SMC Corp
OTC:SMECF
Balance Sheet
Balance Sheet Decomposition
SMC Corp
SMC Corp
Balance Sheet
SMC 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 |
51 154
|
75 235
|
97 452
|
118 416
|
146 312
|
176 597
|
167 725
|
154 613
|
187 471
|
227 325
|
220 366
|
282 187
|
349 354
|
453 178
|
412 707
|
459 874
|
506 436
|
519 609
|
548 311
|
629 291
|
684 834
|
603 570
|
511 257
|
655 779
|
|
| Cash Equivalents |
51 154
|
75 235
|
97 452
|
118 416
|
146 312
|
176 597
|
167 725
|
154 613
|
187 471
|
227 325
|
220 366
|
282 187
|
349 354
|
453 178
|
412 707
|
459 874
|
506 436
|
519 609
|
548 311
|
629 291
|
684 834
|
603 570
|
511 257
|
655 779
|
|
| Short-Term Investments |
3 415
|
1 173
|
805
|
4 849
|
6 864
|
7 790
|
849
|
2 821
|
1 811
|
812
|
3 959
|
980
|
0
|
0
|
0
|
22 401
|
37 074
|
31 977
|
12 454
|
11 256
|
12 219
|
19 926
|
33
|
29 770
|
|
| Total Receivables |
55 630
|
56 863
|
69 058
|
72 212
|
81 505
|
89 003
|
89 309
|
47 712
|
65 510
|
81 896
|
82 721
|
85 907
|
101 665
|
119 668
|
117 370
|
140 239
|
161 940
|
157 619
|
142 619
|
174 183
|
211 038
|
228 108
|
216 641
|
206 733
|
|
| Accounts Receivables |
55 630
|
56 863
|
69 058
|
72 212
|
81 505
|
89 003
|
89 309
|
47 712
|
65 510
|
81 896
|
82 721
|
85 907
|
101 665
|
119 668
|
117 370
|
140 239
|
161 940
|
157 619
|
142 619
|
174 183
|
211 038
|
228 108
|
216 641
|
157 480
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
49 253
|
|
| Inventory |
101 399
|
88 720
|
86 154
|
102 031
|
112 110
|
133 857
|
131 883
|
136 350
|
126 271
|
140 191
|
170 570
|
184 416
|
194 254
|
194 572
|
182 562
|
179 184
|
205 658
|
230 267
|
232 559
|
248 751
|
303 544
|
418 601
|
519 557
|
489 660
|
|
| Other Current Assets |
12 052
|
13 787
|
13 863
|
18 684
|
16 288
|
18 203
|
20 073
|
21 848
|
15 463
|
19 891
|
23 406
|
27 049
|
31 745
|
34 839
|
34 484
|
34 230
|
28 832
|
28 452
|
28 606
|
33 472
|
46 771
|
53 643
|
60 502
|
39 900
|
|
| Total Current Assets |
223 650
|
235 778
|
267 332
|
316 192
|
363 079
|
425 450
|
409 839
|
363 344
|
396 526
|
470 115
|
501 022
|
580 539
|
677 018
|
802 257
|
747 123
|
835 928
|
939 940
|
967 924
|
964 549
|
1 096 953
|
1 258 406
|
1 323 848
|
1 307 990
|
1 421 842
|
|
| PP&E Net |
87 279
|
83 051
|
77 930
|
80 746
|
91 960
|
99 728
|
100 031
|
94 341
|
95 095
|
95 789
|
95 640
|
110 446
|
125 837
|
146 861
|
148 309
|
149 252
|
156 925
|
170 342
|
188 477
|
198 540
|
270 584
|
326 995
|
413 558
|
478 717
|
|
| PP&E Gross |
87 279
|
83 051
|
77 930
|
80 746
|
91 960
|
99 728
|
100 031
|
94 341
|
95 095
|
95 789
|
95 640
|
110 446
|
125 837
|
146 861
|
148 309
|
149 252
|
156 925
|
170 342
|
188 477
|
198 540
|
270 584
|
326 995
|
413 558
|
478 717
|
|
| Accumulated Depreciation |
100 069
|
106 467
|
111 368
|
117 600
|
125 463
|
134 216
|
136 835
|
138 883
|
148 815
|
152 416
|
157 838
|
169 166
|
182 041
|
196 143
|
200 771
|
200 705
|
209 081
|
217 110
|
222 289
|
232 781
|
258 340
|
278 181
|
317 074
|
334 914
