Sekisui Chemical Co Ltd
TSE:4204
Balance Sheet
Balance Sheet Decomposition
Sekisui Chemical Co Ltd
Sekisui Chemical Co Ltd
Balance Sheet
Sekisui 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 |
30 969
|
19 311
|
23 392
|
31 157
|
44 715
|
26 083
|
30 280
|
40 842
|
45 175
|
75 021
|
75 422
|
91 132
|
107 673
|
87 169
|
68 007
|
109 891
|
77 996
|
69 882
|
76 819
|
87 454
|
144 534
|
101 080
|
138 572
|
142 586
|
|
| Cash Equivalents |
30 969
|
19 311
|
23 392
|
31 157
|
44 715
|
26 083
|
30 280
|
40 842
|
45 175
|
75 021
|
75 422
|
91 132
|
107 673
|
87 169
|
68 007
|
109 891
|
77 996
|
69 882
|
76 819
|
87 454
|
144 534
|
101 080
|
138 572
|
142 586
|
|
| Short-Term Investments |
0
|
1 600
|
1 067
|
11
|
0
|
22
|
29
|
1
|
20 001
|
10 501
|
21
|
1
|
0
|
0
|
107
|
1
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
139 015
|
122 686
|
119 158
|
134 774
|
151 322
|
178 485
|
167 985
|
142 893
|
146 227
|
148 070
|
155 740
|
170 704
|
189 953
|
185 263
|
175 272
|
168 020
|
188 896
|
187 674
|
174 213
|
169 461
|
185 393
|
191 681
|
213 798
|
207 566
|
|
| Accounts Receivables |
68 685
|
66 147
|
66 490
|
75 498
|
96 961
|
108 834
|
111 573
|
97 063
|
105 753
|
108 264
|
114 596
|
127 994
|
149 843
|
143 227
|
139 130
|
129 932
|
135 707
|
140 955
|
133 311
|
134 649
|
148 212
|
153 167
|
169 574
|
169 032
|
|
| Other Receivables |
70 330
|
56 539
|
52 668
|
59 276
|
54 361
|
69 651
|
56 412
|
45 830
|
40 474
|
39 806
|
41 144
|
42 710
|
40 110
|
42 036
|
36 142
|
38 088
|
53 189
|
46 719
|
40 902
|
34 812
|
37 181
|
38 514
|
44 224
|
38 534
|
|
| Inventory |
81 615
|
76 105
|
80 915
|
87 827
|
94 893
|
109 319
|
116 217
|
120 018
|
107 200
|
117 854
|
132 576
|
140 024
|
156 345
|
157 603
|
150 759
|
153 551
|
170 457
|
192 187
|
217 189
|
222 909
|
243 837
|
286 799
|
298 232
|
313 817
|
|
| Other Current Assets |
33 779
|
32 472
|
32 001
|
33 200
|
23 746
|
27 071
|
27 933
|
26 761
|
24 916
|
28 035
|
36 563
|
38 103
|
40 689
|
36 129
|
40 368
|
34 638
|
21 852
|
20 294
|
23 662
|
25 747
|
35 631
|
42 090
|
34 962
|
39 135
|
|
| Total Current Assets |
285 378
|
252 174
|
256 533
|
286 969
|
314 676
|
340 980
|
342 444
|
330 515
|
343 519
|
379 481
|
400 322
|
439 964
|
494 660
|
466 164
|
434 513
|
466 101
|
459 201
|
470 037
|
491 883
|
505 571
|
609 395
|
621 650
|
685 564
|
703 104
|
|
| PP&E Net |
253 452
|
248 244
|
239 851
|
228 904
|
226 428
|
245 484
|
243 464
|
238 827
|
256 982
|
236 250
|
231 194
|
240 654
|
252 051
|
263 857
|
269 974
|
261 765
|
279 738
|
309 455
|
337 250
|
351 397
|
365 254
|
377 381
|
392 485
|
403 870
|
|
| Intangible Assets |
8 244
|
7 819
|
6 821
|
6 242
|
5 861
|
6 613
|
7 260
|
8 119
|
10 869
|
10 521
|
25 182
|
27 975
|
26 935
|
23 319
|
26 939
|
24 964
|
33 457
|
33 822
|
48 420
|
46 735
|
35 997
|
39 975
|
50 461
|
52 257
|
|
| Goodwill |
0
|
0
|
3 404
|
3 145
|
3 070
|
18 638
|
20 176
|
25 645
|
22 909
|
19 290
|
26 711
|
21 123
|
12 893
|
10 787
|
16 783
|
14 627
|
17 640
|
16 953
|
56 078
|
50 914
|
10 736
|
11 028
|
8 636
|
6 874
|
|
| Note Receivable |
2 382
|
4 128
|
3 710
|
3 410
|
4 207
|
2 184
|
1 006
|
593
