KDDI Corp
SWB:DIP
Balance Sheet
Balance Sheet Decomposition
KDDI Corp
KDDI Corp
Balance Sheet
KDDI 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 |
69 067
|
122 121
|
149 149
|
160 380
|
146 197
|
174 036
|
73 771
|
94 242
|
96 863
|
136 921
|
100 037
|
96 952
|
222 050
|
276 317
|
192 200
|
226 607
|
200 834
|
204 597
|
369 202
|
809 802
|
796 613
|
480 252
|
887 207
|
921 175
|
|
| Cash Equivalents |
69 067
|
122 121
|
149 149
|
160 380
|
146 197
|
174 036
|
73 771
|
94 242
|
96 863
|
136 921
|
100 037
|
96 952
|
222 050
|
276 317
|
192 200
|
226 607
|
200 834
|
204 597
|
369 202
|
809 802
|
796 613
|
480 252
|
887 207
|
921 175
|
|
| Short-Term Investments |
0
|
0
|
47 836
|
62 779
|
5 571
|
20 247
|
3 227
|
106 964
|
70 000
|
25 201
|
80 188
|
231
|
273
|
8 821
|
14 912
|
16 792
|
29 994
|
41 814
|
102 362
|
99 716
|
102 622
|
107 141
|
48 803
|
128 934
|
|
| Total Receivables |
455 270
|
367 745
|
384 775
|
365 183
|
393 729
|
424 285
|
439 378
|
498 962
|
567 115
|
627 930
|
812 216
|
1 012 450
|
1 141 684
|
1 236 818
|
1 365 962
|
1 528 785
|
1 697 504
|
1 970 187
|
2 389 668
|
2 471 009
|
2 569 864
|
2 752 470
|
3 059 980
|
3 453 990
|
|
| Accounts Receivables |
360 427
|
321 923
|
346 849
|
331 516
|
357 617
|
395 930
|
388 052
|
462 200
|
522 600
|
559 741
|
745 930
|
950 973
|
1 073 387
|
1 150 711
|
1 294 607
|
1 432 558
|
1 628 064
|
1 874 137
|
2 080 347
|
2 117 620
|
2 164 703
|
2 262 503
|
2 462 941
|
2 865 363
|
|
| Other Receivables |
94 843
|
45 822
|
37 926
|
33 667
|
36 112
|
28 355
|
51 326
|
36 762
|
44 515
|
68 189
|
66 286
|
61 477
|
68 297
|
86 107
|
71 355
|
96 227
|
69 440
|
96 050
|
309 321
|
353 389
|
405 161
|
489 967
|
597 039
|
588 627
|
|
| Inventory |
97 796
|
55 850
|
63 399
|
48 613
|
38 383
|
55 099
|
61 910
|
77 394
|
49 249
|
58 352
|
65 232
|
56 942
|
86 060
|
75 837
|
79 626
|
77 656
|
89 207
|
90 588
|
75 366
|
69 821
|
74 511
|
99 038
|
91 290
|
132 743
|
|
| Other Current Assets |
69 016
|
51 329
|
52 516
|
50 455
|
32 801
|
60 899
|
74 013
|
92 674
|
86 149
|
83 691
|
79 209
|
84 294
|
95 532
|
77 442
|
86 703
|
116 185
|
133 710
|
125 312
|
86 533
|
108 580
|
123 418
|
148 197
|
164 509
|
165 934
|
|
| Total Current Assets |
691 149
|
597 045
|
697 675
|
687 410
|
616 681
|
734 566
|
652 299
|
870 236
|
869 376
|
932 095
|
1 136 882
|
1 250 869
|
1 545 599
|
1 675 235
|
1 739 403
|
1 966 025
|
2 151 249
|
2 432 498
|
3 023 131
|
3 558 928
|
3 667 028
|
3 587 098
|
4 251 789
|
4 802 776
|
|
| PP&E Net |
1 951 255
|
1 688 395
|
1 519 777
|
1 412 685
|
1 409 856
|
1 500 605
|
1 617 529
|
1 952 059
|
1 941 047
|
1 872 820
|
1 883 727
|
1 829 957
|
2 138 008
|
2 541 099
|
2 485 728
|
