Mitsubishi Electric Corp
OTC:MIELF
Balance Sheet
Balance Sheet Decomposition
Mitsubishi Electric Corp
Mitsubishi Electric Corp
Balance Sheet
Mitsubishi Electric 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 |
454 890
|
363 595
|
330 596
|
246 563
|
304 514
|
342 640
|
334 311
|
358 616
|
391 118
|
472 067
|
392 181
|
298 881
|
418 049
|
568 517
|
574 170
|
662 469
|
599 199
|
514 224
|
537 559
|
767 406
|
727 179
|
645 870
|
765 384
|
757 331
|
|
| Cash Equivalents |
454 890
|
363 595
|
330 596
|
246 563
|
304 514
|
342 640
|
334 311
|
358 616
|
391 118
|
472 067
|
392 181
|
298 881
|
418 049
|
568 517
|
574 170
|
662 469
|
599 199
|
514 224
|
537 559
|
767 406
|
727 179
|
645 870
|
765 384
|
757 331
|
|
| Short-Term Investments |
13 793
|
22 523
|
32 240
|
23 719
|
7 991
|
16 258
|
9 506
|
13 276
|
9 542
|
10 031
|
2 995
|
812
|
51
|
0
|
0
|
0
|
47 581
|
48 768
|
56 765
|
51 657
|
62 135
|
60 953
|
52 400
|
65 710
|
|
| Total Receivables |
818 817
|
821 943
|
748 293
|
789 463
|
843 600
|
891 271
|
912 171
|
766 983
|
790 754
|
790 991
|
950 736
|
974 505
|
983 468
|
1 048 542
|
1 035 168
|
1 037 201
|
1 191 529
|
1 233 916
|
1 244 067
|
1 181 062
|
1 232 102
|
1 346 932
|
1 408 534
|
1 490 265
|
|
| Accounts Receivables |
751 498
|
758 207
|
682 066
|
734 462
|
788 927
|
833 689
|
851 079
|
719 389
|
741 390
|
732 060
|
950 736
|
918 221
|
915 133
|
966 547
|
957 044
|
1 037 201
|
1 092 262
|
1 134 138
|
1 152 853
|
1 084 170
|
1 129 975
|
1 235 463
|
1 287 544
|
1 374 832
|
|
| Other Receivables |
67 319
|
63 736
|
66 227
|
55 001
|
54 673
|
57 582
|
61 092
|
47 594
|
49 364
|
58 931
|
0
|
56 284
|
68 335
|
81 995
|
78 124
|
0
|
99 267
|
99 778
|
91 214
|
96 892
|
102 127
|
111 469
|
120 990
|
115 433
|
|
| Inventory |
643 642
|
510 750
|
401 619
|
447 382
|
491 950
|
520 238
|
524 162
|
531 603
|
474 204
|
527 504
|
576 179
|
590 735
|
602 341
|
705 420
|
644 127
|
643 040
|
646 262
|
729 098
|
693 890
|
743 782
|
959 660
|
1 209 254
|
1 253 493
|
1 244 959
|
|
| Other Current Assets |
226 747
|
218 726
|
230 633
|
233 206
|
238 724
|
280 093
|
280 478
|
269 438
|
261 855
|
272 471
|
275 293
|
264 462
|
286 098
|
310 966
|
298 398
|
157 975
|
98 164
|
98 287
|
95 752
|
103 065
|
109 220
|
125 178
|
145 425
|
189 270
|
|
| Total Current Assets |
2 157 889
|
1 937 537
|
1 743 381
|
1 740 333
|
1 886 779
|
2 050 500
|
2 060 628
|
1 939 916
|
1 927 473
|
2 073 064
|
2 197 384
|
2 129 395
|
2 290 007
|
2 633 445
|
2 551 863
|
2 500 685
|
2 582 735
|
2 624 293
|
2 628 033
|
2 846 972
|
3 090 296
|
3 388 187
|
3 625 236
|
