Sumitomo Realty & Development Co Ltd
OTC:SURDF
Balance Sheet
Balance Sheet Decomposition
Sumitomo Realty & Development Co Ltd
Sumitomo Realty & Development Co Ltd
Balance Sheet
Sumitomo Realty & Development Co 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 |
87 472
|
101 700
|
132 473
|
103 234
|
116 152
|
129 819
|
116 532
|
124 894
|
149 312
|
119 748
|
146 475
|
225 774
|
147 266
|
151 367
|
187 233
|
269 312
|
263 209
|
172 191
|
195 360
|
188 340
|
151 392
|
185 119
|
103 911
|
99 020
|
|
| Cash Equivalents |
87 472
|
101 700
|
132 473
|
103 234
|
116 152
|
129 819
|
116 532
|
124 894
|
149 312
|
119 748
|
146 475
|
225 774
|
147 266
|
151 367
|
187 233
|
269 312
|
263 209
|
172 191
|
195 360
|
188 340
|
151 392
|
185 119
|
103 911
|
99 020
|
|
| Short-Term Investments |
22 044
|
27 997
|
44 989
|
50 636
|
58 628
|
43 487
|
38 998
|
50 087
|
65 589
|
69 849
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
89 305
|
76 510
|
83 497
|
64 714
|
63 171
|
43 572
|
56 900
|
32 013
|
16 551
|
13 336
|
16 547
|
17 774
|
18 737
|
27 519
|
19 617
|
18 420
|
23 706
|
21 494
|
17 345
|
18 676
|
23 242
|
38 023
|
31 522
|
22 305
|
|
| Accounts Receivables |
17 390
|
13 002
|
285
|
7 871
|
1 177
|
3 270
|
13 883
|
10 825
|
16 551
|
13 336
|
16 547
|
17 774
|
18 737
|
27 519
|
19 617
|
18 420
|
23 706
|
21 494
|
17 345
|
18 676
|
23 242
|
38 023
|
31 522
|
22 305
|
|
| Other Receivables |
106 695
|
89 512
|
83 782
|
56 843
|
61 994
|
46 842
|
43 017
|
21 188
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
156 535
|
161 156
|
189 547
|
211 179
|
330 700
|
489 092
|
511 865
|
518 882
|
521 869
|
558 089
|
586 168
|
679 494
|
715 778
|
801 948
|
855 813
|
845 212
|
783 305
|
679 900
|
648 878
|
636 800
|
712 449
|
790 069
|
876 677
|
924 959
|
|
| Other Current Assets |
49 641
|
56 080
|
53 403
|
51 574
|
50 565
|
50 514
|
59 894
|
33 936
|
49 368
|
44 930
|
51 951
|
42 743
|
42 670
|
44 868
|
59 526
|
64 563
|
55 898
|
59 426
|
54 451
|
68 380
|
54 451
|
73 661
|
58 767
|
71 431
|
|
| Total Current Assets |
404 997
|
423 443
|
503 909
|
481 337
|
619 216
|
756 484
|
784 189
|
759 812
|
802 689
|
805 952
|
801 141
|
965 785
|
924 451
|
1 025 702
|
1 122 189
|
1 197 507
|
1 126 118
|
933 011
|
916 034
|
912 196
|
941 534
|
1 086 872
|
1 070 877
|
1 117 715
|
|
| PP&E Net |
1 200 051
|
1 200 928
|
1 162 953
|
1 225 592
|
1 336 690
|
1 453 547
|
1 622 838
|
1 801 406
|
1 896 410
|
1 978 662
|
2 672 522
|
2 684 200
|
2 800 045
|
2 923 355
|
2 988 583
|
3 162 476
|
3 370 353
|
3 531 010
|
3 740 255
|
4 012 168
|
4 114 316
|
4 464 465
|
4 526 450
|
4 551 453
|
|
| PP&E Gross |
1 200 051
|
1 200 928
|
1 162 953
|
1 225 592
|
1 336 690
|
1 453 547
|
1 622 838
|
1 801 406
|
1 896 410
|
1 978 662
|
2 672 522
|
2 684 200
|
2 800 045
|
2 923 355
|
2 988 583
|
3 162 476
|
3 370 353
|
3 531 010
|
3 740 255
|
4 012 168
|
4 114 316
|
4 464 465
|
4 526 450
|
4 551 453
|
|
| Accumulated Depreciation |
123 838
|
130 218
|
139 759
|
134 274
|
142 760
|
157 764
|
172 705
|
179 892
|
196 750
|
217 448
|
319 451
|
348 701
|
380 261
|
406 487
|
436 504
|
471 473
|
510 893
|
548 381
|
578 300
|
626 476
|
681 665
|
739 650
|
804 833
|
850 310
|
|
| Intangible Assets |
68 985
|
