Taiheiyo Cement Corp
SWB:TIE
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T
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Taiheiyo Cement Corp
SWB:TIE
|
JP |
Balance Sheet
Balance Sheet Decomposition
Taiheiyo Cement Corp
Taiheiyo Cement Corp
Balance Sheet
Taiheiyo Cement 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 |
87 681
|
96 715
|
85 851
|
73 364
|
98 891
|
70 142
|
64 465
|
61 052
|
119 437
|
67 290
|
64 505
|
59 379
|
59 369
|
53 859
|
53 539
|
60 516
|
53 766
|
56 561
|
51 641
|
73 074
|
60 271
|
79 842
|
80 101
|
74 987
|
|
| Cash Equivalents |
87 681
|
96 715
|
85 851
|
73 364
|
98 891
|
70 142
|
64 465
|
61 052
|
119 437
|
67 290
|
64 505
|
59 379
|
59 369
|
53 859
|
53 539
|
60 516
|
53 766
|
56 561
|
51 641
|
73 074
|
60 271
|
79 842
|
80 101
|
74 987
|
|
| Total Receivables |
236 440
|
205 650
|
200 909
|
204 380
|
210 262
|
218 811
|
202 020
|
184 747
|
165 794
|
160 793
|
178 233
|
184 180
|
184 164
|
181 573
|
163 472
|
174 717
|
195 609
|
196 308
|
174 542
|
163 511
|
168 146
|
184 271
|
207 730
|
182 620
|
|
| Accounts Receivables |
212 139
|
182 574
|
185 717
|
187 482
|
193 909
|
205 079
|
188 134
|
170 660
|
151 831
|
148 254
|
165 872
|
172 749
|
174 677
|
176 021
|
160 454
|
170 821
|
192 145
|
192 887
|
171 253
|
160 954
|
166 225
|
182 812
|
206 385
|
180 429
|
|
| Other Receivables |
24 301
|
23 076
|
15 192
|
16 898
|
16 353
|
13 732
|
13 886
|
14 087
|
13 963
|
12 539
|
12 361
|
11 431
|
9 487
|
5 552
|
3 018
|
3 896
|
3 464
|
3 421
|
3 289
|
2 557
|
1 921
|
1 459
|
1 345
|
2 191
|
|
| Inventory |
72 001
|
69 095
|
66 218
|
67 811
|
73 995
|
80 412
|
86 018
|
95 657
|
76 257
|
68 594
|
68 073
|
67 163
|
69 556
|
74 022
|
75 296
|
75 965
|
73 337
|
76 720
|
78 282
|
75 373
|
94 188
|
138 372
|
123 176
|
127 845
|
|
| Other Current Assets |
18 284
|
15 452
|
11 088
|
20 686
|
19 072
|
22 158
|
25 341
|
24 199
|
38 863
|
26 256
|
23 685
|
19 984
|
25 215
|
20 527
|
16 611
|
21 697
|
10 563
|
11 718
|
14 037
|
15 375
|
17 945
|
27 923
|
19 282
|
20 279
|
|
| Total Current Assets |
414 406
|
386 912
|
364 066
|
366 241
|
402 220
|
391 523
|
377 844
|
365 655
|
400 351
|
322 933
|
334 496
|
330 706
|
338 304
|
329 981
|
308 918
|
332 895
|
333 275
|
341 307
|
318 502
|
327 333
|
340 550
|
430 408
|
430 289
|
405 731
|
|
| PP&E Net |
800 634
|
732 827
|
654 826
|
608 110
|
583 388
|
580 284
|
571 049
|
556 339
|
530 261
|
480 977
|
461 789
|
457 489
|
470 316
|
490 565
|
487 611
|
497 151
|
505 438
|
520 939
|
