IHI Corp
TSE:7013
Balance Sheet
Balance Sheet Decomposition
IHI Corp
IHI Corp
Balance Sheet
IHI 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 |
92 747
|
77 503
|
117 970
|
121 588
|
105 243
|
85 462
|
72 080
|
87 547
|
76 641
|
116 422
|
63 914
|
73 032
|
63 236
|
94 549
|
106 536
|
118 909
|
109 028
|
94 951
|
144 064
|
118 169
|
144 338
|
123 495
|
138 805
|
136 809
|
|
| Cash Equivalents |
92 747
|
77 503
|
117 970
|
121 588
|
105 243
|
85 462
|
72 080
|
87 547
|
76 641
|
116 422
|
63 914
|
73 032
|
63 236
|
94 549
|
106 536
|
118 909
|
109 028
|
94 951
|
144 064
|
118 169
|
144 338
|
123 495
|
138 805
|
136 809
|
|
| Short-Term Investments |
13 544
|
2 037
|
4 532
|
11 609
|
20 995
|
28 094
|
46 455
|
13 650
|
30 894
|
1 183
|
2 736
|
395
|
1 528
|
0
|
1 403
|
0
|
0
|
0
|
5 085
|
3 988
|
4 344
|
5 622
|
5 905
|
5 766
|
|
| Total Receivables |
317 294
|
342 425
|
301 033
|
327 832
|
351 629
|
352 962
|
354 879
|
345 963
|
311 682
|
282 603
|
342 389
|
341 615
|
388 910
|
431 903
|
433 790
|
397 649
|
396 166
|
373 652
|
436 374
|
456 365
|
474 558
|
523 186
|
583 399
|
620 677
|
|
| Accounts Receivables |
317 294
|
342 425
|
301 033
|
327 832
|
351 629
|
352 962
|
354 879
|
345 963
|
311 682
|
282 603
|
342 389
|
341 615
|
388 910
|
431 903
|
433 790
|
397 649
|
396 166
|
373 652
|
425 003
|
441 905
|
465 701
|
523 186
|
583 399
|
620 677
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
11 371
|
14 460
|
8 857
|
0
|
0
|
0
|
|
| Inventory |
378 728
|
385 539
|
394 988
|
370 943
|
409 020
|
437 864
|
455 885
|
471 164
|
404 455
|
363 099
|
351 044
|
316 303
|
355 885
|
399 301
|
410 309
|
417 268
|
428 522
|
441 910
|
326 915
|
326 470
|
340 125
|
374 523
|
422 251
|
444 066
|
|
| Other Current Assets |
84 425
|
67 760
|
86 802
|
105 278
|
119 087
|
140 260
|
153 325
|
118 104
|
118 070
|
90 098
|
84 281
|
83 441
|
91 642
|
127 768
|
148 468
|
140 016
|
59 758
|
77 351
|
45 247
|
41 668
|
60 627
|
58 918
|
62 499
|
96 722
|
|
| Total Current Assets |
886 738
|
875 264
|
905 325
|
937 250
|
1 005 974
|
1 044 642
|
1 082 624
|
1 036 428
|
941 742
|
853 405
|
844 364
|
814 786
|
901 201
|
1 053 726
|
1 100 506
|
1 073 842
|
993 474
|
987 864
|
957 685
|
946 660
|
1 023 992
|
1 085 744
|
1 210 708
|
1 302 263
|
|
| PP&E Net |
307 677
|
287 096
|
246 406
|
234 887
|
226 071
|
257 838
|
261 761
|
273 964
|
290 909
|
328 739
|
334 745
|
321 057
|
336 448
|
357 625
|
349 736
|
342 408
|
349 046
|
367 394
|
389 292
|
370 304
|
339 340
|
327 464
|
338 681
|
344 736
|
|
| PP&E Gross |
307 677
|
287 096
|
246 406
|
234 887
|
226 071
|
257 838
|
261 761
|
273 964
|
290 909
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
389 292
|
370 304
|
339 340
|
327 464
|
338 681
|
344 736
|
|
| Accumulated Depreciation |
483 716
|
482 358
|
463 902
|
463 732
|
463 182
|
467 736
|
473 700
|
482 512
|
518 711
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
595 777
|
624 988
|
651 236
|
680 521
|
697 755
|
709 524
|
|
| Intangible Assets |
15 072
|
19 553
|
20 324
|
19 279
|
21 030
|
19 910
|
19 495
|
18 890
|
18 375
|
17 123
|
18 539
|
16 535
|
19 182
|
27 200
|
27 562
|
24 990
|
23 789
|
24 052
|
124 983
|
121 265
|
120 998
|
123 736
|
127 059
|
132 056
|
|
| Goodwill |
0
|
0
|
124
|
442
|
310
|
1 459
|
1 450
|
5 451