55 339
|
55 170
|
55 769
|
49 708
|
49 904
|
51 624
|
51 663
|
51 362
|
51 814
|
51 587
|
51 538
|
53 960
|
54 015
|
51 718
|
53 802
|
54 752
|
56 751
|
57 561
|
62 411
|
63 994
|
63 292
|
68 826
|
72 254
|
|
| Note Receivable |
2 244
|
802
|
1 752
|
4 688
|
1 588
|
21 197
|
305
|
3 262
|
3 390
|
3 438
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
48 992
|
64 841
|
117 254
|
170 800
|
249 696
|
254 876
|
233 931
|
188 710
|
222 666
|
217 730
|
160 715
|
234 980
|
286 006
|
366 530
|
355 698
|
411 203
|
487 693
|
478 966
|
469 229
|
574 136
|
573 503
|
628 396
|
885 526
|
842 125
|
|
| Other Long-Term Assets |
247 464
|
270 308
|
249 925
|
198 135
|
203 175
|
211 889
|
201 110
|
201 552
|
191 576
|
176 602
|
173 733
|
168 997
|
155 966
|
154 202
|
157 726
|
155 051
|
128 282
|
130 380
|
134 544
|
112 755
|
112 693
|
122 411
|
126 711
|
138 875
|
|
| Total Assets |
1 972 733
N/A
|
2 015 661
+2%
|
2 090 963
+4%
|
2 136 321
+2%
|
2 460 073
+15%
|
2 747 897
+12%
|
2 893 997
+5%
|
3 006 405
+4%
|
3 168 093
+5%
|
3 234 198
+2%
|
3 859 698
+19%
|
4 105 500
+6%
|
4 220 428
+3%
|
4 523 804
+7%
|
4 675 914
+3%
|
4 980 039
+7%
|
5 167 198
+4%
|
5 130 118
-1%
|
5 317 623
+4%
|
5 673 666
+7%
|
5 806 040
+2%
|
6 365 436
+10%
|
6 678 390
+5%
|
6 722 422
+1%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
37 823
|
54 793
|
72 002
|
45 004
|
55 304
|
57 399
|
39 303
|
39 691
|
54 170
|
31 756
|
34 663
|
38 811
|
45 502
|
66 963
|
54 316
|
41 373
|
28 750
|
54 937
|
36 392
|
24 696
|
42 307
|
29 066
|
35 216
|
29 064
|
|
| Accrued Liabilities |
2 407
|
2 731
|
2 705
|
2 940
|
2 915
|
3 337
|
3 335
|
2 789
|
2 759
|
3 184
|
3 137
|
3 351
|
3 774
|
3 725
|
4 216
|
5 048
|
5 283
|
5 572
|
5 441
|
4 023
|
5 803
|
4 924
|
4 139
|
4 524
|
|
| Short-Term Debt |
441 310
|
347 466
|
171 423
|
132 745
|
197 770
|
197 970
|
195 670
|
270 970
|
230 250
|
185 750
|
149 700
|
137 500
|
113 000
|
87 000
|
78 718
|
66 108
|
61 416
|
25 643
|
146 726
|
146 620
|
68 610
|
208 610
|
137 665
|
114 615
|
|
| Current Portion of Long-Term Debt |
142 700
|
163 247
|
232 241
|
265 681
|
255 188
|
265 044
|
203 490
|
335 310
|
371 596
|
404 780
|
465 055
|
465 182
|
403 038
|
451 596
|
440 244
|
314 397
|
325 602
|
272 198
|
202 129
|
228 024
|
242 368
|
294 286
|
383 933
|
345 983
|
|
| Other Current Liabilities |
141 164
|
222 898
|
241 857
|
272 874
|
321 280
|
347 065
|
333 949
|
250 441
|
286 448
|
264 868
|
228 253
|
285 541
|
264 203
|
188 259
|
254 920
|
231 120
|
247 528
|
227 689
|
231 357
|
258 596
|
280 941
|
304 641
|
287 610
|
295 881
|
|
| Total Current Liabilities |
765 404
|
791 135
|
720 228
|
719 244
|
832 457
|
870 815
|
775 747
|
899 201
|
945 223
|
890 338
|
880 808
|
930 385
|
829 517
|
797 543
|
832 414
|
658 046
|
668 579
|
586 039
|
622 045
|
661 959
|
640 029
|
841 527
|
848 563
|
790 067
|
|
| Long-Term Debt |
601 869
|
627 405
|
644 964
|
639 962
|
814 074
|
1 010 630
|
1 265 882
|
1 241 347
|
1 333 320
|
1 431 068
|
1 939 360
|
2 173 550
|
2 377 405
|
2 560 604
|
2 644 569
|
2 993 329
|
3 086 934
|
3 045 227
|
3 093 022
|
3 187 381
|
3 249 534
|
3 435 450
|
3 440 259
|
3 431 656
|
|
| Deferred Income Tax |
47
|
0
|
6 533
|
8 249
|
31 419
|
23 950