544 553
|
540 342
|
557 829
|
620 083
|
653 910
|
738 702
|
|
| PP&E Gross |
800 634
|
732 827
|
654 826
|
608 110
|
583 388
|
580 284
|
571 049
|
556 339
|
530 261
|
480 977
|
461 789
|
457 489
|
470 316
|
490 565
|
487 611
|
497 151
|
505 438
|
520 939
|
544 553
|
540 342
|
557 829
|
620 083
|
653 910
|
738 702
|
|
| Accumulated Depreciation |
1 020 917
|
1 042 969
|
959 240
|
965 131
|
973 437
|
982 683
|
997 894
|
1 002 500
|
1 038 312
|
1 030 087
|
1 047 460
|
1 056 862
|
1 091 152
|
1 117 607
|
1 073 718
|
1 120 797
|
1 141 883
|
1 160 133
|
1 181 243
|
1 185 407
|
1 219 920
|
1 277 088
|
1 351 188
|
1 385 890
|
|
| Intangible Assets |
29 584
|
30 761
|
29 053
|
27 088
|
27 487
|
25 339
|
27 820
|
37 049
|
35 993
|
31 095
|
29 617
|
30 275
|
31 338
|
32 539
|
37 487
|
34 251
|
32 261
|
30 554
|
29 635
|
28 033
|
27 486
|
39 665
|
38 980
|
46 951
|
|
| Goodwill |
26 193
|
23 157
|
21 910
|
19 971
|
20 105
|
19 725
|
22 679
|
21 343
|
17 998
|
15 607
|
12 343
|
11 303
|
10 890
|
9 297
|
6 432
|
3 409
|
777
|
321
|
179
|
159
|
80
|
101
|
103
|
64
|
|
| Note Receivable |
11 417
|
8 555
|
9 581
|
8 728
|
6 205
|
4 931
|
3 398
|
3 531
|
3 511
|
1 217
|
1 144
|
1 086
|
1 183
|
1 249
|
0
|
3 238
|
2 941
|
1 754
|
1 880
|
1 538
|
1 391
|
2 376
|
2 486
|
2 462
|
|
| Long-Term Investments |
162 302
|
145 559
|
159 375
|
158 715
|
180 110
|
183 365
|
152 647
|
103 153
|
102 955
|
86 185
|
78 574
|
85 128
|
98 890
|
113 747
|
115 443
|
84 781
|
86 834
|
83 692
|
82 931
|
91 926
|
118 359
|
117 839
|
132 313
|
135 374
|
|
| Other Long-Term Assets |
71 369
|
82 361
|
65 176
|
58 672
|
58 720
|
51 798
|
62 586
|
71 010
|
64 180
|
59 436
|
64 268
|
66 486
|
64 643
|
63 224
|
57 057
|
59 690
|
58 585
|
55 861
|
55 243
|
54 896
|
57 312
|
58 390
|
80 170
|
94 411
|
|
| Other Assets |
26 193
|
23 157
|
21 910
|
19 971
|
20 105
|
19 725
|
22 679
|
21 343
|
17 998
|
15 607
|
12 343
|
11 303
|
10 890
|
9 297
|
6 432
|
3 409
|
777
|
321
|
179
|
159
|
80
|
101
|
103
|
64
|
|
| Total Assets |
1 515 905
N/A
|
1 410 132
-7%
|
1 303 987
-8%
|
1 247 525
-4%
|
1 278 235
+2%
|
1 256 965
-2%
|
1 218 023
-3%
|
1 158 080
-5%
|
1 155 249
0%
|
997 450
-14%
|
982 231
-2%
|
982 473
+0%
|
1 015 564
+3%
|
1 040 602
+2%
|
1 014 075
-3%
|
1 015 415
+0%
|
1 020 111
+0%
|
1 034 428
+1%
|
1 032 923
0%
|
1 044 227
+1%
|
1 103 007
+6%
|
1 268 862
+15%
|
1 338 251
+5%
|
1 423 695
+6%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
144 270
|
119 399
|
116 286
|
117 476
|
119 987
|
116 751
|
109 114