3 747 535
|
|
| PP&E Net |
893 965
|
727 770
|
566 383
|
570 660
|
589 998
|
605 285
|
602 023
|
554 424
|
517 534
|
527 453
|
556 845
|
603 000
|
649 385
|
706 475
|
712 599
|
732 611
|
724 257
|
760 540
|
854 382
|
857 645
|
855 746
|
896 313
|
962 608
|
958 458
|
|
| PP&E Gross |
893 965
|
727 770
|
566 383
|
570 660
|
589 998
|
605 285
|
602 023
|
554 424
|
517 534
|
527 453
|
556 845
|
603 000
|
649 385
|
706 475
|
712 599
|
732 611
|
724 257
|
760 540
|
854 382
|
857 645
|
855 746
|
896 313
|
962 608
|
958 458
|
|
| Accumulated Depreciation |
2 237 322
|
2 052 310
|
1 352 737
|
1 388 078
|
1 426 113
|
1 496 963
|
1 530 471
|
1 600 569
|
1 668 642
|
1 686 241
|
1 752 552
|
1 850 355
|
1 925 374
|
2 045 742
|
2 069 838
|
2 135 368
|
2 229 668
|
2 289 801
|
2 337 475
|
2 464 741
|
2 584 877
|
2 686 952
|
2 783 540
|
2 804 216
|
|
| Intangible Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
48 423
|
89 634
|
0
|
83 667
|
89 934
|
92 874
|
92 403
|
92 371
|
99 898
|
112 438
|
116 759
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
8 017
|
63 979
|
0
|
49 293
|
47 681
|
53 449
|
61 109
|
69 123
|
90 703
|
99 426
|
104 647
|
|
| Note Receivable |
40 150
|
19 795
|
15 998
|
9 700
|
4 378
|
3 711
|
480
|
9 502
|
1 560
|
2 090
|
1 017
|
2 521
|
4 813
|
5 633
|
4 661
|
2 815
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
447 283
|
359 961
|
464 943
|
483 547
|
584 871
|
571 458
|
538 923
|
460 369
|
465 653
|
448 953
|
419 502
|
423 556
|
497 510
|
595 828
|
537 706
|
618 935
|
557 479
|
501 793
|
458 604
|
559 088
|
542 523
|
595 383
|
602 219
|
637 602
|
|
| Other Long-Term Assets |
518 117
|
628 574
|
434 518
|
358 232
|
247 716
|
221 277
|
283 026
|
369 912
|
302 874
|
281 119
|
216 903
|
251 938
|
171 251
|
61 630
|
99 499
|
317 224
|
308 149
|
331 970
|
322 429
|
380 704
|
457 914
|
512 035
|
765 413
|
810 679
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
8 017
|
63 979
|
0
|
49 293
|
47 681
|
53 449
|
61 109
|
69 123
|
90 703
|
99 426
|
104 647
|
|
| Total Assets |
4 057 404
N/A
|
3 673 637
-9%
|
3 225 223
-12%
|
3 162 472
-2%
|
3 313 742
+5%
|
3 452 231
+4%
|
3 485 080
+1%
|
3 334 123
-4%
|
3 215 094
-4%
|
3 332 679
+4%
|
3 391 651
+2%
|
3 410 410
+1%
|
3 612 966
+6%
|
4 059 451
+12%
|
4 059 941
+0%
|
4 172 270
+3%
|
4 305 580
+3%
|
4 356 211
+1%
|
4 409 771
+1%
|
4 797 921
+9%
|
5 107 973
+6%
|
5 582 519
+9%
|
6 167 340
+10%
|
6 375 680
+3%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
667 078
|
650 696
|
619 407
|
636 829
|
714 455
|
739 585
|
757 606
|
612 129
|
633 670
|
697 789
|
700 262
