
|
2 084
|
2 079
|
2 078
|
2 077
|
2 018
|
1 996
|
1 960
|
|