2 428 445
|
2 437 196
|
2 546 181
|
2 785 101
|
2 889 757
|
2 973 150
|
2 989 656
|
3 212 106
|
3 295 378
|
|
| PP&E Gross |
1 951 255
|
1 688 395
|
1 519 777
|
1 412 685
|
1 409 856
|
1 500 605
|
1 617 529
|
1 952 059
|
1 941 047
|
1 872 820
|
1 883 727
|
1 829 957
|
2 138 008
|
2 541 099
|
2 485 728
|
2 428 445
|
2 437 196
|
2 546 181
|
2 785 101
|
2 889 757
|
2 973 150
|
2 989 656
|
3 212 106
|
3 295 378
|
|
| Accumulated Depreciation |
1 716 474
|
1 929 985
|
1 903 742
|
1 841 441
|
2 257 593
|
2 406 380
|
2 449 075
|
2 767 557
|
2 902 796
|
3 121 738
|
3 365 398
|
3 379 877
|
3 219 747
|
3 521 966
|
3 726 861
|
3 878 145
|
4 136 538
|
4 410 799
|
4 628 221
|
4 906 137
|
5 187 439
|
5 426 474
|
5 404 398
|
5 396 823
|
|
| Intangible Assets |
244 307
|
223 653
|
191 190
|
149 641
|
165 330
|
204 824
|
297 095
|
287 687
|
298 331
|
273 363
|
287 694
|
284 493
|
722 071
|
699 332
|
845 640
|
922 478
|
953 106
|
946 837
|
1 035 399
|
1 024 831
|
1 025 223
|
1 048 396
|
1 062 683
|
1 076 984
|
|
| Goodwill |
61 270
|
57 272
|
53 478
|
48 247
|
0
|
30 076
|
25 503
|
24 371
|
24 411
|
17 563
|
22 331
|
19 580
|
21 047
|
343 136
|
449 707
|
477 873
|
526 601
|
539 694
|
540 886
|
540 420
|
540 962
|
541 058
|
568 134
|
595 829
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
45 140
|
0
|
45 291
|
43 715
|
423 394
|
1 399 821
|
1 627 000
|
1 896 896
|
2 691 697
|
3 898 865
|
5 464 963
|
|
| Long-Term Investments |
73 061
|
63 057
|
46 319
|
42 979
|
90 306
|
95 607
|
70 596
|
64 696
|
465 406
|
430 967
|
438 614
|
430 175
|
133 263
|
120 358
|
143 297
|
235 140
|
292 144
|
382 036
|
711 975
|
779 277
|
855 210
|
911 750
|
1 087 834
|
1 499 964
|
|
| Other Long-Term Assets |
182 399
|
152 609
|
131 137
|
131 353
|
218 684
|
237 552
|
216 242
|
230 073
|
220 956
|
252 097
|
234 763
|
269 925
|
385 768
|
202 425
|
170 087
|
188 574
|
170 544
|
59 776
|
83 836
|
115 113
|
125 910
|
153 867
|
64 649
|
140 325
|
|
| Other Assets |
61 270
|
57 272
|
53 478
|
48 247
|
0
|
30 076
|
25 503
|
24 371
|
24 411
|
17 563
|
22 331
|
19 580
|
21 047
|
343 136
|
449 707
|
477 873
|
526 601
|
539 694
|
540 886
|
540 420
|
540 962
|
541 058
|
568 134
|
595 829
|
|
| Total Assets |
3 203 441
N/A
|
2 782 031
-13%
|
2 639 576
-5%
|
2 472 315
-6%
|
2 500 857
+1%
|
2 803 230
+12%
|
2 879 264
+3%
|
3 429 122
+19%
|
3 819 527
+11%
|
3 778 905
-1%
|
4 004 011
+6%
|
4 084 999
+2%
|
4 945 756
+21%
|
5 626 725
+14%
|
5 880 623
+5%
|
6 263 826
+7%
|
6 574 555
+5%
|
7 330 416
+11%
|
9 580 149
+31%
|
10 535 326
+10%
|
11 084 379
+5%
|
11 923 522
+8%
|
14 146 060
+19%
|
16 876 219
+19%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
109 159
|
76 058
|
81 369
|
54 735
|