|
4 741
|
3 933
|
5 073
|
22 608
|
22 958
|
23 301
|
22 043
|
16 166
|
12 231
|
10 032
|
5 463
|
5 876
|
6 094
|
6 486
|
6 338
|
6 276
|
|
| Long-Term Investments |
118 014
|
96 480
|
116 465
|
112 132
|
130 356
|
131 692
|
96 955
|
76 786
|
89 755
|
88 309
|
71 129
|
132 202
|
164 620
|
168 784
|
140 590
|
139 966
|
105 387
|
123 567
|
238 596
|
241 699
|
237 578
|
242 170
|
247 396
|
268 066
|
|
| Other Long-Term Assets |
94 609
|
102 847
|
88 377
|
83 848
|
78 055
|
80 537
|
80 010
|
77 823
|
66 899
|
69 932
|
64 281
|
57 051
|
51 952
|
60 246
|
74 619
|
95 459
|
149 561
|
151 620
|
153 019
|
147 087
|
151 671
|
156 364
|
167 628
|
186 995
|
|
| Other Assets |
0
|
0
|
124
|
442
|
310
|
1 459
|
1 450
|
5 451
|
4 741
|
3 933
|
5 073
|
22 608
|
22 958
|
23 301
|
22 043
|
16 166
|
12 231
|
10 032
|
5 463
|
5 876
|
6 094
|
6 486
|
6 338
|
6 276
|
|
| Total Assets |
1 422 110
N/A
|
1 381 240
-3%
|
1 377 021
0%
|
1 387 838
+1%
|
1 461 796
+5%
|
1 536 078
+5%
|
1 542 295
+0%
|
1 489 342
-3%
|
1 412 421
-5%
|
1 361 441
-4%
|
1 338 131
-2%
|
1 364 239
+2%
|
1 496 361
+10%
|
1 690 882
+13%
|
1 715 056
+1%
|
1 692 831
-1%
|
1 633 488
-4%
|
1 664 529
+2%
|
1 869 038
+12%
|
1 832 891
-2%
|
1 879 673
+3%
|
1 941 964
+3%
|
2 097 810
+8%
|
2 240 392
+7%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
299 209
|
291 111
|
285 897
|
289 134
|
295 026
|
322 681
|
315 008
|
294 871
|
241 185
|
269 445
|
293 493
|
266 299
|
280 900
|
300 148
|
297 499
|
285 937
|
304 928
|
290 043
|
261 944
|
222 542
|
222 288
|
230 208
|
238 867
|
251 097
|
|
| Accrued Liabilities |
55 451
|
44 766
|
46 195
|
43 532
|
59 580
|
71 179
|
84 508
|
59 294
|
61 871
|
61 032
|
65 437
|
79 294
|
97 929
|
109 299
|
143 542
|
119 927
|
114 371
|
116 609
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Debt |
10 000
|
0
|
0
|
0
|
0
|
0
|
0
|
5 000
|
0
|
0
|
0
|
6 000
|
82 481
|
93 545
|
41 646
|
55 487
|
23 812
|
62 544
|
202 054
|
102 892
|
53 241
|
67 854
|
110 749
|
51 247
|
|
| Current Portion of Long-Term Debt |
234 823
|
229 668
|
176 589
|
196 566
|
162 526
|
195 951
|
159 706
|
224 084
|
194 027
|
144 885
|
134 194
|
114 927
|
61 859
|
37 590
|
67 904
|
63 624
|
57 703
|
69 241
|
67 437
|
73 115
|
59 040
|
89 242
|
83 914
|
92 264
|
|
| Other Current Liabilities |
192 013
|
175 859
|
235 537
|
223 719
|
256 905
|
303 465
|
339 460
|
314 932
|
261 081
|
215 769
|
196 569
|
198 932
|
203 080
|
255 343
|
332 178
|
351 273
|
310 841
|
284 672
|
385 142
|
366 239
|
439 106
|
444 297
|
617 534
|
723 317
|
|
| Total Current Liabilities |
791 496
|
741 404
|
744 218
|
752 951
|
774 037
|
893 276
|
898 682
|
898 181
|
758 164
|
691 131
|
689 693
|
665 452
|
726 249
|
795 925
|
882 769
|
876 248
|
811 655
|
823 109
|
916 577
|
764 788
|
773 675
|
831 601
|
1 051 064
|
1 117 925
|
|
| Long-Term Debt |
215 292
|
223 265
|
241 852
|
246 818
|
281 782
|
205 296
|
208 216
|
188 626
|
224 190
|
215 716
|
195 417
|
229 215
|
209 840
|
275 494
|
260 053
|
246 277
|
235 747
|
220 120
|
343 211
|
429 928
|
393 272
|
362 392
|
379 713
|
371 212
|
|
| Deferred Income Tax |
4 189
|
4 092
|
4 092
|
4 092
|
3 694
|
3 226
|
3 131
|
3 377
|
6 661
|
6 660
|
5 811
|
6 312
|
6 312
|
6 312
|
5 158
|
4 884
|
4 941
|
4 953
|
4 439
|
3 132
|
3 485
|
4 470
|
4 080
|
7 747
|
|
