Daikin Industries Ltd
OTC:DKILY
Balance Sheet
Balance Sheet Decomposition
Daikin Industries Ltd
Daikin Industries Ltd
Balance Sheet
Daikin Industries Ltd
| 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 |
42 576
|
40 192
|
50 547
|
41 842
|
55 461
|
83 917
|
111 656
|
105 241
|
160 038
|
167 718
|
135 648
|
185 571
|
257 295
|
286 949
|
291 205
|
344 093
|
357 027
|
367 781
|
370 793
|
736 098
|
817 619
|
617 663
|
737 961
|
802 663
|
|
| Cash Equivalents |
42 576
|
40 192
|
50 547
|
41 842
|
55 461
|
83 917
|
111 656
|
105 241
|
160 038
|
167 718
|
135 648
|
185 571
|
257 295
|
286 949
|
291 205
|
344 093
|
357 027
|
367 781
|
370 793
|
736 098
|
817 619
|
617 663
|
737 961
|
802 663
|
|
| Short-Term Investments |
4 000
|
1 610
|
1 530
|
14 003
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
97 992
|
103 077
|
114 904
|
133 129
|
144 310
|
203 295
|
220 741
|
173 145
|
176 051
|
193 968
|
204 269
|
257 096
|
312 851
|
347 584
|
349 367
|
360 845
|
392 331
|
438 684
|
430 194
|
455 256
|
578 148
|
687 135
|
792 769
|
834 147
|
|
| Accounts Receivables |
97 992
|
103 077
|
114 904
|
133 129
|
144 310
|
203 295
|
220 741
|
173 145
|
176 051
|
193 968
|
204 269
|
257 096
|
312 851
|
347 584
|
349 367
|
360 845
|
392 331
|
438 684
|
430 194
|
455 256
|
578 148
|
687 135
|
708 132
|
742 455
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
84 637
|
91 692
|
|
| Inventory |
93 840
|
101 118
|
109 798
|
140 087
|
146 824
|
212 239
|
236 553
|
216 643
|
185 163
|
201 771
|
243 598
|
285 167
|
316 655
|
354 158
|
333 650
|
358 301
|
387 225
|
436 356
|
433 782
|
469 396
|
671 461
|
993 383
|
1 047 741
|
1 052 866
|
|
| Other Current Assets |
21 724
|
25 957
|
33 584
|
36 242
|
41 433
|
38 107
|
41 683
|
36 802
|
35 876
|
35 653
|
45 532
|
75 492
|
81 070
|
93 923
|
92 546
|
96 645
|
68 710
|
74 784
|
69 658
|
72 611
|
98 395
|
128 901
|
148 127
|
163 978
|
|
| Total Current Assets |
260 132
|
271 954
|
310 363
|
365 303
|
388 028
|
537 558
|
610 633
|
531 831
|
557 128
|
599 110
|
629 047
|
803 326
|
967 871
|
1 082 614
|
1 066 768
|
1 159 884
|
1 205 293
|
1 317 605
|
1 304 427
|
1 733 361
|
2 165 623
|
2 427 082
|
2 726 598
|
2 853 654
|
|
| PP&E Net |
145 256
|
145 576
|
149 788
|
170 206
|
196 483
|
238 317
|
243 140
|
243 080
|
234 648
|
214 005
|
224 357
|
274 201
|
299 716
|
347 755
|
385 099
|
424 527
|
454 834
|
482 962
|
579 980
|
647 410
|
743 364
|
900 944
|
1 134 982
|
1 279 327
|
|
| Intangible Assets |
3 741
|
4 621
|
4 373
|
5 738
|
6 925
|
7 629
|
7 125
|
9 400
|
9 436
|
8 466
|
14 210
|
162 477
|
184 089
|
206 760
|
189 108
|
206 087
|
206 777
|
295 822
|
260 687
|
274 077
|
306 540
|
354 123
|
377 099
|
371 530
|
|
| Goodwill |
3 292
|
5 554
|
6 392
|
7 738
|
6 706
|
210 505
|
200 733
|
193 404
|
182 867
|
170 561
|
166 276
|
348 411
|
361 667
|
369 964
|
329 753
|
330 876
|
309 282
|
322 318
|
281 969
|
268 684
|
270 467
|
304 331
|
306 627
|
266 337
|
|
| Note Receivable |
2 030
|
1 837
|
1 595
|
1 370
|
1 280
|
1 153
|
938
|
1 135
|
1 134
|
975
|
779
|
605
|
495
|
341
|
0
|
1 904
|
925
|
1 188
|
1 458
|
1 151
|
668
|
744
|
1 381
|
1 799
|
|
| Long-Term Investments |
34 741
|
32 454
|
52 440
|
56 698
|
107 730
