Fujifilm Holdings Corp
TSE:4901
Balance Sheet
Balance Sheet Decomposition
Fujifilm Holdings Corp
Fujifilm Holdings Corp
Balance Sheet
Fujifilm Holdings 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 |
381 901
|
410 130
|
461 764
|
288 157
|
218 598
|
384 719
|
330 926
|
270 094
|
406 177
|
313 070
|
235 104
|
445 394
|
604 571
|
726 888
|
600 897
|
875 958
|
768 246
|
654 747
|
396 091
|
394 795
|
486 328
|
268 608
|
179 715
|
172 111
|
|
| Cash Equivalents |
381 901
|
410 130
|
461 764
|
288 157
|
218 598
|
384 719
|
330 926
|
270 094
|
406 177
|
313 070
|
235 104
|
445 394
|
604 571
|
726 888
|
600 897
|
875 958
|
768 246
|
654 747
|
396 091
|
394 795
|
486 328
|
268 608
|
179 715
|
172 111
|
|
| Short-Term Investments |
16 369
|
32 639
|
33 906
|
65 729
|
69 829
|
48 536
|
14 936
|
29 224
|
61 362
|
23 188
|
12 364
|
3 653
|
16 635
|
16 635
|
28 012
|
6 044
|
35
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
530 499
|
521 478
|
535 836
|
533 225
|
566 315
|
605 592
|
596 860
|
472 517
|
495 025
|
502 177
|
556 483
|
588 875
|
636 813
|
681 013
|
643 570
|
635 780
|
619 050
|
617 795
|
558 418
|
605 718
|
598 634
|
633 051
|
696 585
|
699 986
|
|
| Accounts Receivables |
530 499
|
521 478
|
535 836
|
533 225
|
566 315
|
605 592
|
596 860
|
472 517
|
495 025
|
502 177
|
556 483
|
588 875
|
636 813
|
681 013
|
643 570
|
635 780
|
619 050
|
617 795
|
502 999
|
554 074
|
550 707
|
590 452
|
654 940
|
664 794
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
55 419
|
51 644
|
47 927
|
42 599
|
41 645
|
35 192
|
|
| Inventory |
358 503
|
351 748
|
348 309
|
371 365
|
385 463
|
393 594
|
416 827
|
368 250
|
303 120
|
342 165
|
377 952
|
399 929
|
363 743
|
372 513
|
349 166
|
339 242
|
361 321
|
374 456
|
380 911
|
417 662
|
504 467
|
567 302
|
547 803
|
543 976
|
|
| Other Current Assets |
101 974
|
113 153
|
110 833
|
114 792
|
132 255
|
152 808
|
152 403
|
162 614
|
144 865
|
130 243
|
140 088
|
123 436
|
139 935
|
60 103
|
144 603
|
177 776
|
112 150
|
83 908
|
153 783
|
89 201
|
135 300
|
162 146
|
150 525
|
165 608
|
|
| Total Current Assets |
1 389 246
|
1 429 148
|
1 490 648
|
1 373 268
|
1 372 460
|
1 585 249
|
1 511 952
|
1 302 699
|
1 410 549
|
1 310 843
|
1 321 991
|
1 561 287
|
1 761 697
|
1 943 215
|
1 766 248
|
2 034 800
|
1 860 802
|
1 730 906
|
1 489 203
|
1 507 376
|
1 724 729
|
1 631 107
|
1 574 628
|
1 581 681
|
|
| PP&E Net |
726 877
|
698 248
|
705 149
|
747 212
|
751 385
|
773 032
|
776 367
|
698 006
|
601 661
|
564 065
|
553 916
|
546 132
|
530 237
|
527 377
|
532 601
|
520 614
|
537 545
|
526 797
|
675 808
|
713 454
|
