Marui Group Co Ltd
OTC:MAURF
Balance Sheet
Balance Sheet Decomposition
Marui Group Co Ltd
Marui Group Co Ltd
Balance Sheet
Marui Group Co Ltd
| 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 |
41 547
|
53 305
|
42 619
|
44 722
|
29 535
|
29 026
|
32 283
|
32 615
|
29 939
|
29 951
|
30 064
|
31 240
|
32 586
|
36 257
|
45 448
|
46 731
|
40 839
|
41 190
|
39 719
|
52 432
|
64 560
|
49 250
|
|
| Cash Equivalents |
41 547
|
53 305
|
42 619
|
44 722
|
29 535
|
29 026
|
32 283
|
32 615
|
29 939
|
29 951
|
30 064
|
31 240
|
32 586
|
36 257
|
45 448
|
46 731
|
40 839
|
41 190
|
39 719
|
52 432
|
64 560
|
49 250
|
|
| Total Receivables |
248 627
|
276 304
|
289 033
|
301 689
|
294 251
|
291 815
|
282 697
|
262 586
|
270 785
|
292 846
|
337 564
|
353 494
|
413 529
|
484 248
|
543 204
|
557 973
|
544 610
|
533 187
|
561 559
|
570 219
|
577 547
|
671 149
|
|
| Accounts Receivables |
29 102
|
27 052
|
30 545
|
53 225
|
71 717
|
84 698
|
91 211
|
103 879
|
138 505
|
169 107
|
212 349
|
225 464
|
279 422
|
343 679
|
397 193
|
420 500
|
405 297
|
415 148
|
447 510
|
469 824
|
473 513
|
523 399
|
|
| Other Receivables |
219 525
|
249 252
|
258 488
|
248 464
|
222 534
|
207 117
|
191 486
|
158 707
|
132 280
|
123 739
|
125 215
|
128 030
|
134 107
|
140 569
|
146 011
|
137 473
|
139 313
|
118 039
|
114 049
|
100 395
|
104 034
|
147 750
|
|
| Inventory |
50 115
|
48 910
|
46 095
|
42 150
|
36 025
|
27 634
|
25 566
|
24 476
|
21 817
|
19 334
|
19 285
|
16 834
|
12 759
|
10 437
|
7 489
|
5 196
|
4 766
|
3 111
|
1 070
|
640
|
528
|
480
|
|
| Other Current Assets |
44 799
|
20 607
|
20 113
|
17 990
|
26 868
|
29 475
|
22 853
|
22 243
|
25 129
|
30 594
|
27 629
|
25 185
|
27 166
|
27 857
|
26 524
|
30 479
|
36 551
|
46 194
|
45 681
|
52 618
|
66 340
|
16 708
|
|
| Total Current Assets |
385 088
|
399 126
|
397 860
|
406 551
|
386 679
|
377 950
|
363 399
|
341 920
|
347 670
|
372 725
|
414 542
|
426 753
|
486 040
|
558 799
|
622 665
|
640 379
|
626 766
|
623 682
|
648 029
|
675 909
|
708 975
|
737 587
|
|
| PP&E Net |
218 049
|
235 320
|
230 434
|
226 594
|
203 207
|
203 884
|
199 154
|
187 456
|
179 607
|
173 049
|
175 064
|
172 694
|
174 996
|
178 654
|
176 803
|
175 071
|
174 765
|
172 950
|
169 273
|
167 711
|
173 280
|
169 146
|
|
| PP&E Gross |
218 049
|
235 320
|
230 434
|
226 594
|
203 207
|
203 884
|
199 154
|
187 456
|
179 607
|
173 049
|
175 064
|
172 694
|
174 996
|
178 654
|
176 803
|
175 071
|
174 765
|
172 950
|
169 273
|
167 711
|
173 280
|
169 146
|
|
| Accumulated Depreciation |
191 355
|
195 563
|
195 572
|
186 087
|
175 381
|
186 614
|
197 519
|
204 078
|
211 890
|
218 276
|
217 900
|
219 312
|
221 121
|
216 276
|
218 973
|
209 420
|
211 970
|
216 171
|
212 328
|
211 351
|
211 137
|
208 967
|
|
