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Mitsui Chemicals Inc
TSE:4183

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Mitsui Chemicals Inc
TSE:4183
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Price: 1 931.5 JPY -1.05% Market Closed
Market Cap: ¥775.9B

Balance Sheet

Balance Sheet Decomposition
Mitsui Chemicals Inc

Balance Sheet
Mitsui Chemicals Inc

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Balance Sheet
Currency: JPY
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
26 240
27 148
28 123
28 218
31 354
35 035
22 182
48 448
74 602
81 219
54 340
46 514
71 979
52 004
79 578
84 120
80 209
111 056
163 983
193 585
179 754
185 377
210 292
167 510
Cash Equivalents
26 240
27 148
28 123
28 218
31 354
35 035
22 182
48 448
74 602
81 219
54 340
46 514
71 979
52 004
79 578
84 120
80 209
111 056
163 983
193 585
179 754
185 377
210 292
167 510
Short-Term Investments
720
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
37 393
29 578
44 894
77 342
40 052
41 723
Total Receivables
246 799
211 259
210 257
224 956
290 410
346 157
332 495
174 551
256 176
330 483
336 347
363 940
385 397
369 212
289 459
323 454
366 582
365 161
284 992
290 938
386 352
376 356
388 826
367 976
Accounts Receivables
246 799
211 259
210 257
224 956
290 410
346 157
332 495
174 551
256 176
263 978
273 929
297 832
295 720
298 231
244 546
271 175
306 226
309 873
261 497
274 902
357 221
339 843
356 483
342 249
Other Receivables
0
0
0
0
0
0
0
0
0
66 505
62 418
66 108
89 677
70 981
44 913
52 279
60 356
55 288
23 495
16 036
29 131
36 513
32 343
25 727
Inventory
174 461
159 441
153 232
184 367
219 705
257 069
269 229
250 654
218 953
239 931
248 397
284 643
301 158
291 295
240 686
247 544
274 342
301 890
284 306
258 814
369 009
441 949
451 075
442 763
Other Current Assets
38 422
47 391
48 905
59 746
67 526
94 889
102 455
55 953
54 825
14 343
22 227
20 299
18 481
19 197
18 487
23 820
10 193
8 570
11 160
14 657
53 436
13 262
61 168
21 199
Total Current Assets
486 642
445 239
440 517
497 287
608 995
733 150
726 361
529 606
604 556
665 976
661 311
715 396
777 015
731 708
628 210
678 938
731 326
786 677
781 834
787 572
1 033 445
1 094 286
1 150 579
1 041 171
PP&E Net
583 949
580 830
548 799
520 886
532 324
542 340
564 805
522 641
498 183
467 735
430 629
446 637
425 840
433 629
413 402
409 429
432 908
443 063
499 650
501 960
553 584
600 887
652 098
669 240
PP&E Gross
583 949
580 830
548 799
520 886
532 324
542 340
564 805
522 641
498 183
467 735
430 629
446 637
425 840
433 629
413 402
409 429
432 908
443 063
499 650
501 960
553 584
600 887
652 098
669 240
Accumulated Depreciation
782 562
815 405
814 192
841 999
981 516
1 009 362
1 049 667
1 079 428
1 087 364
1 120 410
1 150 539
1 188 427
1 167 626
1 179 249
1 153 727
1 154 163
1 163 826
1 194 034
1 300 288
1 334 109
1 431 968
1 429 839
1 413 078
1 444 704
Intangible Assets
33 041
31 744
32 319
24 103
23 319
27 374
22 327
23 400
16 516
11 293
11 612
14 635
37 275
37 785
30 765
27 781
25 792
24 324
24 759
19 678
45 341
48 137
55 241
66 202
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
34 935
34 978
9 408
7 407
5 684
5 061
1 476
1 123
17 981
19 338
21 169
21 122
Note Receivable
3 491
3 314
2 053
1 946
1 871
1 730
1 584
1 763
1 707
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
144 469
114 169
118 750
121 538
146 177
167 791
118 745
91 034
99 706
100 403
93 850
98 269
108 620
122 919
129 066
143 501
159 428
165 199
173 752
178 194
210 460
229 123
239 260
283 558
Other Long-Term Assets
46 271
49 898
46 028
39 425
16 204
25 798
35 426
20 495
17 418
50 220
58 901
63 058
48 477
50 771
48 097
58 469
76 171
76 750
49 044
69 598
74 154
76 432
97 472
72 660
Other Assets
0
0
0
0
0
0
0
0
0
0
0
0
34 935
34 978
9 408
7 407
5 684
5 061
1 476
1 123
17 981
19 338
21 169
21 122
Total Assets
1 297 863
N/A
1 225 194
-6%
1 188 466
-3%
1 205 185
+1%
1 328 890
+10%
1 498 183
+13%
1 469 248
-2%
1 188 939
-19%
1 238 086
+4%
1 295 627
+5%
1 256 303
-3%
1 337 995
+7%
1 432 162
+7%
1 411 790
-1%
1 258 948
-11%
1 325 525
+5%
1 431 309
+8%
1 501 074
+5%
1 530 515
+2%
1 558 125
+2%
1 934 965
+24%
2 068 203
+7%
2 215 819
+7%
2 153 953
-3%
Liabilities
Accounts Payable
100 639
129 903