|
|
| Intangible Assets |
4 591
|
4 607
|
4 510
|
5 178
|
6 397
|
7 081
|
7 507
|
7 174
|
6 060
|
3 398
|
3 049
|
3 303
|
4 141
|
4 884
|
4 553
|
11 060
|
11 756
|
11 456
|
10 771
|
11 389
|
15 183
|
16 591
|
17 332
|
16 110
|
|
| Long-Term Investments |
21 470
|
23 850
|
34 132
|
43 251
|
62 378
|
57 472
|
54 949
|
31 067
|
35 117
|
37 183
|
29 235
|
34 887
|
41 076
|
50 763
|
52 941
|
54 699
|
97 153
|
97 427
|
74 791
|
72 383
|
58 750
|
92 420
|
172 436
|
145 267
|
|
| Other Long-Term Assets |
82 583
|
86 704
|
89 640
|
94 153
|
89 567
|
98 093
|
108 163
|
111 737
|
104 814
|
109 684
|
109 011
|
114 835
|
118 803
|
124 236
|
167 245
|
141 505
|
137 116
|
142 159
|
151 951
|
160 606
|
167 028
|
168 086
|
183 243
|
38 831
|
|
| Total Assets |
419 573
N/A
|
433 990
+3%
|
473 544
+9%
|
539 520
+14%
|
613 381
+14%
|
687 824
+12%
|
680 489
-1%
|
607 663
-11%
|
637 612
+5%
|
716 169
+12%
|
737 957
+3%
|
844 010
+14%
|
966 875
+15%
|
1 129 001
+17%
|
1 120 171
-1%
|
1 192 444
+6%
|
1 342 890
+13%
|
1 389 308
+3%
|
1 390 539
+0%
|
1 539 871
+11%
|
1 769 951
+15%
|
1 927 940
+9%
|
2 094 559
+9%
|
2 100 767
+0%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
24 163
|
26 508
|
39 637
|
43 598
|
49 005
|
53 820
|
46 080
|
27 924
|
30 042
|
50 772
|
49 278
|
45 488
|
48 687
|
48 753
|
55 405
|
60 648
|
88 411
|
38 513
|
38 379
|
44 091
|
62 101
|
73 636
|
58 818
|
46 898
|
|
| Accrued Liabilities |
0
|
0
|
0
|
0
|
0
|
400
|
0
|
0
|
0
|
0
|
0
|
0
|
1 850
|
2 969
|
2 611
|
2 812
|
3 062
|
2 894
|
2 434
|
3 055
|
5 350
|
5 143
|
5 162
|
3 730
|
|
| Short-Term Debt |
20 000
|
13 000
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
21 040
|
50 839
|
60 580
|
40 440
|
10 240
|
170
|
140
|
2 331
|
48
|
271
|
5 350
|
5 185
|
5 041
|
|
| Current Portion of Long-Term Debt |
4 597
|
9 291
|
2 463
|
4 682
|
4 520
|
2 989
|
28 660
|
24 718
|
34 001
|
22 646
|
23 730
|
8 371
|
2 187
|
2 923
|
5 514
|
1 529
|
1 501
|
4 391
|
1 418
|
1 456
|
6 767
|
1 855
|
2 228
|
57
|
|
| Other Current Liabilities |
19 588
|
22 862
|
36 886
|
44 551
|
45 587
|
49 663
|
46 460
|
18 776
|
24 998
|
57 744
|
42 737
|
50 067
|
49 945
|
63 846
|
46 279
|
54 210
|
79 892
|
71 732
|
49 802
|
69 393
|
94 914
|
102 863
|
93 207
|
79 913
|
|
| Total Current Liabilities |
68 348
|
71 661
|
78 986
|
92 831
|
99 112
|
106 872
|
121 200
|
71 418
|
89 041
|
131 162
|
115 745
|
124 966
|
153 508
|
179 071
|
150 249
|
129 439
|
173 036
|
117 670
|
94 364
|
118 043
|
169 403
|
188 847
|
164 600
|
135 639
|
|
| Long-Term Debt |
11 854
|
11 115
|
13 139
|
10 749
|
11 495
|
12 760
|
8 080
|
15 160
|
3 824
|
10 431
|
9 346
|
8 617
|
13 731
|
12 728
|
8 948
|
11 345
|
10 897
|
9 223
|
14 438
|
15 786
|
11 020
|
11 493
|
12 073
|
6 507
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
12 123
|
7 855
|
11 374
|
1 535
|
11 287
|
18 682
|
17 385
|
21 463
|
16 094
|
21 802
|
20 054
|
|
| Minority Interest |
1 430
|
1 583
|
1 557
|
1 773
|
2 094
|
2 605
|