| Intangible Assets |
2 566
|
1 556
|
1 237
|
3 220
|
5 327
|
6 537
|
2 714
|
6 469
|
6 749
|
6 476
|
6 625
|
6 237
|
6 502
|
6 295
|
6 388
|
6 849
|
8 113
|
10 149
|
8 911
|
9 661
|
10 651
|
13 804
|
|
| Long-Term Investments |
15 689
|
14 121
|
35 046
|
33 327
|
31 438
|
24 108
|
32 706
|
20 009
|
20 497
|
22 810
|
24 213
|
25 030
|
20 250
|
18 850
|
15 131
|
22 304
|
27 520
|
42 209
|
36 096
|
38 581
|
39 831
|
46 861
|
|
| Other Long-Term Assets |
70 167
|
62 516
|
57 995
|
70 673
|
68 833
|
72 867
|
66 379
|
73 051
|
60 607
|
49 113
|
43 575
|
44 913
|
42 338
|
43 977
|
44 900
|
45 593
|
48 805
|
52 241
|
57 717
|
70 088
|
70 764
|
85 954
|
|
| Total Assets |
691 559
N/A
|
712 639
+3%
|
722 572
+1%
|
740 365
+2%
|
695 484
-6%
|
685 346
-1%
|
664 352
-3%
|
628 905
-5%
|
615 130
-2%
|
624 173
+1%
|
664 019
+6%
|
675 627
+2%
|
730 126
+8%
|
806 575
+10%
|
865 887
+7%
|
890 196
+3%
|
885 969
0%
|
901 231
+2%
|
920 026
+2%
|
961 950
+5%
|
1 003 501
+4%
|
1 053 352
+5%
|
|
| Liabilities | |||||||||||||||||||||||
| Accounts Payable |
42 351
|
42 724
|
41 101
|
36 756
|
32 576
|
28 083
|
27 914
|
23 822
|
28 698
|
28 208
|
29 975
|
27 002
|
24 318
|
15 850
|
12 361
|
10 231
|
7 145
|
8 105
|
7 978
|
7 160
|
8 172
|
7 323
|
|
| Accrued Liabilities |
4 910
|
4 490
|
4 300
|
4 300
|
4 485
|
4 345
|
2 773
|
4 044
|
3 952
|
3 617
|
4 016
|
3 763
|
3 756
|
3 671
|
3 940
|
3 516
|
3 482
|
3 333
|
3 200
|
3 093
|
3 016
|
2 944
|
|
| Short-Term Debt |
8 020
|
0
|
20 000
|
20 000
|
5 000
|
26 000
|
20 000
|
20 000
|
10 000
|
44 262
|
50 324
|
49 339
|
43 324
|
45 827
|
44 331
|
29 632
|
51 335
|
62 380
|
109 156
|
90 319
|
34 754
|
45 020
|
|
| Current Portion of Long-Term Debt |
59 301
|
53 246
|
51 737
|
78 470
|
111 005
|
106 529
|
105 850
|
90 952
|
90 835
|
30 000
|
53 000
|
34 500
|
45 000
|
30 000
|
41 000
|
72 175
|
66 291
|
67 358
|
55 408
|
59 258
|
74 454
|
77 023
|
|
| Other Current Liabilities |
17 804
|
35 939
|
35 169
|
27 618
|
23 610
|
20 293
|
18 628
|
18 920
|
23 517
|
26 641
|
32 425
|
36 677
|
42 079
|
49 703
|
66 799
|
80 822
|
86 172
|
80 449
|
90 326
|
98 596
|
125 268
|
144 255
|
|
| Total Current Liabilities |
132 386
|
136 399
|
152 307
|
167 144
|
176 676
|
185 250
|
175 165
|
157 738
|
157 002
|
132 728
|
169 740
|
151 281
|
158 477
|
145 051
|
168 431
|
196 376
|
214 425
|
221 625
|
266 068
|
258 426
|
245 664
|
276 565
|
|
| Long-Term Debt |
128 089
|
127 889
|
129 438
|
140 838
|
161 532
|
159 532
|
158 275
|
154 329
|
144 766
|
169 500
|
161 500
|
194 000
|
271 000
|
358 500
|
400 000
|
386 375
|
363 989
|
356 635
|
364 296
|
434 876
|
486 398
|
515 605
|
|
| Deferred Income Tax |
2 880
|
1 190
|
1 758
|
542
|
1 586
|
1 409
|
0
|
0
|
0
|
0
|
1 214
|
1 516
|
1 855
|
4 003
|
2 053
|
