Sega Sammy Holdings Inc
TSE:6460
Balance Sheet
Balance Sheet Decomposition
Sega Sammy Holdings Inc
Sega Sammy Holdings Inc
Balance Sheet
Sega Sammy Holdings Inc
| 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 |
152 277
|
144 521
|
146 645
|
101 539
|
106 436
|
101 324
|
149 006
|
127 721
|
176 540
|
101 220
|
102 260
|
141 316
|
137 494
|
157 896
|
137 425
|
159 013
|
154 972
|
152 459
|
179 509
|
211 715
|
200 360
|
|
| Cash Equivalents |
152 277
|
144 521
|
146 645
|
101 539
|
106 436
|
101 324
|
149 006
|
127 721
|
176 540
|
101 220
|
102 260
|
141 316
|
137 494
|
157 896
|
137 425
|
159 013
|
154 972
|
152 459
|
179 509
|
211 715
|
200 360
|
|
| Short-Term Investments |
0
|
19 497
|
996
|
2 495
|
26 798
|
73 400
|
42 412
|
66 509
|
4 260
|
107 713
|
97 210
|
48 401
|
65 203
|
24 694
|
14 500
|
5 398
|
721
|
0
|
0
|
8 095
|
0
|
|
| Total Receivables |
75 031
|
110 889
|
88 515
|
81 531
|
86 783
|
68 849
|
61 857
|
79 701
|
71 928
|
49 778
|
38 137
|
58 666
|
45 730
|
33 534
|
43 489
|
44 942
|
48 243
|
50 443
|
68 686
|
74 267
|
60 010
|
|
| Accounts Receivables |
75 031
|
95 234
|
82 921
|
71 970
|
79 770
|
66 315
|
55 996
|
72 961
|
63 500
|
47 785
|
38 137
|
54 931
|
44 171
|
29 080
|
38 950
|
40 106
|
37 878
|
38 629
|
53 066
|
53 826
|
52 350
|
|
| Other Receivables |
0
|
15 655
|
5 594
|
9 561
|
7 013
|
2 534
|
5 861
|
6 740
|
8 428
|
1 993
|
0
|
3 735
|
1 559
|
4 454
|
4 539
|
4 836
|
10 365
|
11 814
|
15 620
|
20 441
|
7 660
|
|
| Inventory |
32 001
|
32 200
|
40 117
|
51 434
|
41 541
|
36 772
|
36 372
|
34 559
|
42 554
|
35 929
|
29 236
|
34 476
|
47 440
|
40 573
|
50 020
|
47 007
|
52 911
|
67 525
|
89 461
|
81 760
|
93 678
|
|
| Other Current Assets |
23 151
|
24 221
|
35 898
|
38 035
|
25 177
|
18 382
|
25 931
|
19 155
|
23 288
|
23 835
|
31 178
|
19 433
|
28 248
|
15 634
|
15 028
|
12 616
|
19 448
|
17 362
|
16 206
|
19 166
|
34 696
|
|
| Total Current Assets |
282 460
|
331 328
|
312 171
|
275 034
|
286 735
|
298 727
|
315 578
|
327 645
|
318 570
|
318 475
|
298 021
|
302 292
|
324 115
|
272 331
|
260 462
|
268 976
|
276 295
|
287 789
|
353 862
|
395 003
|
388 744
|
|
| PP&E Net |
73 188
|
82 652
|
111 897
|
104 029
|
65 116
|
59 030
|
57 141
|
78 173
|
87 060
|
102 162
|
100 272
|
101 080
|
81 609
|
78 145
|
84 017
|
86 649
|
61 617
|
60 358
|
60 482
|
60 099
|
48 931
|
|
| PP&E Gross |
73 188
|
82 652
|
111 897
|
104 029
|
65 116
|
59 030
|
57 141
|
78 173
|
87 060
|
102 162
|
100 272
|
101 080
|
81 609
|
78 145
|
84 017
|
86 649
|
61 617
|
60 358
|
60 482
|
60 099
|
48 931
|
|
| Accumulated Depreciation |
65 490
|
82 670
|
101 289
|
112 644
|
116 986
|
110 101
|
108 686
|
160 418
|
163 939
|
167 869
|
167 869
|
165 432
|
157 191
|
146 717
|
134 297
|
136 683
|
102 779
|
98 040
|
101 343
|
107 741
|
69 153
|
|
| Intangible Assets |
6 636
|
5 445
|
6 743
|
6 692
|
6 292
|
6 592
|
7 195
|
10 518
|
12 707
|
12 880
|
14 403
|
12 616
|