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Minority Interest |
12 390
|
10 337
|
11 910
|
12 465
|
15 232
|
17 850
|
19 911
|
17 757
|
18 503
|
19 101
|
28 822
|
21 853
|
24 583
|
0
|
29 177
|
31 756
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Liabilities |
379 253
|
374 964
|
403 454
|
436 306
|
391 237
|
415 455
|
405 035
|
411 435
|
382 150
|
367 462
|
456 863
|
352 700
|
280 975
|
306 119
|
281 654
|
289 561
|
296 710
|
296 749
|
307 558
|
321 305
|
282 428
|
289 087
|
338 986
|
332 592
|
|
| Total Liabilities |
1 758 963
N/A
|
1 803 841
+3%
|
1 787 089
-1%
|
1 816 226
+2%
|
2 084 419
+15%
|
2 338 700
+12%
|
2 466 575
+5%
|
2 569 740
+4%
|
2 679 196
+4%
|
2 707 969
+1%
|
3 305 853
+22%
|
3 478 488
+5%
|
3 512 480
+1%
|
3 691 342
+5%
|
3 787 814
+3%
|
3 972 692
+5%
|
4 052 223
+2%
|
3 928 015
-3%
|
4 022 625
+2%
|
4 170 645
+4%
|
4 171 991
+0%
|
4 566 064
+9%
|
4 627 808
+1%
|
4 554 315
-2%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
86 787
|
86 787
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
122 805
|
|
| Retained Earnings |
32 165
|
34 692
|
38 571
|
49 829
|
75 652
|
120 690
|
176 228
|
208 457
|
248 835
|
290 259
|
313 041
|
363 384
|
423 599
|
494 275
|
569 740
|
662 801
|
765 325
|
876 802
|
1 002 633
|
1 126 669
|
1 256 742
|
1 396 392
|
1 546 549
|
1 706 318
|
|
| Additional Paid In Capital |
96 821
|
96 821
|
132 744
|
132 747
|
132 747
|
132 753
|
132 759
|
132 749
|
132 748
|
132 748
|
132 747
|
132 748
|
132 750
|
132 750
|
132 748
|
132 747
|
104 153
|
104 153
|
104 153
|
104 153
|
104 153
|
104 153
|
104 153
|
104 153
|
|
| Unrealized Security Profit/Loss |
2 158
|
4 885
|
14 419
|
18 964
|
46 900
|
36 792
|
2 870
|
15 772
|
3 393
|
6 700
|
1 932
|
19 980
|
37 762
|
88 798
|
0
|
97 192
|
131 115
|
109 209
|
76 335
|
160 440
|
155 863
|
171 827
|
268 967
|
230 151
|
|
| Treasury Stock |
30
|
224
|
403
|
665
|
1 235
|
2 253
|
2 746
|
3 493
|
3 543
|
3 644
|
3 704
|
3 779
|
4 140
|
4 246
|
0
|
4 379
|
4 443
|
4 469
|
4 473
|
4 475
|
4 475
|
4 476
|
4 478
|
20 225
|
|
| Other Equity |
182
|
1 370
|
4 262
|
3 582
|
1 214
|
1 590
|
4 492
|
8 078
|
8 555
|
9 239
|
9 112
|
8 126
|
4 828
|
1 920
|
5 119
|
3 819
|
3 980
|
6 397
|
6 455
|
6 571
|
1 039
|
8 671
|
12 586
|
24 905
|
|
| Total Equity |
213 767
N/A
|
211 821
-1%
|
303 874
+43%
|
320 098
+5%
|
375 655
+17%
|
409 197
+9%
|
427 424
+4%
|
436 668
+2%
|
488 897
+12%
|
526 229
+8%
|
553 845
+5%
|
627 012
+13%
|
707 948
+13%
|
832 462
+18%
|
888 100
+7%
|
1 007 347
+13%
|
1 114 975
+11%
|
1 202 103
+8%
|
1 294 998
+8%
|
1 503 021
+16%
|
1 634 049
+9%
|
1 799 372
+10%
|
2 050 582
+14%
|
2 168 107
+6%
|
|
| Total Liabilities & Equity |
1 972 730
N/A
|
2 015 662
+2%
|
2 090 963
+4%
|
2 136 324
+2%
|
2 460 074
+15%
|
2 747 897
+12%
|
2 893 999
+5%
|
3 006 408
+4%
|
3 168 093
+5%
|
3 234 198
+2%
|
3 859 698
+19%
|
4 105 500
+6%
|
4 220 428
+3%
|
4 523 804
+7%
|
4 675 914
+3%
|
4 980 039
+7%
|
5 167 198
+4%
|
5 130 118
-1%
|
5 317 623
+4%
|
5 673 666
+7%
|
5 806 040
+2%
|
6 365 436
+10%
|
6 678 390
+5%
|
6 722 422
+1%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
814
|
813
|
951
|
951
|
950
|
949
|
949
|
949
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
948
|
941
|
|