|
793
|
552
|
833
|
710
|
967
|
715
|
696
|
1 789
|
1 048
|
2 281
|
1 379
|
1 613
|
1 157
|
1 163
|
1 097
|
923
|
|
| Long-Term Investments |
191 619
|
187 597
|
195 367
|
188 668
|
241 248
|
249 432
|
133 172
|
109 923
|
116 582
|
105 307
|
107 925
|
146 192
|
151 724
|
182 049
|
168 262
|
156 916
|
177 707
|
163 334
|
140 862
|
174 656
|
130 688
|
137 314
|
127 421
|
105 102
|
|
| Other Long-Term Assets |
59 188
|
51 268
|
43 093
|
31 448
|
12 858
|
15 811
|
35 327
|
42 815
|
35 594
|
38 775
|
34 936
|
24 946
|
21 779
|
21 120
|
18 876
|
17 478
|
25 346
|
27 824
|
29 909
|
19 257
|
45 694
|
39 620
|
57 579
|
58 656
|
|
| Other Assets |
0
|
0
|
3 404
|
3 145
|
3 070
|
18 638
|
20 176
|
25 645
|
22 909
|
19 290
|
26 711
|
21 123
|
12 893
|
10 787
|
16 783
|
14 627
|
17 640
|
16 953
|
56 078
|
50 914
|
10 736
|
11 028
|
8 636
|
6 874
|
|
| Total Assets |
800 263
N/A
|
751 230
-6%
|
748 779
0%
|
748 786
+0%
|
808 348
+8%
|
879 142
+9%
|
782 849
-11%
|
756 437
-3%
|
787 248
+4%
|
790 176
+0%
|
827 103
+5%
|
901 564
+9%
|
961 009
+7%
|
968 011
+1%
|
936 043
-3%
|
943 640
+1%
|
994 137
+5%
|
1 023 706
+3%
|
1 105 781
+8%
|
1 150 143
+4%
|
1 198 921
+4%
|
1 228 131
+2%
|
1 323 243
+8%
|
1 330 786
+1%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
128 707
|
121 987
|
125 174
|
129 206
|
127 623
|
139 124
|
133 078
|
118 796
|
121 964
|
125 351
|
131 345
|
138 163
|
148 834
|
135 971
|
125 034
|
120 120
|
130 819
|
130 440
|
131 775
|
117 594
|
138 181
|
136 603
|
123 858
|
123 551
|
|
| Accrued Liabilities |
39 234
|
34 908
|
34 977
|
36 573
|
39 800
|
43 519
|
43 508
|
37 618
|
38 534
|
41 788
|
43 203
|
45 594
|
49 567
|
53 072
|
55 246
|
56 163
|
58 171
|
59 590
|
59 534
|
61 775
|
63 499
|
60 729
|
63 209
|
66 961
|
|
| Short-Term Debt |
126 055
|
82 072
|
45 134
|
34 544
|
33 202
|
62 353
|
34 478
|
48 349
|
20 252
|
18 261
|
0
|
21 512
|
23 242
|
18 423
|
0
|
9 570
|
13 981
|
22 699
|
32 862
|
4 451
|
2 103
|
1 048
|
1 504
|
1 408
|
|
| Current Portion of Long-Term Debt |
21 642
|
107
|
96
|
0
|
0
|
10 000
|
0
|
13 892
|
21 376
|
25 165
|
43 655
|
29 031
|
33 811
|
10 576
|
36 142
|
7 133
|
7 326
|
5 609
|
8 297
|
7 452
|
7 190
|
7 677
|
15 528
|
6 354
|
|
| Other Current Liabilities |
53 324
|
49 920
|
63 570
|
72 691
|
74 718
|
86 411
|
81 667
|
83 371
|
83 143
|
90 530
|
105 814
|
101 239
|
132 911
|
115 384
|
98 522
|
97 095
|
88 753
|
92 842
|
101 744
|
91 006
|
118 721
|
121 921
|
140 498
|
141 728
|
|
| Total Current Liabilities |
368 962
|
288 994
|
268 951
|
273 014
|
275 343
|
341 407
|
292 731
|
302 026
|
285 269
|
301 095
|
324 017
|
335 539
|
388 365
|
333 426
|
314 944
|
290 081
|
299 050
|
311 180
|
334 212
|
282 278
|
329 694
|
327 978
|
344 597
|
340 002
|
|
| Long-Term Debt |
78 442
|
111 592
|
107 841
|
84 998
|
61 405
|
38 930
|
57 619
|
67 164
|
91 455
|
81 080
|
83 532
|
64 776
|
36 955
|
34 120
|
16 193
|
27 028
|
25 018
|
25 538
|
76 505
|
126 264
|
113 263
|
111 732
|
103 691
|
103 067
|
|
| Deferred Income Tax |
3 332
|
3 105
|
3 315
|
3 390
|
15 062
|
18 928
|
2 655
|
2 952
|
4 397
|
4 949
|
3 916
|
5 104
|
4 923
|
10 591
|
3 782
|