11 353
|
14 942
|
8 849
|
12 091
|
10 288
|
9 723
|
10 655
|
62 017
|
61 122
|
|
| Goodwill |
3 404
|
11 266
|
18 524
|
13 524
|
6 949
|
6 767
|
15 559
|
10 790
|
10 206
|
18 915
|
14 668
|
12 201
|
10 807
|
8 541
|
6 448
|
5 878
|
4 711
|
3 460
|
2 592
|
30 264
|
30 119
|
|
| Note Receivable |
3 828
|
1 915
|
3 234
|
2 187
|
2 715
|
1 638
|
306
|
291
|
663
|
710
|
710
|
0
|
1 757
|
1 549
|
1 014
|
1 117
|
383
|
428
|
247
|
7 846
|
12 126
|
|
| Long-Term Investments |
43 775
|
59 918
|
63 471
|
35 608
|
27 732
|
28 605
|
44 193
|
52 725
|
72 797
|
60 825
|
70 051
|
76 504
|
69 845
|
70 216
|
73 478
|
55 046
|
38 323
|
40 699
|
39 538
|
49 858
|
51 185
|
|
| Other Long-Term Assets |
25 695
|
30 381
|
33 893
|
32 561
|
28 390
|
21 795
|
18 642
|
17 309
|
26 501
|
28 969
|
31 244
|
27 561
|
22 113
|
27 743
|
30 386
|
28 511
|
29 982
|
33 035
|
34 190
|
48 907
|
52 550
|
|
| Other Assets |
3 404
|
11 266
|
18 524
|
13 524
|
6 949
|
6 767
|
15 559
|
10 790
|
10 206
|
18 915
|
14 668
|
12 201
|
10 807
|
8 541
|
6 448
|
5 878
|
4 711
|
3 460
|
2 592
|
30 264
|
30 119
|
|
| Total Assets |
438 986
N/A
|
522 905
+19%
|
549 933
+5%
|
469 635
-15%
|
423 929
-10%
|
423 154
0%
|
458 614
+8%
|
497 451
+8%
|
528 504
+6%
|
542 936
+3%
|
528 659
-3%
|
532 957
+1%
|
521 599
-2%
|
473 467
-9%
|
464 654
-2%
|
458 268
-1%
|
421 599
-8%
|
435 492
+3%
|
501 566
+15%
|
653 994
+30%
|
644 777
-1%
|
|
| Liabilities | ||||||||||||||||||||||
| Accounts Payable |
57 139
|
62 133
|
71 414
|
49 496
|
51 298
|
37 387
|
37 513
|
59 917
|
50 142
|
37 292
|
26 964
|
33 011
|
45 631
|
21 716
|
24 758
|
17 834
|
16 994
|
24 455
|
30 556
|
26 085
|
23 560
|
|
| Accrued Liabilities |
1 722
|
1 871
|
2 220
|
36 213
|
25 232
|
19 723
|
20 875
|
16 235
|
15 372
|
16 737
|
16 737
|
20 681
|
20 463
|
19 491
|
21 564
|
24 046
|
24 817
|
29 932
|
30 741
|
36 497
|
34 456
|
|
| Short-Term Debt |
10 023
|
8 395
|
24 306
|
27 039
|
4 460
|
1 995
|
2 000
|
0
|
500
|
500
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
3 278
|
2 000
|
12 863
|
6 131
|
4 300
|
22 094
|
12 749
|
33 709
|
18 210
|
15 425
|
13 842
|
31 525
|
27 200
|
26 713
|
26 309
|
24 253
|
1 162
|
11 153
|
18 406
|
24 417
|
8 969
|
|
| Other Current Liabilities |
38 103
|
62 952
|
42 216
|
13 979
|
11 898
|
11 614
|
35 885
|
22 537
|
19 413
|
21 115
|
45 901
|
20 773
|
19 273
|
16 532
|
14 911
|
20 014
|
16 804
|
21 446
|
40 629
|
48 495
|
27 194
|
|
| Total Current Liabilities |
110 265
|
137 351
|
153 019
|
132 858
|
97 188
|
92 813
|
109 022
|
132 398
|
103 637
|
91 069
|
86 707
|
105 990
|
112 567
|
84 452
|
87 542
|
86 147
|
59 777
|
86 986
|
120 332
|
135 494
|
94 179
|
|
| Long-Term Debt |
42 228
|
29 217
|
16 806
|
32 667
|
59 574
|
47 674
|
34 924
|
36 995
|
74 426
|
77 177
|
89 118
|
103 523
|
78 421
|
61 926
|
51 180
|
55 582
|
56 926
|
46 129
|
40 471
|
139 440
|
146 733
|
|
| Deferred Income Tax |
5 399
|
4 488
|
1 880
|
1 395
