Miura Co Ltd
TSE:6005

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Miura Co Ltd
TSE:6005
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Price: 3 111 JPY -0.29% Market Closed
Market Cap: 389.8B JPY

Balance Sheet

Balance Sheet Decomposition
Miura Co Ltd

Current Assets 180.4B
Cash & Short-Term Investments 67.3B
Receivables 66.5B
Other Current Assets 46.7B
Non-Current Assets 257.7B
Long-Term Investments 66.3B
PP&E 70.2B
Intangibles 118.4B
Other Non-Current Assets 2.8B
Current Liabilities 82.7B
Accounts Payable 21.6B
Other Current Liabilities 61.1B
Non-Current Liabilities 139.4B
Long-Term Debt 115.4B
Other Non-Current Liabilities 24B

Balance Sheet
Miura Co Ltd

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Balance Sheet
Currency: JPY
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
27 789
27 526
17 808
13 025
15 294
13 690
11 725
8 336
8 771
10 431
14 019
16 413
16 738
20 310
30 813
15 655
16 999
19 658
21 128
28 028
40 041
30 565
37 287
55 251
Cash Equivalents
27 789
27 526
17 808
13 025
15 294
13 690
11 725
8 336
8 771
10 431
14 019
16 413
16 738
20 310
30 813
15 655
16 999
19 658
21 128
28 028
40 041
30 565
37 287
55 251
Short-Term Investments
1 505
2 157
3 129
3 763
12 271
9 059
12 031
15 371
15 013
14 706
12 172
8 473
13 374
11 873
5 073
26 374
19 597
15 879
18 235
29 828
17 874
23 169
20 511
9 025
Total Receivables
17 300
16 767
16 555
18 539
19 869
22 121
20 036
19 316
18 360
18 240
21 435
21 614
23 937
25 021
25 571
31 197
40 066
41 474
42 743
38 628
42 681
41 575
47 934
71 061
Accounts Receivables
17 300
16 767
16 555
18 539
19 869
22 121
20 036
19 316
18 360
18 240
21 435
21 614
23 937
25 021
25 571
22 223
29 092
29 923
32 223
28 542
31 621
30 830
34 478
58 068
Other Receivables
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
8 974
10 974
11 551
10 520
10 086
11 060
10 745
13 456
12 993
Inventory
5 670
5 451
5 321
5 963
6 647
7 563
6 838
7 622
7 562
8 835
9 118
9 650
11 211
13 013
13 781
15 014
18 656
19 179
20 135
19 664
23 436
26 891
30 087
39 573
Other Current Assets
1 200
1 631
1 830
2 208
2 612
3 304
2 986
6 363
6 720
5 337
5 191
5 083
5 131
5 263
4 904
595
665
7 603
7 198
870
900
25 704
2 362
4 516
Total Current Assets
53 464
53 532
44 643
43 498
56 693
55 737
53 616
57 008
56 426
57 549
61 935
61 233
70 391
75 480
80 142
88 835
95 983
103 793
109 439
117 018
124 932
147 904
138 181
179 426
PP&E Net
17 920
18 129
18 512
20 240
22 043
27 272
27 829
25 179
27 465
27 275
28 315
32 034
35 126
39 275
39 286
36 168
39 645
40 499
48 749
48 847
48 978
46 199
47 526
70 482
PP&E Gross
17 920
18 129
18 512
20 240
22 043
27 272
27 829
25 179
27 465
27 275
28 315
32 034
35 126
39 275
39 286
36 168
39 645
40 499
48 749
48 847
48 978
46 199
47 526
70 482
Accumulated Depreciation
12 705
13 460
14 227
15 065
15 545
16 434
17 528
16 290
17 687
19 292
20 109
21 742
22 018
23 450
25 077
15 040
17 428
19 738
21 166
23 588
26 205
27 829
29 878
32 109
Intangible Assets
327
344
401
391
464
426
480
556
542
554
547
496
569
659
685
795
8 311
7 801
7 426
7 474
8 095
4 085
4 017