|
137 467
|
121 254
|
94 346
|
124 896
|
105 897
|
98 969
|
117 118
|
171 334
|
220 735
|
189 587
|
197 999
|
244 969
|
222 799
|
174 264
|
230 206
|
216 268
|
186 861
|
188 949
|
178 730
|
|
| Other Long-Term Assets |
11 351
|
13 758
|
9 770
|
8 536
|
9 278
|
28 730
|
26 263
|
44 213
|
29 539
|
33 484
|
26 926
|
29 698
|
27 358
|
35 820
|
30 509
|
34 871
|
53 628
|
58 196
|
64 727
|
84 773
|
120 108
|
129 597
|
144 594
|
182 039
|
|
| Other Assets |
3 292
|
5 554
|
6 392
|
7 738
|
6 706
|
210 505
|
200 733
|
193 404
|
182 867
|
170 561
|
166 276
|
348 411
|
361 667
|
369 964
|
329 753
|
330 876
|
309 282
|
322 318
|
281 969
|
268 684
|
270 467
|
304 331
|
306 627
|
266 337
|
|
| Total Assets |
460 543
N/A
|
475 754
+3%
|
534 721
+12%
|
615 589
+15%
|
716 430
+16%
|
1 161 359
+62%
|
1 210 086
+4%
|
1 117 409
-8%
|
1 139 648
+2%
|
1 132 498
-1%
|
1 160 564
+2%
|
1 735 836
+50%
|
2 012 530
+16%
|
2 263 989
+12%
|
2 191 105
-3%
|
2 356 148
+8%
|
2 475 708
+5%
|
2 700 890
+9%
|
2 667 512
-1%
|
3 239 662
+21%
|
3 823 038
+18%
|
4 303 682
+13%
|
4 880 230
+13%
|
5 133 416
+5%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
55 111
|
62 291
|
70 181
|
78 065
|
84 252
|
121 827
|
128 198
|
80 138
|
97 733
|
116 905
|
110 108
|
127 364
|
162 084
|
153 937
|
156 038
|
173 147
|
183 991
|
204 535
|
189 843
|
229 746
|
302 621
|
352 647
|
326 033
|
362 158
|
|
| Accrued Liabilities |
20 629
|
22 300
|
25 202
|
28 635
|
29 785
|
49 212
|
56 851
|
48 168
|
49 077
|
50 354
|
52 748
|
67 088
|
84 618
|
96 375
|
98 800
|
108 278
|
122 056
|
135 180
|
142 068
|
154 213
|
206 356
|
247 868
|
273 397
|
283 375
|
|
| Short-Term Debt |
77 559
|
66 361
|
72 341
|
97 146
|
115 276
|
376 783
|
131 950
|
194 879
|
86 730
|
73 977
|
90 448
|
65 334
|
43 325
|
57 897
|
54 675
|
57 699
|
45 530
|
146 066
|
48 937
|
40 754
|
97 376
|
372 541
|
413 624
|
324 197
|
|
| Current Portion of Long-Term Debt |
27 799
|
13 858
|
16 680
|
13 838
|
3 277
|
10 755
|
8 810
|
30 654
|
14 812
|
3 690
|
59 330
|
5 589
|
97 616
|
40 923
|
74 882
|
78 974
|
78 487
|
93 626
|
123 200
|
96 917
|
390 415
|
104 355
|
113 550
|
115 986
|
|
| Other Current Liabilities |
25 748
|
32 806
|
39 603
|
50 608
|
51 885
|
79 796
|
87 223
|
75 282
|
73 179
|
82 881
|
83 705
|
117 252
|
145 994
|
176 492
|
179 332
|
208 578
|
173 267
|
189 408
|
189 909
|
244 354
|
309 471
|
371 910
|
440 386
|
457 331
|
|
| Total Current Liabilities |
206 846
|
197 616
|
224 007
|
268 292
|
284 475
|
638 373
|
413 032
|
429 121
|
321 531
|
327 807
|
396 339
|
382 627
|
533 637
|
525 624
|
563 727
|
626 676
|
603 331
|
768 815
|
693 957
|
765 984
|
1 306 239
|
1 449 321
|
1 566 990
|
1 543 047
|
|
| Long-Term Debt |
53 457
|
62 781
|
59 926
|
56 960
|
56 030
|
68 535
|
216 166
|
192 383
|
297 770
|
294 812
|
240 110
|
634 945
|
553 001
|
563 591
|
479 420
|
472 754
|
430 352
|
345 947
|
381 666
|
613 539
|
337 080
|
410 783
|
441 062
|
546 714
|
|
| Deferred Income Tax |
290
|
216
|
4 377
|
4 833
|
18 530
|
24 971
|
7 129
|
1 266
|
2 648
|
2 459
|
4 327
|
54 361
|
73 299
|
95 115
|
78 029
|
87 993
|
83 261
|
101 956
|
90 087
|
118 605
|
121 353
|
103 554
|
110 193
|
93 286
|
|
| Minority Interest |
6 033
|
5 747