| Minority Interest |
15 938
|
20 643
|
19 679
|
20 211
|
20 160
|
14 817
|
14 375
|
13 701
|
14 603
|
15 166
|
7 874
|
10 335
|
16 698
|
13 054
|
14 291
|
18 624
|
24 824
|
31 853
|
25 862
|
26 958
|
24 905
|
25 006
|
26 279
|
26 934
|
|
| Other Liabilities |
207 606
|
220 513
|
215 630
|
210 050
|
212 886
|
207 233
|
197 860
|
193 208
|
196 341
|
194 294
|
188 735
|
163 978
|
191 405
|
254 423
|
233 717
|
227 792
|
230 928
|
234 655
|
298 771
|
307 316
|
302 202
|
287 250
|
260 685
|
234 848
|
|
| Total Liabilities |
1 234 521
N/A
|
1 209 917
-2%
|
1 225 471
+1%
|
1 234 122
+1%
|
1 292 559
+5%
|
1 323 848
+2%
|
1 322 264
0%
|
1 297 093
-2%
|
1 199 959
-7%
|
1 122 967
-6%
|
1 087 530
-3%
|
1 075 292
-1%
|
1 150 504
+7%
|
1 344 341
+17%
|
1 395 988
+4%
|
1 373 825
-2%
|
1 308 095
-5%
|
1 314 690
+1%
|
1 588 860
+21%
|
1 532 122
-4%
|
1 497 539
-2%
|
1 510 719
+1%
|
1 721 821
+14%
|
1 758 666
+2%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
64 925
|
64 925
|
64 925
|
64 925
|
64 925
|
95 762
|
95 762
|
95 762
|
95 762
|
95 762
|
95 762
|
95 762
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
107 165
|
|
| Retained Earnings |
89 725
|
77 508
|
38 909
|
41 596
|
44 814
|
35 124
|
56 126
|
48 629
|
66 235
|
96 361
|
116 545
|
145 238
|
171 939
|
153 310
|
145 547
|
150 675
|
154 356
|
184 751
|
137 049
|
148 842
|
213 281
|
252 084
|
177 489
|
280 157
|
|
| Additional Paid In Capital |
10 200
|
10 200
|
10 200
|
10 200
|
10 200
|
43 034
|
43 037
|
43 032
|
43 028
|
43 037
|
43 044
|
43 047
|
54 439
|
54 438
|
54 431
|
53 510
|
53 406
|
53 410
|
51 779
|
51 735
|
47 052
|
46 741
|
46 362
|
46 384
|
|
| Unrealized Security Profit/Loss |
24 264
|
20 265
|
39 394
|
39 788
|
50 811
|
39 566
|
25 891
|
8 464
|
13 306
|
10 380
|
4 304
|
10 823
|
13 089
|
21 788
|
0
|
8 319
|
7 393
|
6 384
|
5 406
|
7 939
|
10 933
|
13 063
|
16 394
|
19 765
|
|
| Treasury Stock |
2
|
24
|
27
|
36
|
48
|
74
|
135
|
155
|
105
|
88
|
547
|
736
|
665
|
655
|
0
|
513
|
879
|
1 170
|
15 899
|
15 953
|
8 815
|
8 746
|
8 589
|
8 576
|
|
| Other Equity |
1 523
|
1 551
|
1 851
|
2 757
|
1 465
|
1 182
|
650
|
3 483
|
5 764
|
6 978
|
8 507
|
5 187
|
110
|
10 495
|
5 487
|
150
|
3 952
|
701
|
5 322
|
1 041
|
12 518
|
20 938
|
37 168
|
36 831
|
|
| Total Equity |
187 589
N/A
|
171 323
-9%
|
151 550
-12%
|
153 716
+1%
|
169 237
+10%
|
212 230
+25%
|
220 031
+4%
|
192 249
-13%
|
212 462
+11%
|
238 474
+12%
|
250 601
+5%
|
288 947
+15%
|
345 857
+20%
|
346 541
+0%
|
319 068
-8%
|
319 006
0%
|
325 393
+2%
|
349 839
+8%
|
280 178
-20%
|
300 769
+7%
|
382 134
+27%
|
431 245
+13%
|
375 989
-13%
|
481 726
+28%
|
|
| Total Liabilities & Equity |
1 422 110
N/A
|
1 381 240
-3%
|
1 377 021
0%
|
1 387 838
+1%
|
1 461 796
+5%
|
1 536 078
+5%
|
1 542 295
+0%
|
1 489 342
-3%
|
1 412 421
-5%
|
1 361 441
-4%
|
1 338 131
-2%
|
1 364 239
+2%
|
1 496 361
+10%
|
1 690 882
+13%
|
1 715 056
+1%
|
1 692 831
-1%
|
1 633 488
-4%
|
1 664 529
+2%
|
1 869 038
+12%
|
1 832 891
-2%
|
1 879 673
+3%
|
1 941 964
+3%
|
2 097 810
+8%
|
2 240 392
+7%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
909
|
909
|
909
|
909
|
909
|
1 027
|
1 027
|
1 026
|
1 027
|
1 027
|
1 025
|
1 024
|
1 080
|
1 080
|
1 081
|
1 081
|
1 080
|
1 080
|
1 040
|
1 040
|
1 059
|
1 059
|
1 059
|
1 060
|
|