3 470
|
1 884
|
135
|
135
|
135
|
135
|
135
|
|
| Minority Interest |
2 455
|
2 528
|
1 913
|
2 021
|
319
|
318
|
345
|
359
|
374
|
389
|
402
|
402
|
437
|
453
|
466
|
0
|
538
|
520
|
438
|
417
|
377
|
496
|
|
| Other Liabilities |
3 922
|
8 375
|
4 463
|
27 215
|
18 929
|
28 021
|
18 381
|
31 954
|
23 013
|
17 894
|
15 676
|
21 575
|
16 693
|
24 682
|
20 503
|
19 223
|
15 341
|
32 736
|
27 475
|
21 951
|
17 676
|
14 411
|
|
| Total Liabilities |
269 732
N/A
|
276 381
+2%
|
289 879
+5%
|
337 760
+17%
|
359 042
+6%
|
374 530
+4%
|
352 166
-6%
|
344 380
-2%
|
325 155
-6%
|
320 511
-1%
|
348 532
+9%
|
368 792
+6%
|
448 462
+22%
|
532 689
+19%
|
591 453
+11%
|
605 444
+2%
|
596 177
-2%
|
611 651
+3%
|
658 412
+8%
|
715 805
+9%
|
750 250
+5%
|
807 212
+8%
|
|
| Equity | |||||||||||||||||||||||
| Common Stock |
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
35 920
|
|
| Retained Earnings |
309 455
|
324 703
|
340 874
|
331 785
|
259 312
|
242 827
|
242 182
|
214 711
|
216 130
|
225 579
|
236 313
|
197 914
|
210 290
|
155 081
|
168 034
|
166 858
|
180 522
|
172 143
|
147 069
|
155 130
|
164 453
|
171 502
|
|
| Additional Paid In Capital |
91 273
|
91 273
|
91 274
|
91 274
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 307
|
91 323
|
91 824
|
91 760
|
91 752
|
91 952
|
91 999
|
92 049
|
|
| Unrealized Security Profit/Loss |
3 053
|
2 247
|
7 733
|
5 050
|
550
|
5 364
|
3 337
|
3 525
|
505
|
4 744
|
5 776
|
982
|
0
|
1 034
|
1 563
|
2 977
|
1 185
|
9 417
|
5 140
|
5 915
|
6 992
|
10 833
|
|
| Treasury Stock |
17 876
|
17 886
|
43 108
|
61 421
|
49 544
|
53 873
|
53 885
|
53 888
|
53 888
|
53 889
|
53 832
|
19 290
|
0
|
7 389
|
22 389
|
12 327
|
19 661
|
19 662
|
18 269
|
42 774
|
46 116
|
64 165
|
|
| Other Equity |
2
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1
|
1
|
3
|
2
|
1
|
1
|
1
|
1
|
2
|
2
|
2
|
2
|
3
|
1
|
|
| Total Equity |
421 827
N/A
|
436 257
+3%
|
432 693
-1%
|
402 608
-7%
|
336 445
-16%
|
310 817
-8%
|
312 187
+0%
|
284 525
-9%
|
289 975
+2%
|
303 662
+5%
|
315 487
+4%
|
306 835
-3%
|
281 664
-8%
|
273 886
-3%
|
274 434
+0%
|
284 752
+4%
|
289 792
+2%
|
289 580
0%
|
261 614
-10%
|
246 145
-6%
|
253 251
+3%
|
246 140
-3%
|
|
| Total Liabilities & Equity |
691 559
N/A
|
712 638
+3%
|
722 572
+1%
|
740 368
+2%
|
695 487
-6%
|
685 347
-1%
|
664 353
-3%
|
628 905
-5%
|
615 130
-2%
|
624 173
+1%
|
664 019
+6%
|
675 627
+2%
|
730 126
+8%
|
806 575
+10%
|
865 887
+7%
|
890 196
+3%
|
885 969
0%
|
901 231
+2%
|
920 026
+2%
|
961 950
+5%
|
1 003 501
+4%
|
1 053 352
+5%
|
|
| Shares Outstanding | |||||||||||||||||||||||
| Common Shares Outstanding |
351
|
351
|
336
|
326
|
279
|
274
|
274
|
274
|
274
|
274
|
274
|
263
|
242
|
229
|
220
|
217
|
214
|
214
|
200
|
189
|
188
|
181
|
|