3 364
|
4 750
|
3 860
|
7 777
|
10 362
|
4 624
|
4 046
|
4 757
|
1 524
|
|
| Minority Interest |
3 741
|
6 656
|
7 861
|
7 661
|
10 253
|
9 244
|
9 764
|
8 334
|
9 160
|
9 697
|
11 173
|
14 339
|
16 468
|
18 566
|
20 586
|
20 787
|
24 720
|
25 465
|
24 901
|
27 325
|
28 116
|
27 498
|
28 595
|
28 018
|
|
| Other Liabilities |
74 501
|
66 408
|
69 060
|
69 529
|
69 080
|
66 738
|
60 928
|
53 577
|
54 424
|
53 010
|
52 338
|
62 917
|
57 211
|
54 582
|
56 968
|
52 618
|
52 562
|
50 382
|
53 068
|
36 847
|
48 587
|
51 850
|
49 273
|
50 827
|
|
| Total Liabilities |
528 978
N/A
|
476 755
-10%
|
457 028
-4%
|
438 592
-4%
|
431 143
-2%
|
475 247
+10%
|
423 697
-11%
|
434 053
+2%
|
444 705
+2%
|
449 831
+1%
|
474 976
+6%
|
482 675
+2%
|
503 922
+4%
|
451 285
-10%
|
412 473
-9%
|
393 878
-5%
|
406 100
+3%
|
416 425
+3%
|
496 463
+19%
|
483 076
-3%
|
524 284
+9%
|
523 104
0%
|
530 913
+1%
|
523 438
-1%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
100 002
|
|
| Retained Earnings |
63 210
|
69 172
|
80 792
|
97 641
|
118 909
|
137 785
|
154 310
|
147 317
|
154 856
|
173 300
|
193 330
|
209 586
|
240 498
|
265 660
|
296 171
|
341 427
|
374 372
|
408 164
|
433 330
|
441 087
|
447 958
|
468 094
|
501 945
|
544 799
|
|
| Additional Paid In Capital |
109 234
|
109 234
|
109 243
|
109 266
|
109 456
|
109 420
|
109 367
|
109 307
|
109 307
|
109 307
|
109 288
|
109 234
|
109 234
|
109 234
|
109 183
|
109 192
|
109 031
|
109 221
|
109 273
|
109 021
|
109 042
|
108 583
|
108 621
|
105 068
|
|
| Unrealized Security Profit/Loss |
712
|
166
|
6 231
|
7 015
|
54 266
|
57 643
|
716
|
11 003
|
838
|
8 003
|
7 296
|
18 038
|
19 262
|
44 014
|
40 375
|
39 784
|
46 667
|
37 149
|
27 784
|
51 104
|
34 048
|
38 157
|
51 517
|
37 208
|
|
| Treasury Stock |
487
|
2 288
|
2 744
|
3 128
|
6 629
|
6 375
|
10 844
|
10 833
|
10 839
|
13 017
|
17 352
|
11 577
|
20 347
|
21 770
|
25 970
|
40 969
|
42 461
|
44 337
|
44 139
|
43 414
|
44 592
|
46 637
|
48 679
|
50 082
|
|
| Other Equity |
1 385
|
1 478
|
1 770
|
601
|
1 199
|
5 419
|
7 033
|
12 404
|
9 943
|
21 242
|
25 845
|
6 394
|
8 438
|
19 586
|
3 809
|
326
|
426
|
2 918
|
16 932
|
9 267
|
28 179
|
36 828
|
78 924
|
70 353
|
|
| Total Equity |
271 286
N/A
|
274 476
+1%
|
291 754
+6%
|
310 195
+6%
|
377 203
+22%
|
403 894
+7%
|
359 152
-11%
|
322 386
-10%
|
342 545
+6%
|
340 347
-1%
|
352 127
+3%
|
418 889
+19%
|
457 087
+9%
|
516 726
+13%
|
523 570
+1%
|
549 762
+5%
|
588 037
+7%
|
607 281
+3%
|
609 318
+0%
|
667 067
+9%
|
674 637
+1%
|
705 027
+5%
|
792 330
+12%
|
807 348
+2%
|
|
| Total Liabilities & Equity |
800 264
N/A
|
751 231
-6%
|
748 782
0%
|
748 787
+0%
|
808 346
+8%
|
879 141
+9%
|
782 849
-11%
|
756 439
-3%
|
787 250
+4%
|
790 178
+0%
|
827 103
+5%
|
901 564
+9%
|
961 009
+7%
|
968 011
+1%
|
936 043
-3%
|
943 640
+1%
|
994 137
+5%
|
1 023 706
+3%
|
1 105 781
+8%
|
1 150 143
+4%
|
1 198 921
+4%
|
1 228 131
+2%
|
1 323 243
+8%
|
1 330 786
+1%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
538
|
533
|
532
|
532
|
530
|
530
|
525
|
525
|
525
|
522
|
515
|
516
|
509
|
500
|
488
|
479
|
472
|
464
|
457
|
449
|
444
|
429
|
421
|
418
|
|