136 336
154 918
213 182
244 900
239 542
98 394
163 062
196 823
194 025
215 666
219 849
164 193
118 331
145 658
162 179
163 908
117 920
117 750
173 032
161 197
177 039
155 785
Accrued Liabilities
0
0
0
0
0
160
122
49
38
79
35
23
42
93
164
140
158
175
0
0
0
0
0
0
Short-Term Debt
225 897
155 033
153 760
144 347
127 017
184 690
176 329
163 504
97 884
110 492
115 192
121 685
136 967
122 062
86 490
90 276
114 348
102 733
179 829
162 182
297 437
324 120
289 627
234 790
Current Portion of Long-Term Debt
106 528
80 079
77 298
34 569
44 456
42 213
36 860
27 938
42 533
44 787
54 482
64 011
54 188
56 334
46 034
42 724
40 260
57 997
52 964
54 539
49 178
44 343
34 461
47 698
Other Current Liabilities
92 468
86 598
73 475
106 732
90 419
119 290
116 707
87 973
82 686
90 117
87 773
92 523
96 010
105 817
113 240
113 985
126 160
133 945
134 961
131 834
186 922
165 784
175 452
167 654
Total Current Liabilities
525 532
451 613
440 869
440 566
475 074
591 253
569 560
377 858
386 203
442 298
451 507
493 908
507 056
448 499
364 259
392 783
443 105
458 758
485 674
466 305
706 569
695 444
676 579
605 927
Long-Term Debt
299 311
293 885
251 568
243 426
252 465
271 420
272 783
343 622
352 962
324 733
294 501
320 956
389 595
368 996
339 299
304 228
305 963
321 288
313 237
293 495
319 471
369 786
432 670
455 489
Deferred Income Tax
3 581
2 900
2 860
2 901
3 550
4 702
4 396
9 135
13 044
12 848
13 561
16 963
22 923
24 421
19 791
24 169
13 240
11 471
23 017
27 834
28 133
35 162
42 136
44 714
Minority Interest
39 635
43 205
38 890
45 457
75 103
65 743
64 183
48 223
41 721
47 361
48 335
52 135
56 804
65 064
61 266
64 943
75 636
79 824
80 487
74 236
94 468
96 476
121 955
122 320
Other Liabilities
62 816
62 853
70 914
67 062
58 677
60 556
58 282
60 193
66 873
84 647
80 963
77 254
102 941
98 575
92 362
89 710
81 779
77 818
98 880
88 334
73 670
84 508
79 628
77 219
Total Liabilities
930 875
N/A
854 456
-8%
805 101
-6%
799 412
-1%
864 869
+8%
993 674
+15%
969 204
-2%
839 031
-13%
860 803
+3%
911 887
+6%
888 867
-3%
961 216
+8%
1 079 319
+12%
1 005 555
-7%
876 977
-13%
875 833
0%
919 723
+5%
949 159
+3%
1 001 295
+5%
950 204
-5%
1 222 311
+29%
1 281 376
+5%
1 352 968
+6%
1 305 669
-3%
Equity
Common Stock
103 226
103 226
103 226
103 226
103 226
103 226
103 226
103 226
125 053
125 053
125 053
125 053
125 053
125 053
125 053
125 053
125 125
125 205
125 298
125 331
125 414
125 572
125 738
125 738
Retained Earnings
189 375
202 540
210 109
231 497
269 191
311 703
326 932
221 721
182 922
201 692
194 648
180 451
149 287
165 408
181 128
236 961
291 000
348 202
359 794
424 084
516 098
575 125
617 400
618 307
Additional Paid In Capital
66 901
66 901
66 912
66 913
66 945
69 257
69 238
69 238
91 065
91 065
91 065
91 065
91 065
91 065
90 847
90 491
89 327
89 406
79 320
74 009
69 866
57 778
55 027
55 079
Unrealized Security Profit/Loss
6 854
3 147
13 969
16 572
29 016
34 290
19 125
7 319
13 095
11 490
8 179
12 862
16 678
21 018
0
20 337
26 558
21 421
0
0
0
19 416
25 385
19 984
Treasury Stock
131
2 085
2 428
3 086
3 593
18 280
19 826
29 827
14 215
14 254
14 268
14 264
14 341
14 454
0
14 708
19 842
29 869
39 254
24 900
34 932
32 704
32 751
42 652
Other Equity
763
2 991
8 423
9 349
764
4 313
1 349
21 769
20 637
31 306
37 241
18 388
14 899
18 145
15 100
8 442
582
2 450
4 062
9 397
36 208
41 640
72 052
71 828
Total Equity
366 988
N/A
370 738
+1%
383 365
+3%
405 773
+6%
464 021
+14%
504 509
+9%
500 044
-1%
349 908
-30%
377 283
+8%
383 740
+2%
367 436
-4%
376 779
+3%
352 843
-6%
406 235
+15%
381 971
-6%
449 692
+18%
511 586
+14%
551 915
+8%
529 220
-4%
607 921
+15%
712 654
+17%
786 827
+10%
862 851
+10%
848 284
-2%
Total Liabilities & Equity
1 297 863
N/A
1 225 194
-6%
1 188 466
-3%
1 205 185
+1%
1 328 890
+10%
1 498 183
+13%
1 469 248
-2%
1 188 939
-19%
1 238 086
+4%
1 295 627
+5%
1 256 303
-3%
1 337 995
+7%
1 432 162
+7%
1 411 790
-1%
1 258 948
-11%
1 325 525
+5%
1 431 309
+8%
1 501 074
+5%
1 530 515
+2%
1 558 125
+2%
1 934 965
+24%
2 068 203
+7%
2 215 819
+7%
2 153 953
-3%
Shares Outstanding
Common Shares Outstanding
316
314
314
313
313
309
308
301
401
401
401
401
400
400
400
400
397
390
382
392
386
380
380
375
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