Rengo Co Ltd
TSE:3941
Balance Sheet
Balance Sheet Decomposition
Rengo Co Ltd
Rengo Co Ltd
Balance Sheet
Rengo 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 |
11 177
|
10 233
|
9 293
|
8 573
|
7 503
|
7 578
|
6 947
|
10 304
|
15 468
|
18 559
|
16 250
|
22 817
|
23 147
|
20 277
|
21 405
|
28 402
|
28 108
|
31 022
|
40 014
|
52 380
|
60 308
|
72 532
|
117 588
|
80 563
|
|
| Cash Equivalents |
11 177
|
10 233
|
9 293
|
8 573
|
7 503
|
7 578
|
6 947
|
10 304
|
15 468
|
18 559
|
16 250
|
22 817
|
23 147
|
20 277
|
21 405
|
28 402
|
28 108
|
31 022
|
40 014
|
52 380
|
60 308
|
72 532
|
117 588
|
80 563
|
|
| Short-Term Investments |
152
|
71
|
69
|
75
|
19
|
28
|
0
|
0
|
0
|
2 200
|
2 150
|
0
|
346
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
100 399
|
87 497
|
92 046
|
97 862
|
99 913
|
108 031
|
113 691
|
111 449
|
120 472
|
125 382
|
139 677
|
139 578
|
141 078
|
141 780
|
148 133
|
162 498
|
184 499
|
194 026
|
191 563
|
196 536
|
213 965
|
241 924
|
270 426
|
269 250
|
|
| Accounts Receivables |
72 756
|
69 436
|
74 768
|
79 315
|
82 858
|
90 713
|
96 273
|
111 449
|
120 472
|
125 382
|
139 677
|
139 578
|
141 078
|
141 780
|
148 133
|
162 498
|
184 499
|
194 026
|
191 563
|
196 536
|
213 965
|
241 924
|
270 426
|
269 250
|
|
| Other Receivables |
27 643
|
18 061
|
17 278
|
18 547
|
17 055
|
17 318
|
17 418
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
22 261
|
21 514
|
22 317
|
22 057
|
22 578
|
23 501
|
27 359
|
25 167
|
24 544
|
26 805
|
28 940
|
29 243
|
33 100
|
37 093
|
36 034
|
39 835
|
45 914
|
48 905
|
49 959
|
51 807
|
66 236
|
87 253
|
85 103
|
104 673
|
|
| Other Current Assets |
6 597
|
9 267
|
11 413
|
7 233
|
6 082
|
7 787
|
6 597
|
7 786
|
11 146
|
9 114
|
9 149
|
11 013
|
10 951
|
9 796
|
8 925
|
10 286
|
6 541
|
6 181
|
8 191
|
8 253
|
9 704
|
11 855
|
11 079
|
14 995
|
|
| Total Current Assets |
140 586
|
128 582
|
135 138
|
135 800
|
136 095
|
146 925
|
154 594
|
154 706
|
171 630
|
182 060
|
196 166
|
202 651
|
208 622
|
209 446
|
214 497
|
241 021
|
265 062
|
280 134
|
289 727
|
308 976
|
350 213
|
413 564
|
484 196
|
469 481
|
|
| PP&E Net |
238 093
|
230 690
|
224 788
|
225 180
|
227 095
|
237 869
|
231 173
|
227 296
|
246 814
|
243 202
|
264 882
|
271 871
|
295 005
|
304 086
|
293 282
|
300 111
|
309 706
|
319 962
|
350 584
|
367 094
|
384 032
|
422 964
|
456 467
|
526 116
|
|
| PP&E Gross |
238 093
|
230 690
|
224 788
|
225 180
|
227 095
|
237 869
|
231 173
|
227 296
|
246 814
|
243 202
|
264 882
|
271 871
|
295 005
|
304 086
|
293 282
|
300 111
|
309 706
|
319 962
|
350 584
|
367 094
|
384 032
|
422 964
|
456 467
|
526 116
|
|
| Accumulated Depreciation |
309 362
|
319 008
|
329 231
|
335 400
|
348 301
|
358 550
|
367 633
|
383 068
|
421 081
|
430 985
|
451 281
|
461 689
|
475 156
|
489 025
|
495 317
|
523 360
|
536 190
|
554 894
|
588 051
|
624 589
|
697 914
|
743 244
|
779 725
|
878 504
|
|
| Intangible Assets |
3 150
|
3 358
|
3 379
|
3 637
|
4 029
|
5 215
|
5 913
|
6 209
|
6 354
|
5 954
|
6 352
|
6 408
|
6 575
|
7 196
|
6 355
|
14 266
|
14 098
|
13 351
|
17 152
|
16 117
|
16 109
|
21 265
|
21 333
|
20 947
|
|
| Goodwill |
10 253
|
5 434
|
3 291
|
2 752
|
2 385
|
2 149
|
1 972
|
2 406
|
1 809
|
2 407