|
100 877
|
82 958
|
78 757
|
84 300
|
85 010
|
83 691
|
85 036
|
73 893
|
79 676
|
95 783
|
104 991
|
88 760
|
81 340
|
88 436
|
95 775
|
112 452
|
89 931
|
|
| Accrued Liabilities |
6 964
|
6 185
|
5 483
|
5 871
|
6 362
|
6 890
|
7 099
|
5 766
|
5 249
|
4 159
|
4 402
|
4 718
|
5 538
|
5 642
|
5 723
|
5 742
|
6 021
|
6 046
|
6 158
|
6 265
|
6 246
|
5 677
|
6 502
|
7 302
|
|
| Short-Term Debt |
21 000
|
8 000
|
0
|
0
|
0
|
11 000
|
19 000
|
22 000
|
46 000
|
12 000
|
0
|
174 880
|
149 237
|
124 254
|
110 048
|
89 296
|
77 935
|
84 410
|
93 750
|
64 967
|
86 765
|
117 676
|
83 537
|
99 675
|
|
| Current Portion of Long-Term Debt |
415 786
|
451 882
|
381 297
|
353 200
|
390 496
|
283 632
|
285 331
|
281 487
|
335 447
|
305 030
|
282 076
|
111 358
|
79 500
|
79 942
|
50 823
|
56 252
|
90 281
|
64 971
|
45 667
|
58 643
|
43 685
|
79 654
|
69 713
|
88 549
|
|
| Other Current Liabilities |
79 786
|
72 902
|
63 305
|
70 855
|
77 081
|
80 346
|
68 161
|
74 137
|
83 808
|
72 926
|
77 402
|
86 625
|
90 882
|
82 943
|
80 742
|
77 944
|
90 526
|
88 972
|
79 436
|
93 616
|
84 636
|
87 002
|
95 899
|
102 897
|
|
| Total Current Liabilities |
667 806
|
658 368
|
566 371
|
547 402
|
593 926
|
498 619
|
488 705
|
484 267
|
553 462
|
472 872
|
448 180
|
462 591
|
408 848
|
377 817
|
321 229
|
308 910
|
360 546
|
349 390
|
313 771
|
304 831
|
309 768
|
385 784
|
368 103
|
388 354
|
|
| Long-Term Debt |
464 589
|
383 512
|
357 223
|
312 756
|
268 958
|
315 518
|
285 904
|
339 877
|
303 919
|
260 677
|
244 900
|
205 125
|
229 329
|
217 558
|
249 288
|
216 666
|
139 234
|
170 192
|
170 813
|
168 351
|
186 695
|
270 416
|
280 085
|
262 679
|
|
| Deferred Income Tax |
30 061
|
34 252
|
31 159
|
34 119
|
27 086
|
29 904
|
29 046
|
28 652
|
27 681
|
22 303
|
18 172
|
19 289
|
20 906
|
9 084
|
3 527
|
8 378
|
8 024
|
7 630
|
7 491
|
8 130
|
10 020
|
18 329
|
22 038
|
24 686
|
|
| Minority Interest |
29 621
|
27 887
|
29 107
|
29 867
|
35 768
|
36 646
|
37 701
|
36 284
|
34 999
|
26 378
|
26 529
|
28 399
|
33 055
|
44 845
|
38 787
|
38 215
|
37 058
|
35 935
|
36 563
|
35 899
|
34 181
|
33 899
|
33 174
|
34 455
|
|
| Other Liabilities |
111 164
|
98 911
|
97 949
|
86 647
|
83 112
|
83 291
|
86 778
|
85 247
|
81 997
|
76 060
|
74 835
|
75 642
|
83 169
|
88 653
|
82 958
|
81 427
|
79 981
|
56 571
|
67 607
|
56 094
|
51 725
|
65 476
|
71 641
|
71 852
|
|
| Total Liabilities |
1 303 241
N/A
|
1 202 930
-8%
|
1 081 809
-10%
|
1 010 791
-7%
|
1 008 850
0%
|
963 978
-4%
|
928 134
-4%
|
974 327
