AGC Inc
TSE:5201
Balance Sheet
Balance Sheet Decomposition
AGC Inc
AGC Inc
Balance Sheet
AGC Inc
| Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||||||||
| Cash & Cash Equivalents |
61 882
|
98 648
|
73 811
|
80 610
|
82 399
|
83 774
|
83 953
|
91 497
|
98 789
|
100 461
|
132 649
|
69 655
|
104 831
|
147 325
|
126 417
|
123 503
|
113 784
|
236 124
|
195 830
|
209 716
|
146 061
|
107 988
|
94 671
|
|
| Cash Equivalents |
61 882
|
98 648
|
73 811
|
80 610
|
82 399
|
83 774
|
83 953
|
91 497
|
98 789
|
100 461
|
132 649
|
69 655
|
104 831
|
147 325
|
126 417
|
123 503
|
113 784
|
236 124
|
195 830
|
209 716
|
146 061
|
107 988
|
94 671
|
|
| Short-Term Investments |
0
|
0
|
0
|
0
|
0
|
0
|
20 000
|
68 000
|
25 000
|
20 300
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
251 938
|
273 866
|
302 866
|
287 983
|
280 346
|
203 424
|
219 843
|
232 902
|
228 682
|
244 399
|
303 652
|
306 734
|
284 475
|
286 649
|
309 841
|
315 478
|
317 338
|
333 814
|
364 151
|
381 516
|
417 478
|
407 219
|
387 294
|
|
| Accounts Receivables |
251 938
|
273 866
|
302 866
|
287 983
|
280 346
|
203 424
|
219 843
|
232 902
|
228 682
|
244 399
|
244 928
|
246 110
|
226 324
|
225 064
|
243 325
|
242 012
|
246 958
|
248 716
|
278 084
|
283 119
|
295 070
|
292 798
|
324 396
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
58 724
|
60 624
|
58 151
|
61 585
|
66 516
|
73 466
|
70 380
|
85 098
|
86 067
|
98 397
|
122 408
|
114 421
|
62 898
|
|
| Inventory |
203 643
|
215 782
|
238 022
|
248 231
|
237 686
|
227 105
|
176 545
|
176 352
|
194 323
|
208 346
|
236 611
|
239 497
|
235 374
|
227 284
|
261 708
|
277 014
|
291 224
|
274 835
|
330 101
|
436 516
|
454 056
|
454 143
|
465 415
|
|
| Other Current Assets |
64 595
|
59 937
|
73 731
|
105 998
|
76 685
|
78 399
|
58 165
|
58 162
|
59 977
|
77 742
|
9 267
|
11 292
|
12 866
|
12 178
|
24 556
|
17 201
|
20 266
|
16 189
|
25 189
|
35 261
|
24 283
|
31 920
|
20 392
|
|
| Total Current Assets |
582 058
|
648 233
|
688 430
|
722 822
|
677 116
|
592 702
|
558 506
|
626 913
|
606 771
|
651 248
|
682 179
|
627 178
|
637 546
|
673 436
|
722 522
|
733 196
|
742 612
|
860 962
|
915 271
|
1 063 009
|
1 041 878
|
1 001 270
|
967 772
|
|
| PP&E Net |
810 211
|
853 390
|
922 630
|
1 008 115
|
1 053 158
|
958 588
|
928 284
|
861 395
|
842 562
|
957 661
|
1 059 946
|
1 066 193
|
982 296
|
937 869
|
1 060 601
|
1 108 934
|
1 177 691
|
1 246 885
|
1 323 868
|
1 350 769
|
1 457 950
|
1 550 862
|
1 652 885
|
|
| PP&E Gross |
810 211
|