|
2 941
|
2 951
|
5 848
|
3 980
|
2 564
|
11 530
|
9 723
|
9 079
|
21 273
|
19 157
|
18 806
|
27 215
|
27 075
|
26 751
|
|
| Note Receivable |
210
|
400
|
150
|
167
|
776
|
320
|
289
|
326
|
686
|
338
|
344
|
739
|
4 203
|
3 497
|
0
|
1 091
|
1 008
|
710
|
535
|
406
|
575
|
548
|
740
|
736
|
|
| Long-Term Investments |
48 194
|
39 467
|
48 276
|
49 739
|
70 151
|
73 135
|
66 415
|
51 304
|
61 487
|
55 417
|
64 256
|
78 595
|
94 414
|
119 951
|
118 184
|
127 818
|
138 400
|
136 304
|
130 968
|
147 376
|
153 220
|
153 878
|
167 391
|
180 238
|
|
| Other Long-Term Assets |
11 069
|
12 241
|
7 995
|
7 369
|
6 848
|
6 236
|
8 522
|
15 010
|
9 351
|
9 737
|
14 116
|
9 376
|
14 387
|
7 518
|
6 700
|
8 989
|
9 703
|
9 815
|
9 870
|
10 866
|
11 390
|
13 704
|
15 313
|
18 847
|
|
| Other Assets |
10 253
|
5 434
|
3 291
|
2 752
|
2 385
|
2 149
|
1 972
|
2 406
|
1 809
|
2 407
|
2 941
|
2 951
|
5 848
|
3 980
|
2 564
|
11 530
|
9 723
|
9 079
|
21 273
|
19 157
|
18 806
|
27 215
|
27 075
|
26 751
|
|
| Total Assets |
451 555
N/A
|
420 172
-7%
|
423 017
+1%
|
424 644
+0%
|
447 379
+5%
|
471 849
+5%
|
468 878
-1%
|
457 257
-2%
|
498 131
+9%
|
499 115
+0%
|
549 057
+10%
|
572 591
+4%
|
629 054
+10%
|
655 674
+4%
|
644 690
-2%
|
704 826
+9%
|
747 700
+6%
|
769 355
+3%
|
820 109
+7%
|
869 992
+6%
|
934 345
+7%
|
1 053 138
+13%
|
1 172 515
+11%
|
1 243 116
+6%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
36 327
|
36 827
|
38 950
|
41 168
|
48 442
|
53 765
|
60 270
|
62 622
|
67 435
|
71 488
|
80 840
|
78 860
|
86 331
|
82 975
|
86 356
|
95 166
|
111 837
|
124 231
|
110 888
|
112 897
|
129 484
|
143 950
|
152 857
|
155 252
|
|
| Accrued Liabilities |
0
|
13 733
|
14 897
|
15 640
|
15 789
|
15 574
|
15 219
|
15 705
|
16 870
|
18 076
|
19 336
|
21 638
|
20 887
|
19 491
|
19 742
|
21 137
|
23 201
|
25 080
|
25 037
|
27 000
|
29 050
|
34 002
|
38 226
|
39 381
|
|
| Short-Term Debt |
18 745
|
14 032
|
12 831
|
12 276
|
9 655
|
10 852
|
8 502
|
0
|
0
|
0
|
0
|
77 769
|
79 962
|
87 307
|
79 197
|
75 254
|
83 625
|
73 551
|
71 157
|
72 356
|
74 163
|
85 964
|
79 989
|
85 023
|
|
| Current Portion of Long-Term Debt |
117 709
|
112 274
|
92 841
|
85 000
|
91 870
|
109 152
|
102 774
|
95 657
|
94 816
|
103 354
|
109 454
|
27 649
|
29 714
|
30 187
|
42 026
|
42 504
|
40 377
|
37 921
|
47 887
|
45 080
|
48 340
|
63 456
|
62 353
|
78 945
|
|
| Other Current Liabilities |
29 980
|
13 544
|
18 672
|
23 465
|
21 210
|
24 105
|
21 366
|
24 618
|
29 589
|
25 525
|
32 671
|
27 124
|
32 501
|
23 632
|
23 978
|
31 249
|
29 783
|
29 494
|
37 800
|
37 414
|
29 765
|
40 859
|
58 855
|
52 878
|
|
| Total Current Liabilities |
202 761
|
190 410
|
178 191
|
177 549
|
186 966
|
213 448
|
208 131
|
198 602
|
208 710
|
218 443
|
242 301
|
233 040
|
249 395
|
243 592
|
251 299
|
265 310
|
288 823
|
290 277
|
292 769
|
294 747
|
310 802
|
368 231
|
392 280
|
411 479
|
|
| Long-Term Debt |
102 563
|
100 734
|
105 808
|
99 578
|
84 451
|
75 912
|
91 475
|
96 268
|
101 517
|
94 503
|
114 201
|
126 630
|
153 751
|
159 409
|
143 502
|
159 334
|
163 317
|
171 598
|
204 568
|
213 207
|
230 910
|
254 866
|
295 325
|
284 559
|
|
| Deferred Income Tax |
5 109
|
2 813
|
2 908
|
3 959
|
12 860
|
10 805
|
3 739
