Sharp Corp
TSE:6753
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|
Sharp Corp
TSE:6753
|
JP |
Balance Sheet
Balance Sheet Decomposition
Sharp Corp
Sharp Corp
Balance Sheet
Sharp 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 |
247 605
|
370 998
|
367 936
|
370 618
|
369 765
|
424 151
|
388 785
|
336 937
|
348 414
|
247 888
|
195 325
|
191 941
|
379 596
|
258 493
|
275 399
|
482 117
|
422 302
|
266 648
|
225 049
|
341 917
|
287 361
|
262 058
|
227 130
|
279 307
|
|
| Cash Equivalents |
247 605
|
370 998
|
367 936
|
370 618
|
369 765
|
424 151
|
388 785
|
336 937
|
348 414
|
247 888
|
195 325
|
191 941
|
379 596
|
258 493
|
275 399
|
482 117
|
422 302
|
266 648
|
225 049
|
341 917
|
287 361
|
262 058
|
227 130
|
279 307
|
|
| Short-Term Investments |
125 539
|
11 808
|
1 988
|
21 503
|
6 533
|
7 665
|
2 492
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
357 046
|
328 983
|
391 809
|
446 510
|
503 543
|
589 801
|
576 099
|
340 528
|
536 718
|
574 696
|
371 004
|
558 229
|
568 852
|
605 671
|
430 033
|
367 002
|
463 457
|
528 430
|
420 989
|
453 688
|
484 818
|
435 008
|
402 514
|
373 933
|
|
| Accounts Receivables |
357 046
|
328 983
|
391 809
|
446 510
|
503 543
|
589 801
|
576 099
|
340 528
|
434 880
|
390 050
|
371 004
|
418 964
|
426 894
|
409 960
|
281 922
|
367 002
|
463 457
|
528 430
|
420 989
|
453 688
|
484 818
|
435 008
|
402 514
|
373 933
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
101 838
|
184 646
|
0
|
139 265
|
141 958
|
195 711
|
148 111
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
284 761
|
284 964
|
273 668
|
325 723
|
336 344
|
435 643
|
454 352
|
399 985
|
411 263
|
486 060
|
527 483
|
310 709
|
295 126
|
338 300
|
184 313
|
217 892
|
219 714
|
241 481
|
292 840
|
263 066
|
310 283
|
299 307
|
269 584
|
242 081
|
|
| Other Current Assets |
69 073
|
113 722
|
112 734
|
156 259
|
178 688
|
222 003
|
220 894
|
224 512
|
121 140
|
213 906
|
327 313
|
160 956
|
130 670
|
96 731
|
76 214
|
126 698
|
111 720
|
95 046
|
142 270
|
130 099
|
148 166
|
90 714
|
91 000
|
84 496
|
|
| Total Current Assets |
1 084 024
|
1 110 475
|
1 148 135
|
1 320 613
|
1 394 873
|
1 679 263
|
1 642 622
|
1 301 962
|
1 417 535
|
1 522 550
|
1 421 125
|
1 221 835
|
1 374 244
|
1 299 195
|
965 959
|
1 193 709
|
1 217 193
|
1 131 605
|
1 081 148
|
1 188 770
|
1 230 628
|
1 087 087
|
990 228
|
979 817
|
|
| PP&E Net |
637 244
|
672 987
|
760 797
|
833 882
|
896 913
|
1 013 527
|
1 105 788
|
1 032 075
|
1 028 784
|
965 832
|
873 098
|
563 699
|
519 701
|
400 592
|
351 205
|
349 614
|
428 595
|
395 663
|
400 948
|
438 486
|
418 260
|
389 257
|
280 123
|
201 899
|
|
| PP&E Gross |
637 244
|
672 987
|
760 797
|
833 882
|
896 913
|
1 013 527
|
1 105 788
|
1 032 075
|
1 028 784
|
965 832
|
873 098
|
563 699
|
519 701
|
400 592
|
351 205
|
349 614
|
428 595
|
395 663
|
400 948
|
438 486
|
418 260
|
389 257
|
280 123
|
201 899
|
|
| Accumulated Depreciation |
1 207 456
|
1 278 277
|
1 296 408
|
1 363 909
|
1 495 212
|
1 663 715
|
1 837 526
|
1 875 641
|
1 935 934
|
2 048 914
|
2 178 929
|
1 994 258
|
2 032 348
|
2 017 442
|
1 960 118
|
1 846 683
|
1 828 299
|
1 823 863
|
1 749 377
|
1 754 840
|
1 789 815
|
1 817 459
|
1 798 401
|
1 638 404
|
|
| Intangible Assets |
0
|
38 714
|
40 686
|
37 527
|
47 983
|
60 736
|
94 131
|
83 324
|
76 131
|
86 119
|
76 041
|
38 147
|
46 048
|
42 484
|
41 640
|
