M

Maruyama MFG Co Inc
TSE:6316

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Maruyama MFG Co Inc
TSE:6316
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Price: 2 311 JPY -0.6%
Market Cap: ¥11.6B

Balance Sheet

Balance Sheet Decomposition
Maruyama MFG Co Inc

Balance Sheet
Maruyama MFG Co Inc

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Balance Sheet
Currency: JPY
Sep-2002 Sep-2003 Sep-2004 Sep-2005 Sep-2006 Sep-2007 Sep-2008 Sep-2009 Sep-2010 Sep-2011 Sep-2012 Sep-2013 Sep-2014 Sep-2015 Sep-2016 Sep-2017 Sep-2018 Sep-2019 Sep-2020 Sep-2021 Sep-2022 Sep-2023 Sep-2024 Sep-2025
Assets
Cash & Cash Equivalents
2 952
3 720
3 582
3 193
3 105
2 991
3 291
3 235
3 929
3 377
2 619
3 562
3 228
2 681
2 343
2 882
2 698
2 510
4 544
4 466
4 995
4 322
4 778
3 877
Cash Equivalents
2 952
3 720
3 582
3 193
3 105
2 991
3 291
3 235
3 929
3 377
2 619
3 562
3 228
2 681
2 343
2 882
2 698
2 510
4 544
4 466
4 995
4 322
4 778
3 877
Short-Term Investments
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
51
51
51
51
Total Receivables
9 412
9 366
9 279
9 479
10 680
10 023
10 033
9 337
9 941
9 759
10 497
10 915
9 831
10 992
10 360
11 189
10 602
10 910
7 966
7 399
7 228
7 807
7 863
8 244
Accounts Receivables
9 412
9 366
9 279
9 479
10 680
10 023
10 033
9 337
9 941
9 759
10 497
10 915
9 831
10 992
10 360
11 189
10 602
10 910
7 966
7 399
7 136
7 719
7 830
8 240
Other Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
92
88
33
4
Inventory
5 967
6 527
6 411
5 962
7 287
7 479
6 881
7 499
6 301
7 121
6 463
7 428
7 574
7 853
8 128
6 272
7 335
7 228
7 587
8 293
8 914
8 888
9 338
8 986
Other Current Assets
278
352
391
437
596
595
710
474
602
1 254
596
663
649
845
788
637
506
537
809
1 705
1 427
1 447
1 396
1 542
Total Current Assets
18 609
19 965
19 663
19 071
21 668
21 088
20 915
20 545
20 773
21 511
20 175
22 568
21 282
22 371
21 619
20 980
21 141
21 185
20 906
21 863
22 615
22 515
23 426
22 700
PP&E Net
7 841
7 477
7 312
7 672
7 773
7 685
7 532
7 471
7 080
6 932
7 578
7 855
7 619
8 076
8 335
7 884
7 990
7 690
7 660
8 004
7 931
9 236
10 162
9 872
PP&E Gross
7 841
7 477
7 312
7 672
7 773
7 685
7 532
7 471
7 080
6 932
7 578
7 855
7 619
8 076
8 335
7 884
7 990
7 690
7 660
8 004
7 931
9 236
10 162
9 872
Accumulated Depreciation
11 719
11 980
12 123
12 289
12 706
13 095
13 155
13 728
14 003
14 137
14 508
15 104
14 203
14 359
14 464
15 403
15 984
16 764
17 020
17 593
17 894
17 559
18 141
18 692
Intangible Assets
17
16
15
14
63
50
43
33
22
3
3
48
179
484
623
624
476
365
214
91
52
83
63
90
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
56
Long-Term Investments
2 256
2 540
3 269
4 385
4 402
3 096
2 221
1 813
1 571
1 510
1 589
2 809
3 096
2 920
2 773
3 468
3 670
2 918
3 141
3 453
2 871
3 818
3 961
4 836
Other Long-Term Assets
1 138
1 089
923
515
651
864
1 274
1 621
1 528
1 350
1 248
668
556
598
731
557
581
736
812
743
990
1 081
1 094
1 547
Total Assets
29 861
N/A
31 087
+4%
31 182
+0%
31 657
+2%
34 557
+9%
32 783
-5%
31 985
-2%
31 483
-2%
30 974
-2%
31 306
+1%
30 593
-2%
33 948
+11%
32 732
-4%
34 449
+5%
34 081
-1%
33 513
-2%
33 858
+1%
32 894
-3%
32 733
0%
34 154
+4%
34 459
+1%
36 733
+7%
38 706