|
652 718
|
758 913
|
807 289
|
773 714
|
780 202
|
579 566
|
559 641
|
527 307
|
541 774
|
601 606
|
644 456
|
589 142
|
601 978
|
|
| Accrued Liabilities |
307 832
|
264 276
|
247 511
|
266 382
|
314 105
|
334 413
|
365 259
|
344 646
|
356 704
|
367 995
|
350 740
|
292 990
|
337 571
|
358 082
|
359 089
|
363 849
|
261 392
|
268 651
|
265 059
|
302 418
|
326 703
|
332 788
|
340 582
|
356 453
|
|
| Short-Term Debt |
507 794
|
333 168
|
227 811
|
133 789
|
93 958
|
148 621
|
86 878
|
206 520
|
71 022
|
64 905
|
111 670
|
131 837
|
60 275
|
72 385
|
61 873
|
60 868
|
56 507
|
55 580
|
52 967
|
72 052
|
74 963
|
87 492
|
71 685
|
47 213
|
|
| Current Portion of Long-Term Debt |
306 071
|
222 695
|
117 336
|
100 453
|
153 637
|
104 520
|
108 179
|
104 367
|
57 977
|
137 856
|
88 832
|
103 081
|
101 777
|
92 017
|
54 659
|
63 500
|
66 388
|
49 389
|
80 402
|
80 605
|
98 250
|
98 812
|
80 013
|
73 676
|
|
| Other Current Liabilities |
172 088
|
118 487
|
103 674
|
140 209
|
163 978
|
202 699
|
187 979
|
145 353
|
147 536
|
201 842
|
181 997
|
205 441
|
235 707
|
282 809
|
258 608
|
257 342
|
524 396
|
483 074
|
476 930
|
508 532
|
545 200
|
639 278
|
757 765
|
767 709
|
|
| Total Current Liabilities |
1 960 863
|
1 589 322
|
1 315 739
|
1 277 662
|
1 440 133
|
1 529 838
|
1 505 901
|
1 413 015
|
1 266 909
|
1 470 387
|
1 433 501
|
1 386 067
|
1 494 243
|
1 612 582
|
1 507 943
|
1 525 761
|
1 488 249
|
1 416 335
|
1 402 665
|
1 505 381
|
1 646 722
|
1 802 826
|
1 839 187
|
1 847 029
|
|
| Long-Term Debt |
740 180
|
628 361
|
559 408
|
521 542
|
445 583
|
387 941
|
355 740
|
366 977
|
408 501
|
281 591
|
341 789
|
305 654
|
211 426
|
217 592
|
287 507
|
227 756
|
189 055
|
193 469
|
243 634
|
212 774
|
156 248
|
214 454
|
242 938
|
239 772
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
9 137
|
10 164
|
10 193
|
5 759
|
4 774
|
7 762
|
22 264
|
25 155
|
|
| Minority Interest |
55 233
|
54 006
|
48 512
|
46 723
|
52 395
|
60 361
|
59 782
|
52 464
|
56 610
|
58 685
|
58 555
|
66 921
|
76 029
|
87 964
|
98 730
|
101 081
|
103 045
|
111 209
|
109 116
|
116 318
|
121 456
|
124 197
|
127 094
|
126 688
|
|
| Other Liabilities |
759 418
|
1 007 361
|
700 032
|
595 908
|
433 429
|
414 882
|
532 219
|
652 191
|
518 490
|
471 676
|
425 341
|
351 698
|
306 946
|
299 110
|
326 988
|
278 045
|
221 920
|
225 088
|
214 420
|
203 396
|
202 832
|
194 253
|
196 533
|
187 358
|
|
| Total Liabilities |
3 515 694
N/A
|
3 279 050
-7%
|
2 623 691
-20%
|
2 441 835
-7%
|
2 371 540
-3%
|
2 393 022
+1%
|
2 453 642
+3%
|
2 484 647
+1%
|
2 250 510
-9%
|
2 282 339