2 973
|
1 885
|
1 485
|
1 677
|
1 736
|
1 826
|
2 030
|
2 238
|
2 403
|
2 761
|
3 171
|
3 232
|
3 078
|
3 283
|
3 645
|
3 912
|
4 284
|
25
|
|
| Other Liabilities |
26 025
|
28 003
|
29 139
|
30 306
|
30 925
|
31 277
|
31 326
|
31 590
|
34 052
|
37 120
|
25 773
|
21 068
|
14 115
|
3 596
|
11 306
|
9 917
|
7 006
|
7 876
|
9 789
|
8 670
|
8 791
|
9 181
|
10 213
|
10 261
|
|
| Total Liabilities |
107 657
N/A
|
112 362
+4%
|
122 821
+9%
|
135 659
+10%
|
143 626
+6%
|
153 514
+7%
|
163 579
+7%
|
120 053
-27%
|
128 402
+7%
|
180 390
+40%
|
152 600
-15%
|
156 477
+3%
|
183 384
+17%
|
209 756
+14%
|
180 761
-14%
|
164 836
-9%
|
195 645
+19%
|
149 288
-24%
|
140 351
-6%
|
163 167
+16%
|
214 322
+31%
|
229 527
+7%
|
212 972
-7%
|
172 486
-19%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
61 005
|
|
| Retained Earnings |
181 073
|
193 605
|
222 795
|
268 350
|
311 640
|
367 543
|
415 569
|
433 698
|
446 985
|
487 886
|
538 935
|
593 608
|
629 616
|
696 953
|
775 655
|
875 230
|
985 216
|
1 088 960
|
1 182 014
|
1 277 198
|
1 430 285
|
1 596 086
|
1 716 354
|
1 808 633
|
|
| Additional Paid In Capital |
72 576
|
72 576
|
72 576
|
72 576
|
72 576
|
72 678
|
72 677
|
72 677
|
72 677
|
72 677
|
72 677
|
72 686
|
72 677
|
72 677
|
72 778
|
72 871
|
73 372
|
73 372
|
73 335
|
73 335
|
73 335
|
73 342
|
73 342
|
74 473
|
|
| Unrealized Security Profit/Loss |
1 205
|
1 723
|
4 085
|
6 122
|
15 138
|
11 629
|
4 308
|
695
|
606
|
374
|
543
|
1 095
|
1 813
|
5 841
|
0
|
8 864
|
10 864
|
7 667
|
6 344
|
11 404
|
11 235
|
7 573
|
14 777
|
14 492
|
|
| Treasury Stock |
177
|
194
|
217
|
248
|
288
|
254
|
43 167
|
43 180
|
43 193
|
43 207
|
43 221
|
43 879
|
23 892
|
3 458
|
0
|
3 348
|
3 066
|
3 086
|
30 432
|
59 139
|
109 136
|
164 167
|
194 795
|
219 814
|
|
| Other Equity |
1 356
|
3 640
|
9 523
|
3 947
|
9 685
|
21 710
|
6 515
|
35 893
|
28 867
|
42 956
|
44 582
|
3 018
|
42 272
|
86 227
|
30 504
|
12 986
|
19 854
|
12 102
|
42 078
|
12 901
|
88 905
|
124 574
|
210 904
|
189 492
|
|
| Total Equity |
311 916
N/A
|
321 629
+3%
|
350 721
+9%
|
403 858
+15%
|
469 756
+16%
|
534 311
+14%
|
516 907
-3%
|
487 612
-6%
|
509 213
+4%
|
535 779
+5%
|
585 357
+9%
|
687 533
+17%
|
783 491
+14%
|
919 245
+17%
|
939 410
+2%
|
1 027 608
+9%
|
1 147 245
+12%
|
1 240 020
+8%
|
1 250 188
+1%
|
1 376 704
+10%
|
1 555 629
+13%
|
1 698 413
+9%
|
1 881 587
+11%
|
1 928 281
+2%
|
|
| Total Liabilities & Equity |
419 573
N/A
|
433 991
+3%
|
473 542
+9%
|
539 517
+14%
|
613 382
+14%
|
687 825
+12%
|
680 486
-1%
|
607 665
-11%
|
637 615
+5%
|
716 169
+12%
|
737 957
+3%
|
844 010
+14%
|
966 875
+15%
|
1 129 001
+17%
|
1 120 171
-1%
|
1 192 444
+6%
|
1 342 890
+13%
|
1 389 308
+3%
|
1 390 539
+0%
|
1 539 871
+11%
|
1 769 951
+15%
|
1 927 940
+9%
|
2 094 559
+9%
|
2 100 767
+0%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
72
|
72
|
72
|
72
|
72
|
72
|
69
|
69
|
69
|
69
|
69
|
69
|
68
|
67
|
67
|
67
|
67
|
67
|
67
|
66
|
65
|
65
|
64
|
64
|
|