820 228
|
1 058 387
|
1 495 829
|
1 899 951
|
|
| PP&E Gross |
726 877
|
698 248
|
705 149
|
747 212
|
751 385
|
773 032
|
776 367
|
698 006
|
601 661
|
564 065
|
553 916
|
546 132
|
530 237
|
527 377
|
532 601
|
520 614
|
537 545
|
526 797
|
675 808
|
713 454
|
820 228
|
1 058 387
|
1 495 829
|
1 899 951
|
|
| Accumulated Depreciation |
1 425 474
|
1 467 913
|
1 488 705
|
1 543 613
|
1 617 885
|
1 672 344
|
1 764 543
|
1 781 488
|
1 770 108
|
1 785 648
|
1 805 992
|
1 896 833
|
2 000 732
|
2 057 778
|
1 921 729
|
1 918 703
|
1 955 847
|
1 745 156
|
1 754 696
|
1 727 779
|
1 749 945
|
1 750 999
|
1 832 853
|
1 863 825
|
|
| Intangible Assets |
57 423
|
45 246
|
35 732
|
48 851
|
52 767
|
59 397
|
91 689
|
74 286
|
45 195
|
44 223
|
43 900
|
90 239
|
82 398
|
80 271
|
86 249
|
76 448
|
127 137
|
145 013
|
142 071
|
128 496
|
152 691
|
144 258
|
178 335
|
157 547
|
|
| Goodwill |
191 294
|
213 713
|
214 649
|
227 775
|
233 547
|
257 866
|
326 777
|
328 958
|
325 859
|
344 444
|
393 541
|
412 247
|
423 088
|
504 963
|
506 870
|
499 833
|
591 568
|
655 508
|
687 155
|
804 199
|
824 003
|
858 311
|
953 835
|
947 924
|
|
| Note Receivable |
99 778
|
101 435
|
99 363
|
97 029
|
102 773
|
106 979
|
133 543
|
105 514
|
109 588
|
117 305
|
128 493
|
156 165
|
156 767
|
169 139
|
0
|
139 124
|
122 219
|
104 323
|
92 221
|
87 494
|
85 261
|
77 590
|
85 833
|
100 607
|
|
| Long-Term Investments |
346 336
|
303 743
|
305 007
|
326 458
|
364 435
|
381 668
|
285 421
|
182 865
|
189 482
|
182 036
|
154 568
|
175 486
|
179 090
|
216 148
|
174 737
|
162 994
|
120 449
|
139 123
|
114 979
|
143 499
|
148 796
|
113 666
|
124 229
|
110 083
|
|
| Other Long-Term Assets |
135 408
|
166 784
|
172 961
|
162 864
|
150 124
|
154 911
|
140 635
|
204 309
|
145 094
|
145 925
|
143 256
|
118 040
|
93 692
|
115 456
|
96 755
|
99 376
|
133 220
|
113 022
|
120 255
|
164 685
|
199 572
|
250 992
|
370 771
|
452 115
|
|
| Other Assets |
191 294
|
213 713
|
214 649
|
227 775
|
233 547
|
257 866
|
326 777
|
328 958
|
325 859
|
344 444
|
393 541
|
412 247
|
423 088
|
504 963
|
506 870
|
499 833
|
591 568
|
655 508
|
687 155
|
804 199
|
824 003
|
858 311
|
953 835
|
947 924
|
|
| Total Assets |
2 946 362
N/A
|
2 958 317
+0%
|
3 023 509
+2%
|
2 983 457
-1%
|
3 027 491
+1%
|
3 319 102
+10%
|
3 266 384
-2%
|
2 896 637
-11%
|
2 827 428
-2%
|
2 708 841
-4%
|
2 739 665
+1%
|
3 059 596
+12%
|
3 226 969
+5%
|
3 556 569
+10%
|
3 311 970
-7%
|
3 533 189
+7%
|
3 492 940
-1%
|
3 414 692
-2%
|
3 321 692
-3%
|
3 549 203
+7%
|
3 955 280
+11%
|
4 134 311
+5%
|
4 783 460
+16%
|
5 249 908
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
