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Sekisui Chemical Co Ltd
TSE:4204

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Sekisui Chemical Co Ltd
TSE:4204
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Price: 2 779.5 JPY Market Closed
Market Cap: ¥1.2T

Balance Sheet

Balance Sheet Decomposition
Sekisui Chemical Co Ltd

Balance Sheet
Sekisui Chemical Co Ltd

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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
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
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