+1%
|
2 259 186
-1%
|
2 110 340
-7%
|
2 088 644
-1%
|
2 217 248
+6%
|
2 221 168
+0%
|
2 132 643
-4%
|
2 011 406
-6%
|
1 956 265
-3%
|
1 980 028
+1%
|
2 043 628
+3%
|
2 132 032
+4%
|
2 343 492
+10%
|
2 428 016
+4%
|
2 426 002
0%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
175 820
|
|
| Retained Earnings |
362 676
|
350 851
|
389 250
|
447 548
|
528 240
|
632 003
|
764 222
|
748 485
|
776 763
|
881 973
|
966 126
|
1 012 027
|
1 139 738
|
1 331 496
|
1 502 027
|
1 654 557
|
1 811 348
|
1 960 466
|
2 071 817
|
2 266 490
|
2 464 966
|
2 636 136
|
3 102 755
|
3 304 481
|
|
| Additional Paid In Capital |
210 644
|
210 671
|
210 672
|
210 687
|
210 938
|
210 910
|
210 890
|
210 881
|
210 006
|
208 669
|
206 343
|
205 945
|
207 089
|
211 155
|
211 999
|
212 530
|
199 442
|
202 834
|
202 832
|
202 777
|
202 695
|
202 888
|
195 157
|
186 741
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
24 370
|
4 194
|
16 689
|
5 871
|
12 207
|
27 059
|
82 584
|
119 213
|
93 685
|
136 406
|
91 952
|
55 503
|
21 754
|
93 893
|
85 204
|
113 579
|
78 408
|
62 933
|
|
| Treasury Stock |
10
|
68
|
373
|
396
|
514
|
456
|
507
|
644
|
1 496
|
203
|
221
|
235
|
282
|
332
|
374
|
1 228
|
1 928
|
2 983
|
2 924
|
2 595
|
52 068
|
52 715
|
98 040
|
71 823
|
|
| Other Equity |
207 420
|
342 687
|
173 837
|
113 022
|
27 718
|
40 932
|
143 357
|
280 872
|
213 198
|
221 790
|
227 810
|
120 546
|
80 627
|
4 851
|
144 384
|
138 458
|
17 540
|
8 306
|
39 556
|
17 908
|
99 324
|
163 319
|
285 224
|
291 526
|
|
| Total Equity |
541 710
N/A
|
394 587
-27%
|
601 532
+52%
|
720 637
+20%
|
942 202
+31%
|
1 059 209
+12%
|
1 031 438
-3%
|
849 476
-18%
|
964 584
+14%
|
1 050 340
+9%
|
1 132 465
+8%
|
1 300 070
+15%
|
1 524 322
+17%
|
1 842 203
+21%
|
1 838 773
0%
|
2 039 627
+11%
|
2 294 174
+12%
|
2 399 946
+5%
|
2 429 743
+1%
|
2 754 293
+13%
|
2 975 941
+8%
|
3 239 027
+9%
|
3 739 324
+15%
|
3 949 678
+6%
|
|
| Total Liabilities & Equity |
4 057 404
N/A
|
3 673 637
-9%
|
3 225 223
-12%
|
3 162 472
-2%
|
3 313 742
+5%
|
3 452 231
+4%
|
3 485 080
+1%
|
3 334 123
-4%
|
3 215 094
-4%
|
3 332 679
+4%
|
3 391 651
+2%
|
3 410 410
+1%
|
3 612 966
+6%
|
4 059 451
+12%
|
4 059 941
+0%
|
4 172 270
+3%
|
4 305 580
+3%
|
4 356 211
+1%
|
4 409 771
+1%
|
4 797 921
+9%
|
5 107 973
+6%
|
5 582 519
+9%
|
6 167 340
+10%
|
6 375 680
+3%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
2 147
|
2 147
|
2 146
|
2 146
|
2 146
|
2 147
|
2 147
|
2 146
|
2 145
|
2 147
|
2 147
|
2 147
|
2 147
|
2 147
|
2 147
|
2 146
|
2 146
|
2 145
|
2 145
|
2 145
|
2 112
|
2 112
|
2 088
|
2 075
|
|