246 251
|
272 244
|
299 340
|
284 295
|
262 745
|
284 357
|
284 160
|
200 414
|
232 513
|
231 938
|
231 675
|
230 283
|
248 439
|
252 250
|
233 727
|
237 950
|
227 379
|
212 598
|
196 938
|
218 763
|
251 315
|
247 696
|
264 057
|
281 034
|
|
| Accrued Liabilities |
166 391
|
165 994
|
172 426
|
192 809
|
214 993
|
225 848
|
189 741
|
174 172
|
174 981
|
179 315
|
178 618
|
175 708
|
183 423
|
195 270
|
183 955
|
179 055
|
219 723
|
182 833
|
197 685
|
226 457
|
258 324
|
265 840
|
283 794
|
284 370
|
|
| Short-Term Debt |
187 254
|
159 631
|
143 265
|
123 592
|
99 088
|
94 476
|
80 669
|
64 667
|
39 806
|
50 754
|
0
|
34 566
|
39 139
|
32 295
|
48 443
|
20 038
|
13 113
|
7 735
|
56 134
|
5 826
|
7 883
|
5 927
|
235 030
|
147 926
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
11 567
|
33 128
|
2 892
|
115 573
|
19 589
|
178 536
|
6 114
|
5 592
|
4 349
|
6 862
|
103 961
|
28 563
|
162 844
|
67 054
|
60 522
|
194 324
|
102 189
|
82 073
|
67 177
|
|
| Other Current Liabilities |
120 901
|
114 501
|
137 055
|
133 404
|
146 080
|
165 116
|
166 933
|
91 425
|
98 108
|
104 862
|
103 538
|
99 693
|
119 829
|
138 121
|
133 821
|
139 174
|
175 439
|
136 275
|
142 196
|
204 716
|
267 729
|
268 670
|
300 887
|
345 433
|
|
| Total Current Liabilities |
720 797
|
712 370
|
752 086
|
734 100
|
722 906
|
781 364
|
754 631
|
533 570
|
660 981
|
586 458
|
692 367
|
546 364
|
596 422
|
622 285
|
606 808
|
680 178
|
664 217
|
702 285
|
660 007
|
716 284
|
979 575
|
890 322
|
1 165 841
|
1 125 940
|
|
| Long-Term Debt |
137 446
|
124 404
|
116 823
|
96 040
|
74 329
|
267 965
|
256 213
|
253 987
|
140 269
|
119 314
|
20 334
|
317 592
|
314 968
|
313 045
|
310 388
|
434 843
|
412 502
|
353 533
|
510 228
|
446 072
|
253 617
|
276 611
|
190 985
|
476 265
|
|
| Deferred Income Tax |
18 282
|
21 672
|
42 555
|
48 224
|
64 348
|
54 268
|
44 936
|
32 823
|
26 911
|
31 442
|
35 874
|
36 781
|
34 604
|
63 012
|
36 976
|
50 736
|
17 298
|
19 959
|
21 558
|
32 240
|
54 035
|
49 150
|
90 747
|
101 437
|
|
| Minority Interest |
130 466
|
126 080
|
103 725
|
115 966
|
119 549
|
112 028
|
128 992
|
115 908
|
129 722
|
128 345
|
134 715
|
155 916
|
177 584
|
234 702
|
217 171
|
224 499
|
219 572
|
207 878
|
40 505
|
17 591
|
22 283
|
24 715
|
4 068
|
4 202
|
|
| Other Liabilities |
241 308
|
293 180
|
258 438
|
140 025
|
82 862
|
126 969
|
159 259
|
204 036
|
123 438
|
120 756
|
134 606
|
134 073
|
82 752
|
90 811
|
125 801
|
99 374
|
100 217
|
94 074
|
136 142
|
132 450
|
143 113
|
130 368
|
162 572
|
193 584
|
|
| Total Liabilities |
1 248 299
N/A
|
1 277 706
+2%
|