|
1 193
|
1 359
|
3 740
|
4 344
|
5 869
|
5 039
|
5 039
|
3 898
|
3 214
|
2 486
|
2 110
|
2 165
|
778
|
469
|
754
|
10 628
|
11 292
|
|
| Minority Interest |
8 503
|
19 311
|
20 334
|
21 038
|
18 994
|
19 335
|
9 861
|
2 279
|
3 136
|
3 892
|
4 289
|
4 415
|
3 428
|
1 685
|
1 776
|
1 941
|
496
|
49
|
24
|
30
|
24
|
|
| Other Liabilities |
13 635
|
15 861
|
19 371
|
21 086
|
23 440
|
24 537
|
25 467
|
27 338
|
24 538
|
21 381
|
30 382
|
19 596
|
15 900
|
14 147
|
18 485
|
17 516
|
12 862
|
9 271
|
8 662
|
10 730
|
10 969
|
|
| Total Liabilities |
180 030
N/A
|
206 228
+15%
|
211 410
+3%
|
209 044
-1%
|
200 389
-4%
|
185 718
-7%
|
183 014
-1%
|
203 354
+11%
|
211 606
+4%
|
198 558
-6%
|
210 496
+6%
|
237 422
+13%
|
213 530
-10%
|
164 696
-23%
|
161 093
-2%
|
163 351
+1%
|
130 839
-20%
|
142 904
+9%
|
170 243
+19%
|
296 322
+74%
|
263 197
-11%
|
|
| Equity | ||||||||||||||||||||||
| Common Stock |
27 291
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
29 953
|
|
| Retained Earnings |
133 760
|
193 721
|
221 626
|
151 958
|
120 639
|
133 316
|
165 075
|
176 164
|
200 070
|
220 762
|
199 536
|
195 306
|
207 942
|
207 993
|
202 801
|
207 147
|
200 551
|
224 860
|
262 308
|
281 959
|
315 361
|
|
| Additional Paid In Capital |
176 302
|
171 071
|
171 096
|
171 092
|
171 082
|
171 080
|
119 784
|
119 397
|
119 335
|
119 312
|
119 282
|
118 404
|
117 521
|
117 345
|
117 142
|
118 564
|
118 048
|
117 689
|
72 213
|
69 263
|
69 740
|
|
| Unrealized Security Profit/Loss |
4 251
|
4 250
|
2 726
|
6 383
|
7 585
|
5 620
|
5 381
|
14 331
|
22 680
|
12 099
|
13 095
|
0
|
11 381
|
10 868
|
13 245
|
3 361
|
821
|
1 161
|
1 517
|
1 947
|
2 332
|
|
| Treasury Stock |
73 225
|
73 549
|
73 656
|
73 680
|
73 685
|
73 694
|
25 329
|
26 067
|
40 540
|
37 971
|
49 335
|
0
|
54 769
|
54 781
|
54 168
|
53 555
|
53 561
|
77 886
|
37 251
|
47 151
|
54 866
|
|
| Other Equity |
9 425
|
8 767
|
7 769
|
12 349
|
16 865
|
17 602
|
19 264
|
19 681
|
14 600
|
223
|
5 632
|
264
|
3 959
|
2 607
|
5 412
|
10 553
|
5 052
|
3 189
|
2 583
|
21 701
|
19 060
|
|
| Total Equity |
258 954
N/A
|
316 679
+22%
|
338 524
+7%
|
260 591
-23%
|
223 539
-14%
|
237 433
+6%
|
275 600
+16%
|
294 097
+7%
|
316 898
+8%
|
344 378
+9%
|
318 163
-8%
|
295 535
-7%
|
308 069
+4%
|
308 771
+0%
|
303 561
-2%
|
294 917
-3%
|
290 760
-1%
|
292 588
+1%
|
331 323
+13%
|
357 672
+8%
|
381 580
+7%
|
|
| Total Liabilities & Equity |
438 984
N/A
|
522 907
+19%
|
549 934
+5%
|
469 635
-15%
|
423 928
-10%
|
423 151
0%
|
458 614
+8%
|
497 451
+8%
|
528 504
+6%
|
542 936
+3%
|
528 659
-3%
|
532 957
+1%
|
521 599
-2%
|
473 467
-9%
|
464 654
-2%
|
458 268
-1%
|
421 599
-8%
|
435 492
+3%
|
501 566
+15%
|
653 994
+30%
|
644 777
-1%
|
|
| Shares Outstanding | ||||||||||||||||||||||
| Common Shares Outstanding |
281
|
252
|
252
|
252
|
252
|
252
|
252
|
251
|
242
|
244
|
237
|
234
|
234
|
234
|
235
|
235
|
235
|
223
|
221
|
216
|
214
|
|