+5%
39 101
+1%
Liabilities
Accounts Payable
6 069
6 854
6 855
6 937
8 140
7 443
7 436
6 988
6 823
7 644
6 401
8 613
6 960
8 355
7 793
7 832
8 773
7 910
8 386
8 597
8 783
7 960
6 218
6 558
Accrued Liabilities
491
374
413
402
429
432
434
307
431
480
476
574
609
609
610
585
512
501
449
534
552
618
610
583
Short-Term Debt
1 990
2 008
1 709
1 720
2 612
3 224
3 023
2 833
1 636
1 386
1 310
1 281
653
83
1 222
124
124
1 243
243
89
2 615
4 323
5 827
5 179
Current Portion of Long-Term Debt
4 059
592
1 277
1 420
4 257
1 568
994
1 002
1 446
4 455
987
998
675
818
4 557
1 161
774
554
348
3 207
132
32
79
476
Other Current Liabilities
613
880
955
1 246
1 187
1 319
1 198
876
1 148
1 710
2 146
1 960
1 761
1 790
1 337
1 599
1 279
1 191
1 484
2 330
2 211
2 068
3 299
2 274
Total Current Liabilities
13 222
10 708
11 209
11 725
16 625
13 986
13 085
12 006
11 484
15 675
11 320
13 426
10 658
11 655
15 519
11 301
11 462
11 399
10 910
14 757
14 293
15 001
16 033
15 070
Long-Term Debt
4 419
7 703
6 658
5 387
2 698
4 260
4 740
6 087
5 608
1 568
4 847
4 712
5 517
5 889
1 775
4 253
4 042
3 662
3 314
132
127
673
1 425
1 550
Deferred Income Tax
0
0
0
96
323
0
0
0
0
0
0
0
0
0
0
98
16
16
24
111
147
366
533
1 043
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
78
102
158
197
Other Liabilities
1 071
1 268
1 467
1 688
1 846
2 027
2 124
2 289
2 360
2 197
2 148
2 084
2 315
2 522
2 940
2 517
2 340
2 322
2 443
2 165
2 193
1 227
885
644
Total Liabilities
18 712
N/A
19 679
+5%
19 334
-2%
18 896
-2%
21 492
+14%
20 273
-6%
19 949
-2%
20 382
+2%
19 452
-5%
19 440
0%
18 315
-6%
20 222
+10%
18 490
-9%
20 066
+9%
20 234
+1%
18 169
-10%
17 860
-2%
17 399
-3%
16 691
-4%
17 165
+3%
16 838
-2%
17 369
+3%
19 034
+10%
18 504
-3%
Equity
Common Stock
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
4 651
Retained Earnings
2 104
2 284
2 461
2 543
2 588
2 649
2 671
2 012
2 500
2 967
3 417
4 105
4 482
4 660
4 686
5 290
5 798
5 929
6 333
7 023
7 986
8 960
9 235
9 668
Additional Paid In Capital
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 525
4 512
4 514
4 514
4 489
4 502
4 484
Unrealized Security Profit/Loss
99
11
317
1 151
1 409
799
318
114
47
0
7
642
882
885
783
1 264
1 396
918
1 044
1 330
996
1 494
1 780
2 332
Treasury Stock
0
1
57
72
73
74
75
75
76
93
151
152
228
228
227
227
332
453
463
772
956
1 190
1 621
1 988
Other Equity
31
64
51
39
35
41
51
124
124
181
157
45
70
110
571
159
40
75
35
243
430
960
1 125
1 450
Total Equity
11 150
N/A
11 406
+2%
11 846
+4%
12 759
+8%
13 065
+2%
12 509
-4%
12 039
-4%
11 103
-8%
11 523
+4%
11 869
+3%
12 278
+3%
13 726
+12%
14 242
+4%
14 383
+1%
13 847
-4%
15 344
+11%
15 998
+4%
15 495
-3%
16 042
+4%
16 989
+6%
17 621
+4%
19 364
+10%
19 672
+2%
20 597
+5%
Total Liabilities & Equity
29 862
N/A
31 085
+4%
31 180
+0%
31 655
+2%
34 557
+9%
32 782
-5%
31 988
-2%
31 485
-2%
30 975
-2%
31 309
+1%
30 593
-2%
33 948
+11%
32 732
-4%
34 449
+5%
34 081
-1%
33 513
-2%
33 858
+1%
32 894
-3%
32 733
0%
34 154
+4%
34 459
+1%
36 733
+7%
38 706
+5%
39 101
+1%
Shares Outstanding
Common Shares Outstanding
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
4
4
4
4
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