42 359
|
44 797
|
39 505
|
45 292
|
45 114
|
42 285
|
29 561
|
25 658
|
29 316
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
21 064
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 284
|
5 422
|
7 264
|
|
| Long-Term Investments |
134 473
|
114 463
|
139 207
|
122 815
|
150 864
|
133 187
|
127 059
|
72 330
|
92 212
|
98 464
|
99 406
|
156 456
|
174 011
|
167 795
|
166 427
|
151 270
|
172 061
|
187 097
|
187 542
|
164 181
|
171 392
|
216 207
|
238 581
|
185 710
|
|
| Other Long-Term Assets |
111 168
|
68 193
|
61 425
|
70 189
|
69 666
|
82 097
|
103 607
|
199 030
|
221 593
|
212 713
|
144 465
|
86 562
|
67 676
|
51 843
|
45 441
|
36 730
|
45 815
|
94 681
|
96 977
|
90 675
|
93 723
|
44 565
|
50 020
|
49 724
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
21 064
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 284
|
5 422
|
7 264
|
|
| Total Assets |
1 966 909
N/A
|
2 004 832
+2%
|
2 150 250
+7%
|
2 385 026
+11%
|
2 560 299
+7%
|
2 968 810
+16%
|
3 073 207
+4%
|
2 688 721
-13%
|
2 836 255
+5%
|
2 885 678
+2%
|
2 614 135
-9%
|
2 087 763
-20%
|
2 181 680
+4%
|
1 961 909
-10%
|
1 570 672
-20%
|
1 773 682
+13%
|
1 908 461
+8%
|
1 848 551
-3%
|
1 811 907
-2%
|
1 927 226
+6%
|
1 956 288
+2%
|
1 772 961
-9%
|
1 590 032
-10%
|
1 453 730
-9%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
363 376
|
349 838
|
438 627
|
519 691
|
589 322
|
751 274
|
721 638
|
446 866
|
554 368
|
531 638
|
389 484
|
365 121
|
374 470
|
423 883
|
278 687
|
350 567
|
429 477
|
410 150
|
348 330
|
396 422
|
422 374
|
371 872
|
355 253
|
289 750
|
|
| Accrued Liabilities |
108 360
|
29 907
|
31 152
|
31 700
|
32 467
|
218 249
|
219 362
|
173 894
|
183 430
|
199 425
|
181 643
|
193 918
|
197 658
|
194 135
|
151 084
|
160 660
|
20 859
|
134 704
|
116 080
|
123 855
|
124 904
|
130 429
|
142 076
|
137 105
|
|
| Short-Term Debt |
320 055
|
104 876
|
82 363
|
165 817
|
173 688
|
22 901
|
158 168
|
335 426
|
165 755
|
139 766
|
351 000
|
610 254
|
0
|
637 915
|
452 792
|
93 232
|
0
|
79 741
|
236 507
|
148 352
|
47 095
|
86 387
|
96 684
|
101 257
|
|
| Current Portion of Long-Term Debt |
0
|
134 287
|
127 219
|
188 195
|
95 866
|
205 040
|
150 280
|
62 979
|
136 429
|
147 564
|
234 451
|
300 041
|
781 897
|
211 032
|
185 964
|
25 767
|
91 256
|
36 067
|
4 275
|
17 520
|
9 488
|
96 475
|
35 549
|
13 691
|
|
| Other Current Liabilities |
21 671
|
199 500
|
270 654
|
274 118
|
303 711
|
194 801
|
181 923
|
170 804
|
183 924
|
227 520
|
234 502
|
198 199
|
197 600
|
219 989
|
306 335
|
171 411
|
291 875
|
151 216
|
159 391
|
199 433
|
204 337
|
197 400
|
226 795
|
215 120
|
|
| Total Current Liabilities |
813 462
|
818 408
|
950 015
|
1 179 521
|
1 195 054
|
1 392 265
|
1 431 371
|
1 189 969
|
1 223 906
|
1 245 913
|
1 391 080
|
1 667 533
|
1 551 625
|
1 686 954
|
1 374 862
|
801 637
|
833 467
|
811 878
|
864 583
|
885 582
|
808 198
|
882 563
|
856 357
|
756 923
|
|
| Long-Term Debt |
200 790
|
245 671
|
206 080
|
129 965
|
217 605
|
339 794
|
351 682
|
408 075
|
517 951
|
559 920
|
509 016
|
233 087
|
289 479
|
125 329
|
92 266
|
538 442
|
537 027
|
551 398
|
545 509
|
567 707
|
577 177
|
552 810
|
465 476
|
417 263
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
29 304
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
20 345
|
13 813
|
|
| Minority Interest |
10 630
|
8 854
|
7 905
|
8 888
|
8 734
|
9 078
|
10 282
|
