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OM2 Network Co Ltd
TSE:7614

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OM2 Network Co Ltd
TSE:7614
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Price: 1 583 JPY -0.06% Market Closed
Market Cap: ¥10.6B

Balance Sheet

Balance Sheet Decomposition
OM2 Network Co Ltd

Balance Sheet
OM2 Network Co Ltd

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Balance Sheet
Currency: JPY
Jan-2007 Jan-2008 Jan-2009 Jan-2010 Jan-2011 Jan-2012 Jan-2013 Jan-2014 Jan-2015 Jan-2016 Jan-2017 Jan-2018 Jan-2019 Jan-2020 Jan-2021 Jan-2022 Jan-2023 Jan-2024 Jan-2025
Assets
Cash & Cash Equivalents
3 513
2 740
3 437
4 279
3 977
4 807
5 766
5 372
5 935
6 916
7 192
7 392
7 673
8 213
9 073
9 618
11 052
11 970
9 738
Cash Equivalents
3 513
2 740
3 437
4 279
3 977
4 807
5 766
5 372
5 935
6 916
7 192
7 392
7 673
8 213
9 073
9 618
11 052
11 970
9 738
Total Receivables
1 580
1 924
2 370
2 174
1 900
1 910
2 003
2 190
2 654
2 947
1 896
1 882
1 865
1 851
2 234
2 117
1 989
1 974
2 309
Accounts Receivables
429
752
959
830
776
782
826
809
1 067
1 043
262
326
337
386
298
360
402
409
610
Other Receivables
1 151
1 172
1 411
1 344
1 124
1 128
1 177
1 381
1 587
1 904
1 634
1 556
1 528
1 466
1 937
1 757
1 587
1 565
1 699
Inventory
589
887
729
645
728
677
815
1 040
1 257
891
419
395
412
442
515
542
546
584
623
Other Current Assets
167
266
256
227
274
198
238
313
266
208
170
159
115
118
276
148
104
118
161
Total Current Assets
5 850
5 817
6 792
7 325
6 879
7 591
8 822
8 915
10 113
10 961
9 677
9 828
10 064
10 625
12 099
12 424
13 691
14 646
12 831
PP&E Net
2 254
2 815
2 701
2 434
2 421
2 746
2 571
2 569
2 513
2 807
2 172
2 186
2 505
2 299
1 938
1 793
1 564
1 641
3 829
PP&E Gross
2 254
2 815
2 701
2 434
2 421
2 746
2 571
2 569
2 513
2 807
2 172
2 186
2 505
2 299
1 938
1 793
1 564
1 641
3 829
Accumulated Depreciation
4 214
4 489
4 638
4 888
4 943
5 120
5 301
5 328
5 582
5 545
3 742
3 915
3 934
4 233
4 466
5 228
5 496
5 603
6 422
Intangible Assets
27
34
37
53
67
168
153
142
131
119
108
113
110
109
107
95
82
76
91
Goodwill
0
1 219
924
629
331
84
29
22
0
7
0
0
0
0
0
258
197
253
465
Note Receivable
0
0
0
0
0
18
8
91
49
12
7
2
67
56
46
36
25
1
10
Long-Term Investments
315
410
350
352
905
427
525
367
429
417
1 720
1 958
1 947
2 029
2 268
2 379
2 338
2 183
2 335
Other Long-Term Assets
2 153
1 988
1 808
1 900
1 625
1 865
1 825
1 595
1 483
1 626
1 487
1 523
1 376
1 354
1 336
1 270
1 283
1 354
2 501
Other Assets
0
1 219
924
629
331
84
29
22
0
7
0
0
0
0
0
258
197
253
465
Total Assets
10 598
N/A
12 283
+16%
12 612
+3%
12 694
+1%
12 228
-4%
12 898
+5%
13 933
+8%
13 699
-2%
14 732
+8%
15 950
+8%
15 171
-5%
15 609
+3%
16 070
+3%
16 471
+2%
17 794
+8%
18 255
+3%
19 181
+5%
20 156
+5%
22 063
+9%
Liabilities
Accounts Payable
2 104
2 030
2 195
1 966
1 974
2 020
2 172
2 191
2 204
2 352
1 717
1 657
1 660
1 621
1 590
1 786
1 727
1 738
2 070
Accrued Liabilities
90
107
107
110
105
104
104
92
85
76
67
67
71
69
69
91
86
86
86
Short-Term Debt
711
1 132
995
737
705
654
560
560
550
650
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
208
407
270
353
301
401
410
337
0
256
102
0
0
0
30
124
136
52
100
Other Current Liabilities
776
1 070
1 466
1 310
807
1 126
1 438
1 096
1 894
1 713
1 210
1 140
1 095
1 053
1 772
976
1 310
1 396
1 229
Total Current Liabilities
3 888
4 746
5 033
4 476
3 893
4 305
4 685
4 275
4 995
5 047
3 095
2 865
2 825
2 744
3 461
2 978
3 259
3 272
3 485
Long-Term Debt
444
856
668
999
970
1 068
1 163
797
327
371
269
0
0
0
70
191
55
3
407
Other Liabilities
435
548
501
473
430
583
561
627
564
600
497
578
441
442
447
459
505
440
933
Total Liabilities
4 768
N/A
6 150
+29%
6 202
+1%
5 948
-4%
5 292
-11%
5 957
+13%
6 410
+8%
5 699
-11%
5 885
+3%
6 018
+2%
3 862
-36%
3 443
-11%
3 267
-5%
3 185
-2%
3 978
+25%
3 628
-9%
3 819
+5%
3 715
-3%
4 825
+30%
Equity
Common Stock
467
467
467
467
467
467
467
467
467
467
467
467
467
467
467
467
467
467
467
Retained Earnings
4 725
5 057
5 365
5 692
5 779
5 877
6 458
6 928
7 769
8 843
9 837
10 736
11 363
11 880
12 407
13 218
13 944
15 118
16 015
Additional Paid In Capital
1 064
1 064
1 064
1 064
1 064
1 064
1 064
1 064
1 064
1 064
1 392
1 392
1 392
1 392
1 392
1 392
1 392
1 392
1 394
Unrealized Security Profit/Loss
25
4
10
0
101
9
11
18
51
48
89
138
137
105
137
125
136
63
33
Treasury Stock
450
450
476
476
476
476
476
476
476
476
476
577
577
577
598
598
598
598
703
Other Equity
0
0
0
0
0
0
0
0
29
14
0
10
20
18
10
23
21
1
32
Total Equity
5 830
N/A
6 133
+5%
6 410
+5%
6 746
+5%
6 935
+3%
6 941
+0%
7 524
+8%
8 001
+6%
8 846
+11%
9 932
+12%
11 310
+14%
12 166
+8%
12 803
+5%
13 286
+4%
13 816
+4%
14 628
+6%
15 362
+5%
16 441
+7%
17 238
+5%
Total Liabilities & Equity
10 598
N/A
12 283
+16%
12 612
+3%
12 694
+1%
12 228
-4%
12 898
+5%
13 933
+8%
13 699
-2%
14 732
+8%
15 950
+8%
15 171
-5%
15 609
+3%
16 070
+3%
16 471
+2%
17 794
+8%
18 255
+3%
19 181
+5%
20 156
+5%
22 063
+9%
Shares Outstanding
Common Shares Outstanding
7
7
7
7
7
7
7
7
7
7
7
7
7
7
7
7
7
7
7
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