87 054
|
143 043
|
77 169
|
61 837
|
66 553
|
65 598
|
90 661
|
82 753
|
87 232
|
99 884
|
0
|
119 258
|
142 758
|
146 015
|
147 637
|
142 163
|
176 843
|
974 329
|
1 096 045
|
1 264 479
|
|
| Accrued Liabilities |
36 751
|
32 576
|
30 352
|
23 466
|
27 810
|
29 598
|
29 964
|
31 501
|
35 125
|
33 772
|
40 447
|
43 764
|
55 503
|
101 344
|
81 671
|
84 822
|
83 747
|
87 041
|
115 477
|
115 527
|
88 637
|
108 253
|
127 375
|
137 648
|
|
| Short-Term Debt |
14 389
|
5 751
|
4 276
|
3 095
|
2 625
|
4 077
|
5 665
|
80 951
|
101 166
|
1 304
|
1 486
|
88 256
|
95 255
|
3 140
|
22 105
|
1 883
|
29 000
|
32 000
|
0
|
19 517
|
56 034
|
313 628
|
456 711
|
1 733 264
|
|
| Current Portion of Long-Term Debt |
388 919
|
275 488
|
277 043
|
224 648
|
244 130
|
255 781
|
93 541
|
60 710
|
111 941
|
138 799
|
184 112
|
176 436
|
233 466
|
167 318
|
99 606
|
80 286
|
325 242
|
145 333
|
264 168
|
185 650
|
343 190
|
381 249
|
331 475
|
370 520
|
|
| Other Current Liabilities |
394 202
|
206 110
|
257 406
|
296 834
|
233 802
|
402 064
|
400 785
|
475 112
|
422 137
|
367 798
|
523 944
|
485 986
|
577 480
|
818 504
|
670 184
|
795 242
|
857 053
|
967 412
|
2 486 456
|
3 053 526
|
3 351 249
|
3 660 644
|
4 855 281
|
5 550 733
|
|
| Total Current Liabilities |
943 420
|
595 983
|
650 446
|
602 778
|
595 421
|
834 563
|
607 124
|
710 111
|
736 922
|
607 271
|
840 650
|
877 195
|
1 048 936
|
1 190 190
|
958 548
|
1 081 491
|
1 437 800
|
1 377 801
|
3 013 738
|
3 516 383
|
4 015 953
|
4 636 176
|
5 967 762
|
8 060 329
|
|
| Long-Term Debt |
1 325 195
|
1 207 762
|
895 874
|
637 141
|
524 140
|
360 637
|
472 622
|
725 837
|
872 743
|
829 165
|
852 193
|
705 390
|
723 695
|
888 657
|
1 018 576
|
974 480
|
764 374
|
1 098 377
|
1 416 199
|
1 440 314
|
1 200 881
|
1 200 670
|
1 869 373
|
2 590 457
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
35 921
|
62 440
|
75 919
|
80 298
|
100 680
|
98 570
|
100 071
|
144 776
|
188 101
|
235 723
|
244 156
|
|
| Minority Interest |
10 606
|
14 212
|
19 857
|
13 229
|
16 797
|
20 712
|
31 902
|
39 278
|
59 117
|
67 002
|
66 749
|
72 994
|
193 558
|
158 974
|
238 214
|
294 710
|
357 554
|
429 440
|
474 684
|
499 749
|
528 077
|
542 370
|
543 864
|
522 500
|
|
| Other Liabilities |
67 139
|
69 366
|
64 007
|
56 976
|
68 969
|
70 920
|
83 792
|
111 849
|
131 413
|
170 633
|
182 541
|
179 051
|
256 136
|
288 945
|
294 203
|
282 803
|
160 826
|
140 626
|
192 534
|
219 089
|
212 106
|
227 916
|
275 976
|
330 705
|
|
| Total Liabilities |
2 346 360
N/A
|
1 887 323
-20%
|
1 630 184
-14%
|
1 310 124
-20%
|
1 205 327
-8%
|
1 286 832
+7%
|
1 195 440
-7%
|
1 587 075
+33%
|
1 800 195
+13%
|
1 674 071
-7%
|
1 942 133
+16%
|
1 834 630
-6%