9 333
|
21 353
|
22 612
|
19 226
|
10 166
|
12 013
|
14 349
|
11 839
|
13 646
|
23 265
|
15 642
|
14 392
|
13 493
|
14 696
|
13 618
|
14 246
|
13 062
|
|
| Other Liabilities |
15 171
|
29 783
|
42 718
|
62 326
|
39 996
|
44 546
|
48 286
|
42 230
|
28 538
|
31 200
|
39 615
|
52 306
|
133 403
|
105 111
|
134 755
|
125 802
|
136 254
|
127 944
|
130 856
|
109 798
|
101 644
|
115 226
|
90 430
|
98 022
|
|
| Total Liabilities |
1 040 053
N/A
|
1 102 716
+6%
|
1 206 718
+9%
|
1 380 700
+14%
|
1 461 389
+6%
|
1 785 683
+22%
|
1 841 621
+3%
|
1 649 607
-10%
|
1 791 748
+9%
|
1 859 645
+4%
|
1 988 241
+7%
|
1 963 092
-1%
|
1 986 520
+1%
|
1 931 743
-3%
|
1 613 722
-16%
|
1 479 527
-8%
|
1 530 013
+3%
|
1 506 862
-2%
|
1 555 340
+3%
|
1 576 580
+1%
|
1 501 715
-5%
|
1 564 217
+4%
|
1 446 854
-8%
|
1 299 083
-10%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
204 676
|
212 337
|
121 885
|
121 885
|
225 000
|
200 000
|
200 000
|
108 000
|
5 000
|
5 000
|
5 000
|
5 000
|
5 000
|
5 000
|
|
| Retained Earnings |
492 163
|
507 871
|
550 894
|
605 440
|
668 687
|
745 209
|
816 387
|
664 924
|
649 795
|
648 935
|
259 937
|
290 912
|
135 096
|
87 448
|
348 144
|
148 597
|
205 012
|
248 061
|
247 576
|
289 848
|
345 522
|
60 095
|
89 422
|
52 803
|
|
| Additional Paid In Capital |
261 415
|
261 415
|
262 140
|
262 283
|
262 288
|
262 295
|
268 582
|
268 538
|
268 534
|
268 530
|
268 528
|
276 179
|
95 950
|
95 945
|
222 457
|
381 792
|
100 332
|
105 725
|
108 853
|
109 126
|
108 623
|
148 929
|
148 594
|
148 983
|
|
| Unrealized Security Profit/Loss |
5 340
|
2 803
|
14 176
|
13 333
|
27 992
|
24 381
|
1 662
|
1 946
|
7 372
|
5 915
|
5 610
|
6 062
|
6 851
|
10 569
|
0
|
14 474
|
16 876
|
13 531
|
8 048
|
16 617
|
20 169
|
26 469
|
40 396
|
20 818
|
|
| Treasury Stock |
159
|
26 724
|
26 526
|
26 060
|
26 381
|
26 844
|
13 711
|
13 740
|
13 805
|
13 863
|
13 876
|
13 872
|
13 889
|
13 893
|
0
|
13 902
|
13 936
|
13 987
|
13 993
|
14 053
|
13 747
|
13 749
|
13 387
|
13 389
|
|
| Other Equity |
25 899
|
42 319
|
61 828
|
55 346
|
38 352
|
26 590
|
46 010
|
83 338
|
72 065
|
88 160
|
98 981
|
65 123
|
150 733
|
96 892
|
140 098
|
139 612
|
129 836
|
119 641
|
98 917
|
55 892
|
10 994
|
18 000
|
51 997
|
46 038
|
|
| Total Equity |
926 856
N/A
|
902 116
-3%
|
943 532
+5%
|
1 004 326
+6%
|
1 098 910
+9%
|
1 183 127
+8%
|
1 231 586
+4%
|
1 039 114
-16%
|
1 044 507
+1%
|
1 026 033
-2%
|
625 894
-39%
|
124 671
-80%
|
195 160
+57%
|
30 166
-85%
|
43 050
N/A
|
294 155
N/A
|
378 448
+29%
|
341 689
-10%
|
256 567
-25%
|
350 646
+37%
|
454 573
+30%
|
208 744
-54%
|
143 178
-31%
|
154 647
+8%
|
|
| Total Liabilities & Equity |
1 966 909
N/A
|
2 004 832
+2%
|
2 150 250
+7%
|
2 385 026
+11%
|
2 560 299
+7%
|
2 968 810
+16%
|
3 073 207
+4%
|
2 688 721
-13%
|
2 836 255
+5%
|
2 885 678
+2%
|
2 614 135
-9%
|
2 087 763
-20%
|
2 181 680
+4%
|
1 961 909
-10%
|
1 570 672
-20%
|
1 773 682
+13%
|
1 908 461
+8%
|
1 848 551
-3%
|
1 811 907
-2%
|
1 927 226
+6%
|
1 956 288
+2%
|
1 772 961
-9%
|
1 590 032
-10%
|
1 453 730
-9%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
111
|
109
|
109
|
109
|
109
|
109
|
110
|
110
|
110
|
110
|
110
|
117
|
169
|
169
|
169
|
498
|
498
|
532
|
532
|
611
|
611
|
649
|
649
|
649
|
|
| Preferred Shares Outstanding |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
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