1 273 627
0%
|
1 134 355
-11%
|
1 063 994
-6%
|
1 342 594
+26%
|
1 344 031
+0%
|
1 140 324
-15%
|
1 081 321
-5%
|
986 315
-9%
|
1 017 896
+3%
|
1 190 726
+17%
|
1 206 330
+1%
|
1 323 855
+10%
|
1 297 144
-2%
|
1 489 630
+15%
|
1 413 806
-5%
|
1 377 729
-3%
|
1 368 440
-1%
|
1 344 637
-2%
|
1 452 623
+8%
|
1 371 166
-6%
|
1 614 213
+18%
|
1 901 428
+18%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
40 363
|
|
| Retained Earnings |
1 618 270
|
1 653 221
|
1 722 692
|
1 794 385
|
1 818 610
|
1 840 168
|
1 923 432
|
1 919 019
|
1 868 362
|
1 917 659
|
1 944 557
|
1 979 552
|
2 036 451
|
2 126 075
|
2 174 965
|
2 275 626
|
2 383 793
|
2 507 719
|
2 563 091
|
2 702 760
|
2 867 848
|
2 616 191
|
2 741 416
|
2 930 151
|
|
| Additional Paid In Capital |
68 135
|
68 135
|
68 135
|
68 135
|
68 412
|
68 412
|
69 329
|
69 739
|
70 283
|
73 956
|
74 780
|
75 226
|
75 507
|
75 588
|
80 507
|
81 761
|
79 153
|
24 494
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
7 264
|
10 483
|
2 354
|
0
|
26 854
|
36 816
|
69 852
|
0
|
41 709
|
18 527
|
242
|
119
|
227
|
73
|
120
|
2
|
35
|
|
| Treasury Stock |
572
|
4 865
|
5 187
|
20 256
|
16 805
|
13 385
|
47 600
|
82 603
|
82 613
|
102 594
|
102 531
|
102 046
|
101 687
|
100 901
|
0
|
299 471
|
336 392
|
435 020
|
486 102
|
485 721
|
481 547
|
57 229
|
56 151
|
55 081
|
|
| Other Equity |
28 133
|
76 243
|
76 121
|
33 525
|
52 917
|
40 950
|
63 171
|
182 941
|
160 771
|
209 212
|
235 400
|
151 079
|
66 811
|
21 737
|
80 092
|
96 429
|
106 310
|
100 351
|
163 981
|
53 063
|
75 920
|
163 700
|
443 621
|
433 082
|
|
| Total Equity |
1 698 063
N/A
|
1 680 611
-1%
|
1 749 882
+4%
|
1 849 102
+6%
|
1 963 497
+6%
|
1 976 508
+1%
|
1 922 353
-3%
|
1 756 313
-9%
|
1 746 107
-1%
|
1 722 526
-1%
|
1 721 769
0%
|
1 868 870
+9%
|
2 020 639
+8%
|
2 232 714
+10%
|
2 014 826
-10%
|
2 043 559
+1%
|
2 079 134
+2%
|
2 036 963
-2%
|
1 953 252
-4%
|
2 204 566
+13%
|
2 502 657
+14%
|
2 763 145
+10%
|
3 169 247
+15%
|
3 348 480
+6%
|
|
| Total Liabilities & Equity |
2 946 362
N/A
|
2 958 317
+0%
|
3 023 509
+2%
|
2 983 457
-1%
|
3 027 491
+1%
|
3 319 102
+10%
|
3 266 384
-2%
|
2 896 637
-11%
|
2 827 428
-2%
|
2 708 841
-4%
|
2 739 665
+1%
|
3 059 596
+12%
|
3 226 969
+5%
|
3 556 569
+10%
|
3 311 970
-7%
|
3 533 189
+7%
|
3 492 940
-1%
|
3 414 692
-2%
|
3 321 692
-3%
|
3 549 203
+7%
|
3 955 280
+11%
|
4 134 311
+5%
|
4 783 460
+16%
|
5 249 908
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
515
|
513
|
513
|
509
|
510
|
511
|
504
|
489
|
489
|
482
|
482
|
482
|
482
|
482
|
450
|
438
|
430
|
409
|
400
|
1 199
|
1 202
|
1 203
|
1 204
|
1 205
|
|