|
2 222 325
+21%
|
2 562 687
+15%
|
2 571 981
+0%
|
2 709 403
+5%
|
2 800 852
+3%
|
3 146 924
+12%
|
5 195 725
+65%
|
5 775 606
+11%
|
6 101 793
+6%
|
6 795 233
+11%
|
8 892 698
+31%
|
11 748 147
+32%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 851
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
141 852
|
|
| Retained Earnings |
407 043
|
456 827
|
563 678
|
739 448
|
853 404
|
1 000 798
|
1 174 320
|
1 348 628
|
1 508 557
|
1 705 674
|
1 880 215
|
2 056 160
|
2 291 769
|
2 686 824
|
2 995 836
|
3 354 140
|
3 672 344
|
4 144 133
|
4 138 195
|
4 409 000
|
4 818 117
|
5 220 504
|
5 522 578
|
5 495 689
|
|
| Additional Paid In Capital |
304 189
|
304 189
|
304 189
|
304 189
|
305 676
|
367 271
|
367 266
|
367 091
|
367 091
|
367 091
|
367 104
|
367 144
|
385 942
|
369 722
|
368 245
|
298 046
|
289 578
|
284 409
|
280 591
|
278 675
|
279 371
|
279 371
|
310 587
|
259 047
|
|
| Unrealized Security Profit/Loss |
2 895
|
1 454
|
11 977
|
9 858
|
21 666
|
22 322
|
18 570
|
18 529
|
34 326
|
28 612
|
36 442
|
38 882
|
45 731
|
19 419
|
0
|
12 460
|
19 679
|
13 983
|
5 377
|
28 273
|
36 403
|
12 677
|
69 796
|
9 623
|
|
| Treasury Stock |
40
|
9 608
|
10 661
|
31 505
|
28 234
|
20 310
|
20 625
|
25 244
|
25 244
|
125 244
|
346 163
|
346 001
|
161 821
|
161 822
|
0
|
237 014
|
338 254
|
383 728
|
156 550
|
86 719
|
299 827
|
545 833
|
845 093
|
819 072
|
|
| Other Equity |
1 142
|
3
|
1 645
|
1 650
|
1 166
|
4 466
|
2 443
|
8 805
|
7 250
|
13 150
|
17 573
|
7 667
|
19 959
|
8 043
|
4 369
|
15 061
|
11 496
|
17 157
|
25 041
|
11 361
|
6 670
|
19 718
|
53 642
|
40 933
|
|
| Total Equity |
857 080
N/A
|
894 710
+4%
|
1 009 389
+13%
|
1 162 191
+15%
|
1 295 529
+11%
|
1 516 398
+17%
|
1 683 825
+11%
|
1 842 050
+9%
|
2 019 331
+10%
|
2 104 834
+4%
|
2 061 876
-2%
|
2 250 369
+9%
|
2 723 431
+21%
|
3 064 038
+13%
|
3 308 642
+8%
|
3 554 423
+7%
|
3 773 703
+6%
|
4 183 492
+11%
|
4 384 424
+5%
|
4 759 720
+9%
|
4 982 586
+5%
|
5 128 289
+3%
|
5 253 362
+2%
|
5 128 072
-2%
|
|
| Total Liabilities & Equity |
3 203 440
N/A
|
2 782 033
-13%
|
2 639 573
-5%
|
2 472 315
-6%
|
2 500 856
+1%
|
2 803 230
+12%
|
2 879 265
+3%
|
3 429 125
+19%
|
3 819 526
+11%
|
3 778 905
-1%
|
4 004 009
+6%
|
4 084 999
+2%
|
4 945 756
+21%
|
5 626 725
+14%
|
5 880 623
+5%
|
6 263 826
+7%
|
6 574 555
+5%
|
7 330 416
+11%
|
9 580 149
+31%
|
10 535 326
+10%
|
11 084 379
+5%
|
11 923 522
+8%
|
14 146 060
+19%
|
16 876 219
+19%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
5 089
|
5 059
|
5 057
|
5 013
|
5 245
|
5 355
|
5 354
|
5 345
|
5 345
|
5 095
|
4 586
|
4 587
|
5 010
|
5 010
|
4 979
|
4 916
|
4 811
|
4 702
|
4 600
|
4 551
|
4 430
|
4 314
|
4 165
|
3 978
|
|