+5%
|
1 002 058
+3%
|
858 290
-14%
|
812 616
-5%
|
791 046
-3%
|
775 307
-2%
|
737 957
-5%
|
695 789
-6%
|
653 596
-6%
|
624 843
-4%
|
619 718
-1%
|
596 245
-4%
|
573 305
-4%
|
592 389
+3%
|
773 904
+31%
|
775 041
+0%
|
782 026
+1%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
69 499
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
86 174
|
|
| Retained Earnings |
70 439
|
74 610
|
88 769
|
101 337
|
105 973
|
126 127
|
142 923
|
89 743
|
52 753
|
81 598
|
85 041
|
91 174
|
121 212
|
158 939
|
188 731
|
228 914
|
260 016
|
294 265
|
326 086
|
365 593
|
384 154
|
342 880
|
379 125
|
417 460
|
|
| Additional Paid In Capital |
57 773
|
58 229
|
58 489
|
58 605
|
59 515
|
59 868
|
60 756
|
60 745
|
60 384
|
33 962
|
50 636
|
50 636
|
50 690
|
50 757
|
50 925
|
59 548
|
60 339
|
60 408
|
60 233
|
60 292
|
49 729
|
49 729
|
50 051
|
50 288
|
|
| Unrealized Security Profit/Loss |
14 138
|
9 906
|
21 776
|
24 740
|
32 890
|
28 422
|
12 975
|
6 944
|
8 621
|
4 320
|
5 695
|
7 731
|
9 336
|
11 203
|
0
|
14 895
|
15 998
|
13 707
|
11 691
|
17 327
|
16 634
|
15 648
|
21 172
|
22 388
|
|
| Treasury Stock |
4 582
|
3 636
|
3 043
|
2 723
|
1 752
|
1 669
|
1 689
|
1 702
|
960
|
918
|
916
|
934
|
936
|
934
|
0
|
10 911
|
10 947
|
16 081
|
16 098
|
26 113
|
13 766
|
13 738
|
17 942
|
22 131
|
|
| Other Equity |
5 397
|
1 406
|
13 312
|
14 725
|
3 260
|
10 741
|
5 424
|
41 476
|
37 109
|
49 302
|
57 015
|
43 354
|
26 219
|
3 494
|
15 985
|
16 801
|
16 312
|
23 763
|
31 408
|
32 351
|
12 307
|
14 265
|
44 630
|
87 490
|
|
| Total Equity |
212 664
N/A
|
207 202
-3%
|
222 178
+7%
|
236 733
+7%
|
269 385
+14%
|
292 988
+9%
|
289 888
-1%
|
183 753
-37%
|
153 188
-17%
|
139 159
-9%
|
169 615
+22%
|
191 427
+13%
|
240 257
+26%
|
302 645
+26%
|
318 286
+5%
|
361 819
+14%
|
395 268
+9%
|
414 710
+5%
|
436 678
+5%
|
470 922
+8%
|
510 618
+8%
|
494 958
-3%
|
563 210
+14%
|
641 669
+14%
|
|
| Total Liabilities & Equity |
1 515 905
N/A
|
1 410 132
-7%
|
1 303 987
-8%
|
1 247 524
-4%
|
1 278 235
+2%
|
1 256 966
-2%
|
1 218 022
-3%
|
1 158 080
-5%
|
1 155 246
0%
|
997 449
-14%
|
982 231
-2%
|
982 473
+0%
|
1 015 564
+3%
|
1 040 602
+2%
|
1 014 075
-3%
|
1 015 415
+0%
|
1 020 111
+0%
|
1 034 428
+1%
|
1 032 923
0%
|
1 044 227
+1%
|
1 103 007
+6%
|
1 268 862
+15%
|
1 338 251
+5%
|
1 423 695
+6%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
95
|
93
|
93
|
93
|
94
|
94
|
94
|
94
|
94
|
94
|
123
|
123
|
123
|
123
|
123
|
123
|
124
|
122
|
122
|
119
|
117
|
117
|
116
|
111
|
|