853 390
|
922 630
|
1 008 115
|
1 053 158
|
958 588
|
928 284
|
861 395
|
842 562
|
957 661
|
1 059 946
|
1 066 193
|
982 296
|
937 869
|
1 060 601
|
1 108 934
|
1 177 691
|
1 246 885
|
1 323 868
|
1 350 769
|
1 457 950
|
1 550 862
|
0
|
|
| Accumulated Depreciation |
1 257 080
|
1 322 482
|
1 451 125
|
1 459 052
|
1 472 250
|
1 303 847
|
1 415 814
|
1 394 267
|
1 398 149
|
1 580 396
|
1 841 017
|
1 942 385
|
1 926 484
|
1 942 773
|
2 040 894
|
2 029 339
|
2 121 983
|
2 153 692
|
2 328 417
|
2 668 888
|
2 890 631
|
3 107 775
|
0
|
|
| Intangible Assets |
17 370
|
19 074
|
26 503
|
29 904
|
22 763
|
21 699
|
20 461
|
22 107
|
21 386
|
24 987
|
27 272
|
25 844
|
27 456
|
27 400
|
58 038
|
56 645
|
69 964
|
72 660
|
69 913
|
71 290
|
72 093
|
52 291
|
55 430
|
|
| Goodwill |
87 494
|
75 566
|
73 526
|
27 669
|
22 460
|
19 476
|
15 752
|
17 375
|
15 721
|
26 922
|
34 944
|
36 269
|
34 231
|
34 859
|
78 757
|
89 076
|
103 946
|
118 063
|
112 916
|
92 768
|
101 130
|
49 774
|
52 100
|
|
| Note Receivable |
10 881
|
9 620
|
8 404
|
7 550
|
8 672
|
6 704
|
6 788
|
5 489
|
5 124
|
6 040
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
251 837
|
224 557
|
320 927
|
311 838
|
287 342
|
172 791
|
199 816
|
187 308
|
148 350
|
195 897
|
282 389
|
280 241
|
271 727
|
269 105
|
274 471
|
214 326
|
171 257
|
162 933
|
147 821
|
118 684
|
110 902
|
99 319
|
107 483
|
|
| Other Long-Term Assets |
46 752
|
54 815
|
41 494
|
41 634
|
36 563
|
60 869
|
52 261
|
43 439
|
51 628
|
36 618
|
33 899
|
41 613
|
38 006
|
38 782
|
34 171
|
33 599
|
69 945
|
72 955
|
96 242
|
117 509
|
149 038
|
136 149
|
114 407
|
|
| Other Assets |
87 494
|
75 566
|
73 526
|
27 669
|
22 460
|
19 476
|
15 752
|
17 375
|
15 721
|
26 922
|
34 944
|
36 269
|
34 231
|
34 859
|
78 757
|
89 076
|
103 946
|
118 063
|
112 916
|
92 768
|
101 130
|
49 774
|
52 100
|
|
| Total Assets |
1 806 603
N/A
|
1 885 255
+4%
|
2 081 914
+10%
|
2 149 532
+3%
|
2 108 074
-2%
|
1 832 829
-13%
|
1 781 868
-3%
|
1 764 026
-1%
|
1 691 542
-4%
|
1 899 373
+12%
|
2 120 629
+12%
|
2 077 338
-2%
|
1 991 262
-4%
|
1 981 451
0%
|
2 228 560
+12%
|
2 235 776
+0%
|
2 335 415
+4%
|
2 534 458
+9%
|
2 666 031
+5%
|
2 814 029
+6%
|
2 932 991
+4%
|
2 889 665
-1%
|
2 950 077
+2%
|
|
| Liabilities | ||||||||||||||||||||||||
| Accounts Payable |
161 434
|
181 774
|
206 350
|
180 129
|
176 946
|
165 394
|
129 237
|
124 350
|
112 448
|
118 893
|
135 559
|
131 147
|
126 956
|
159 460
|
187 026
|
186 134
|
189 362
|
223 733
|
271 293
|