|
6 858
|
8 633
|
11 238
|
12 191
|
13 823
|
12 035
|
12 867
|
11 759
|
12 110
|
16 543
|
21 162
|
22 594
|
21 942
|
22 893
|
26 258
|
29 054
|
25 736
|
30 787
|
35 876
|
40 947
|
45 994
|
61 199
|
|
| Other Liabilities |
2 722
|
4 293
|
5 524
|
5 155
|
5 636
|
19 527
|
13 774
|
10 156
|
7 641
|
6 492
|
3 867
|
27 907
|
28 245
|
31 348
|
32 460
|
33 116
|
34 443
|
37 323
|
39 211
|
43 039
|
51 217
|
60 929
|
74 683
|
83 676
|
|
| Total Liabilities |
269 348
N/A
|
270 653
+0%
|
300 692
+11%
|
343 873
+14%
|
375 909
+9%
|
763 597
+103%
|
663 924
-13%
|
644 961
-3%
|
642 457
0%
|
643 329
+0%
|
656 753
+2%
|
1 116 383
+70%
|
1 209 344
+8%
|
1 238 272
+2%
|
1 175 578
-5%
|
1 243 432
+6%
|
1 177 645
-5%
|
1 283 095
+9%
|
1 230 657
-4%
|
1 571 954
+28%
|
1 851 765
+18%
|
2 065 534
+12%
|
2 238 922
+8%
|
2 327 922
+4%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
28 023
|
28 023
|
28 023
|
28 023
|
28 023
|
28 023
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
85 032
|
|
| Retained Earnings |
137 346
|
155 654
|
179 202
|
213 275
|
247 278
|
286 156
|
352 020
|
367 600
|
376 966
|
387 053
|
416 731
|
440 006
|
515 424
|
618 120
|
721 665
|
839 047
|
989 056
|
1 134 820
|
1 255 958
|
1 365 524
|
1 531 693
|
1 715 281
|
1 899 944
|
2 072 520
|
|
| Additional Paid In Capital |
25 968
|
25 968
|
25 969
|
25 971
|
25 968
|
25 968
|
82 977
|
82 977
|
82 977
|
82 977
|
82 977
|
83 016
|
83 549
|
83 443
|
83 585
|
84 544
|
84 388
|
83 649
|
83 898
|
84 214
|
83 834
|
79 478
|
78 014
|
87 304
|
|
| Unrealized Security Profit/Loss |
2 330
|
784
|
11 199
|
12 294
|
33 053
|
33 780
|
10 101
|
15 397
|
500
|
4 640
|
2
|
18 430
|
40 065
|
67 818
|
0
|
53 041
|
74 586
|
57 685
|
29 764
|
68 699
|
59 534
|
51 980
|
65 729
|
53 770
|
|
| Treasury Stock |
465
|
822
|
1 109
|
1 347
|
1 550
|
2 367
|
3 500
|
4 743
|
5 528
|
5 472
|
6 960
|
6 772
|
4 549
|
5 220
|
0
|
3 160
|
2 894
|
2 589
|
2 264
|
2 012
|
1 846
|
1 676
|
1 525
|
1 348
|
|
| Other Equity |
2 007
|
2 938
|
9 256
|
6 501
|
7 749
|
26 200
|
19 530
|
43 018
|
41 755
|
65 061
|
73 967
|
259
|
83 665
|
176 524
|
83 524
|
54 212
|
67 895
|
59 198
|
15 533
|
66 251
|
213 026
|
308 053
|
514 114
|
508 216
|
|
| Total Equity |
191 195
N/A
|
205 101
+7%
|
234 028
+14%
|
271 715
+16%
|
340 521
+25%
|
397 760
+17%
|
546 160
+37%
|
472 451
-13%
|
497 192
+5%
|
489 169
-2%
|
503 811
+3%
|
619 453
+23%
|
803 186
+30%
|
1 025 717
+28%
|
1 015 527
-1%
|
1 112 716
+10%
|
1 298 063
+17%
|
1 417 795
+9%
|
1 436 855
+1%
|
1 667 708
+16%
|
1 971 273
+18%
|
2 238 148
+14%
|
2 641 308
+18%
|
2 805 494
+6%
|
|
| Total Liabilities & Equity |
460 543
N/A
|
475 754
+3%
|
534 720
+12%
|
615 588
+15%
|
716 430
+16%
|
1 161 357
+62%
|
1 210 084
+4%
|
1 117 412
-8%
|
1 139 649
+2%
|
1 132 498
-1%
|
1 160 564
+2%
|
1 735 836
+50%
|
2 012 530
+16%
|
2 263 989
+12%
|
2 191 105
-3%
|
2 356 148
+8%
|
2 475 708
+5%
|
2 700 890
+9%
|
2 667 512
-1%
|
3 239 662
+21%
|
3 823 038
+18%
|
4 303 682
+13%
|
4 880 230
+13%
|
5 133 416
+5%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
264
|
263
|
263
|
263
|
263
|
263
|
292
|
292
|
292
|
292
|
291
|
291
|
292
|
292
|
292
|
292
|
292
|
293
|
293
|
293
|
293
|
293
|
293
|
293
|
|