|
3 166
|
5 648
|
4 477
|
3 965
|
8 174
|
10 909
|
14 937
|
12 304
|
17 763
|
17 633
|
17 223
|
16 942
|
22 421
|
21 379
|
25 793
|
30 258
|
31 435
|
|
| Minority Interest |
10 516
|
5 095
|
4 217
|
4 865
|
5 060
|
5 371
|
5 161
|
4 603
|
4 541
|
6 217
|
6 592
|
7 398
|
5 299
|
6 037
|
5 771
|
7 268
|
7 565
|
10 749
|
10 565
|
11 136
|
12 379
|
12 937
|
13 684
|
36 276
|
|
| Other Liabilities |
24 832
|
26 409
|
27 832
|
25 542
|
23 432
|
20 722
|
18 152
|
18 442
|
18 330
|
16 078
|
17 659
|
16 615
|
13 341
|
15 346
|
15 852
|
20 909
|
15 347
|
15 560
|
17 010
|
15 154
|
16 965
|
18 516
|
15 674
|
15 399
|
|
| Total Liabilities |
345 781
N/A
|
325 461
-6%
|
318 956
-2%
|
311 493
-2%
|
312 769
+0%
|
326 258
+4%
|
326 658
+0%
|
321 081
-2%
|
338 746
+6%
|
339 718
+0%
|
384 718
+13%
|
391 857
+2%
|
432 695
+10%
|
439 321
+2%
|
428 728
-2%
|
470 584
+10%
|
492 685
+5%
|
505 407
+3%
|
541 854
+7%
|
556 665
+3%
|
592 435
+6%
|
680 343
+15%
|
747 221
+10%
|
779 148
+4%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
25 242
|
25 242
|
25 242
|
25 242
|
25 342
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
31 066
|
|
| Retained Earnings |
53 005
|
48 156
|
50 826
|
59 889
|
70 400
|
77 704
|
79 512
|
84 854
|
98 713
|
106 220
|
110 489
|
121 673
|
123 673
|
124 269
|
131 095
|
141 527
|
155 268
|
169 587
|
193 183
|
215 899
|
238 185
|
252 677
|
279 627
|
300 680
|
|
| Additional Paid In Capital |
20 895
|
21 647
|
21 647
|
21 653
|
21 747
|
27 442
|
27 442
|
27 442
|
33 997
|
33 997
|
33 997
|
33 997
|
33 997
|
33 997
|
34 051
|
34 290
|
33 586
|
33 657
|
33 388
|
33 731
|
33 358
|
33 597
|
33 663
|
34 776
|
|
| Unrealized Security Profit/Loss |
6 300
|
1 480
|
9 296
|
9 663
|
19 348
|
17 155
|
5 037
|
3 579
|
314
|
93
|
791
|
6 540
|
12 505
|
23 238
|
0
|
27 911
|
34 322
|
32 895
|
23 655
|
35 787
|
31 739
|
35 467
|
44 310
|
42 210
|
|
| Treasury Stock |
10
|
918
|
957
|
1 047
|
1 545
|
8 010
|
1 427
|
1 613
|
2 279
|
7 838
|
7 854
|
11 860
|
11 890
|
11 903
|
0
|
11 936
|
11 940
|
11 943
|
11 945
|
12 253
|
12 218
|
12 167
|
12 556
|
12 457
|
|
| Other Equity |
340
|
898
|
1 993
|
2 246
|
681
|
231
|
590
|
1 995
|
2 427
|
3 957
|
4 150
|
682
|
7 008
|
15 686
|
11 119
|
11 384
|
12 713
|
8 686
|
8 908
|
9 097
|
19 780
|
32 155
|
49 184
|
67 693
|
|
| Total Equity |
105 772
N/A
|
94 709
-10%
|
104 061
+10%
|
113 154
+9%
|
134 611
+19%
|
145 588
+8%
|
142 220
-2%
|
136 175
-4%
|
159 384
+17%
|
159 395
+0%
|
164 339
+3%
|
180 734
+10%
|
196 359
+9%
|
216 353
+10%
|
215 962
0%
|
234 242
+8%
|
255 015
+9%
|
263 948
+4%
|
278 255
+5%
|
313 327
+13%
|
341 910
+9%
|
372 795
+9%
|
425 294
+14%
|
463 968
+9%
|
|
| Total Liabilities & Equity |
451 553
N/A
|
420 170
-7%
|
423 017
+1%
|
424 647
+0%
|
447 380
+5%
|
471 846
+5%
|
468 878
-1%
|
457 256
-2%
|
498 130
+9%
|
499 113
+0%
|
549 057
+10%
|
572 591
+4%
|
629 054
+10%
|
655 674
+4%
|
644 690
-2%
|
704 826
+9%
|
747 700
+6%
|
769 355
+3%
|
820 109
+7%
|
869 992
+6%
|
934 345
+7%
|
1 053 138
+13%
|
1 172 515
+11%
|
1 243 116
+6%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
239
|
238
|
238
|
238
|
239
|
254
|
262
|
262
|
268
|
258
|
258
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
248
|
|