290 450
|
278 153
|
270 575
|
430 294
|
|
| Accrued Liabilities |
19 132
|
23 910
|
26 869
|
28 699
|
29 931
|
37 069
|
25 355
|
28 437
|
27 018
|
30 671
|
31 814
|
33 398
|
32 716
|
34 856
|
36 976
|
38 660
|
39 126
|
40 614
|
47 510
|
52 676
|
57 863
|
62 213
|
0
|
|
| Short-Term Debt |
118 893
|
98 245
|
112 955
|
144 272
|
109 637
|
234 404
|
36 965
|
34 463
|
42 263
|
43 907
|
57 068
|
63 694
|
34 989
|
36 689
|
73 666
|
67 281
|
78 439
|
106 884
|
36 820
|
69 750
|
121 637
|
129 940
|
98 538
|
|
| Current Portion of Long-Term Debt |
22 402
|
47 382
|
39 186
|
67 871
|
124 893
|
56 007
|
31 746
|
66 200
|
108 736
|
57 096
|
125 618
|
33 508
|
61 709
|
66 669
|
63 629
|
71 897
|
80 101
|
87 163
|
88 599
|
122 254
|
127 810
|
109 921
|
118 411
|
|
| Other Current Liabilities |
167 452
|
197 819
|
201 778
|
197 063
|
203 222
|
138 643
|
112 275
|
148 779
|
128 937
|
122 249
|
97 959
|
94 252
|
89 787
|
79 816
|
93 991
|
99 126
|
95 462
|
105 504
|
155 186
|
134 869
|
131 835
|
136 122
|
48 960
|
|
| Total Current Liabilities |
489 313
|
549 130
|
587 138
|
618 034
|
644 629
|
631 517
|
335 578
|
402 229
|
419 402
|
372 816
|
448 018
|
355 999
|
346 157
|
377 490
|
455 288
|
463 098
|
482 490
|
563 898
|
599 408
|
669 999
|
717 298
|
708 771
|
696 203
|
|
| Long-Term Debt |
432 971
|
377 678
|
376 789
|
362 735
|
296 699
|
307 198
|
528 635
|
404 612
|
326 499
|
431 977
|
392 327
|
402 054
|
372 034
|
330 609
|
351 789
|
402 601
|
444 301
|
593 912
|
477 774
|
458 237
|
445 561
|
409 876
|
429 514
|
|
| Deferred Income Tax |
24 250
|
32 957
|
58 455
|
60 619
|
31 509
|
13 454
|
13 317
|
15 095
|
10 383
|
11 360
|
29 267
|
21 145
|
32 666
|
22 110
|
59 492
|
34 989
|
41 846
|
35 153
|
35 814
|
28 851
|
37 869
|
22 865
|
20 313
|
|
| Minority Interest |
110 709
|
125 308
|
99 319
|
81 263
|
72 512
|
49 815
|
52 436
|
40 296
|
41 444
|
53 243
|
57 929
|
67 364
|
69 594
|
73 305
|
105 860
|
116 399
|
125 538
|
127 897
|
167 219
|
195 335
|
207 258
|
235 909
|
246 595
|
|
| Other Liabilities |
126 559
|
101 042
|
107 529
|
116 396
|
107 898
|
99 800
|
96 024
|
92 275
|
84 799
|
86 271
|
105 872
|
117 650
|
76 638
|
82 499
|
72 096
|
81 484
|
84 142
|
98 456
|
71 655
|
71 352
|
77 925
|
76 456
|
72 325
|
|
| Total Liabilities |
1 183 802
N/A
|
1 186 115
+0%
|
1 229 230
+4%
|
1 239 047
+1%
|
1 153 247
-7%
|
1 101 784
-4%
|
1 025 990
-7%
|
954 507
-7%
|
882 527
-8%
|
955 667
+8%
|
1 033 413
+8%
|
964 212
-7%
|
897 089
-7%
|
886 013
-1%
|
1 044 525
+18%
|
1 098 571
+5%
|
1 178 317
+7%
|
1 419 316
+20%
|
1 351 870
-5%
|
1 423 774
+5%
|
1 485 911
+4%
|
1 453 877
-2%
|
1 464 950
+1%
|
|
| Equity | ||||||||||||||||||||||||
| Common Stock |
90 472
|
90 472
|
90 472
|
90 480
|
90 859
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
90 873
|
|
| Retained Earnings |
449 958
|
511 749
|
556 424
|
583 176
|
633 421
|
660 237
|
648 939
|
748 751
|
812 533
|
826 265
|
641 740
|
641 866
|
663 874
|
690 890
|
735 653
|
773 760
|
811 589
|
818 701
|
927 830
|
889 827
|
872 547
|
744 766
|
772 913
|
|
| Additional Paid In Capital |
84 395
|
84 627
|
96 561
|
96 570
|
97 340
|
97 633
|
97 953
|
98 237
|
98 545
|
98 823
|
100 650
|
100 670
|
100 802
|
101 237
|
101 420
|
94 368
|
92 593
|
83 501
|
81 621
|
97 094
|
97 056
|
95 781
|
95 864
|
|
| Unrealized Security Profit/Loss |
43 364
|
58 761
|
124 382
|
123 375
|
102 090
|
25 390
|
42 593
|
38 555
|
19 910
|
48 615
|
64 501
|
45 543
|
56 405
|
50 785
|
72 790
|
32 521
|
24 341
|
20 194
|
36 969
|
36 699
|
55 054
|
42 608
|
0
|
|
| Treasury Stock |
1 216
|
13 546
|
13 709
|
13 802
|
14 034
|
21 140
|
21 152
|
21 666
|
29 888
|
30 076
|
29 884
|
29 784
|
29 576
|
29 259
|
43 629
|
28 821
|
28 468
|
28 170
|
26 933
|
26 586
|
27 338
|
26 767
|
26 323
|
|
| Other Equity |
44 175
|
32 926
|
1 448
|
30 686
|
45 149
|
121 947
|
103 331
|
145 232
|
182 958
|
90 794
|
219 336
|
263 958
|
211 795
|
190 912
|
226 928
|
174 504
|
166 170
|
130 043
|
203 801
|
302 348
|
358 888
|
488 527
|
551 800
|
|
| Total Equity |
622 798
N/A
|
699 137
+12%
|
852 682
+22%
|
910 485
+7%
|
954 825
+5%
|
731 046
-23%
|
755 875
+3%
|
809 518
+7%
|
809 015
0%
|
943 706
+17%
|
1 087 216
+15%
|
1 113 126
+2%
|
1 094 173
-2%
|
1 095 438
+0%
|
1 184 035
+8%
|
1 137 205
-4%
|
1 157 098
+2%
|
1 115 142
-4%
|
1 314 161
+18%
|
1 390 255
+6%
|
1 447 080
+4%
|
1 435 788
-1%
|
1 485 127
+3%
|
|
| Total Liabilities & Equity |
1 806 600
N/A
|
1 885 252
+4%
|
2 081 912
+10%
|
2 149 532
+3%
|
2 108 072
-2%
|
1 832 830
-13%
|
1 781 865
-3%
|
1 764 025
-1%
|
1 691 542
-4%
|
1 899 373
+12%
|
2 120 629
+12%
|
2 077 338
-2%
|
1 991 262
-4%
|
1 981 451
0%
|
2 228 560
+12%
|
2 235 776
+0%
|
2 335 415
+4%
|
2 534 458
+9%
|
2 666 031
+5%
|
2 814 029
+6%
|
2 932 991
+4%
|
2 889 665
-1%
|
2 950 077
+2%
|
|
| Shares Outstanding | ||||||||||||||||||||||||
| Common Shares Outstanding |
235
|
232
|
235
|
235
|
235
|
234
|
234
|
233
|
231
|
231
|
231
|
231
|
231
|
231
|
226
|
221
|
222
|
222
|
222
|
222
|
212
|
212
|
212
|
|