80 464
Goodwill
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
6 037
6 037
6 037
6 037
6 037
0
0
40 415
Note Receivable
15
0
0
85
35
0
69
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Long-Term Investments
2 597
2 369
12 718
18 456
10 306
5 736
5 702
8 799
10 072
10 425
10 096
10 796
9 823
11 072
13 467
11 134
12 910
10 607
10 972
13 895
27 658
28 804
49 288
64 528
Other Long-Term Assets
2 840
2 959
4 510
4 636
4 505
4 891
5 279
5 078
3 904
2 264
1 734
1 382
1 589
3 039
2 281
3 313
4 197
5 424
4 618
3 071
3 275
2 568
1 950
4 257
Other Assets
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
6 037
6 037
6 037
6 037
6 037
0
0
40 415
Total Assets
77 163
N/A
77 333
+0%
80 784
+4%
87 306
+8%
94 046
+8%
94 062
+0%
92 975
-1%
96 620
+4%
98 409
+2%
98 067
0%
102 627
+5%
105 941
+3%
117 498
+11%
129 525
+10%
135 861
+5%
140 245
+3%
167 083
+19%
174 161
+4%
187 241
+8%
196 342
+5%
218 975
+12%
229 560
+5%
240 962
+5%
439 572
+82%
Liabilities
Accounts Payable
1 642
1 789
1 873
2 167
2 274
2 585
2 088
1 924
1 935
2 060
2 303
2 206
2 784
3 201
3 499
3 772
9 446
10 912
11 127
8 506
10 526
6 119
6 995
14 055
Accrued Liabilities
1 590
2 321
2 641
2 775
2 881
2 981
1 743
2 426
2 858
2 598
3 372
3 280
4 043
3 522
3 709
9 629
10 643
11 778
10 784
10 889
12 281
11 635
13 975
15 854
Short-Term Debt
710
200
200
500
240
180
50
0
10
10
20
20
20
30
30
0
3 900
1 000
505
0
1 312
450
0
0
Current Portion of Long-Term Debt
0
0
0
0
8 700
0
0
9
5
9
0
0
0
7
7
5
661
776
3 040
2 889
3 345
2 961
2 611
11 463
Other Current Liabilities
8 923
8 705
9 435
10 666
11 061
13 219
10 686
11 877
12 072
11 295
13 599
13 518
15 656
17 038
19 039
17 153
19 032
19 746
20 797
21 881
24 342
35 006
30 963
44 237
Total Current Liabilities
12 865
13 015
14 149
16 108
25 156
18 965
14 567
16 236
16 880
15 972
19 294
19 024
22 503
23 798
26 284
30 559
43 682
44 212
46 253
44 165
51 806
56 171
54 544
85 609
Long-Term Debt
10 000
10 280
9 310
8 710
0
0
0
62
5
10
0
0
0
16
18
12
2 715
2 003
5 190
4 598
5 218
3 783
4 049
124 266
Deferred Income Tax
26
19
537
594
611
1 333
933
762
358
25
5
117
2
1 628
1 777
54
2 179
1 966
1 793
1 616
1 442
81
99
22 802
Minority Interest
50
53
50
55
67
22
24
14
15
13
10
14
18
21
258
203
241
35
33
51
39
564
819
1 572
Other Liabilities
815
813
823
756
781
975
866
606
607
626
698
771
2 816
865
738
732
784
682
700
465
453
613
755
1 176
Total Liabilities
23 756
N/A
24 180
+2%
24 869
+3%
26 223
+5%
26 615
+1%
21 295
-20%
16 390
-23%
17 680
+8%
17 865
+1%
16 646
-7%
20 007
+20%
19 926
0%
25 339
+27%
26 328
+4%
29 075
+10%
31 560
+9%
49 601
+57%
48 898
-1%
53 969
+10%
50 895
-6%
58 958
+16%
61 212
+4%
60 266
-2%
235 425
+291%
Equity
Common Stock
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
9 544
Retained Earnings
39 696
42 373
46 504
50 242
53 709
58 145
62 547
65 969
67 413
68 458
70 046
73 789
78 674
86 511
91 458
93 859
101 905
111 144
120 836
129 168
138 956
150 912
163 926
181 467
Additional Paid In Capital
9 871
9 871
9 873
9 915
10 108
10 097
10 093
10 088
10 088
10 088
10 088
10 088
10 088
10 088
10 097
10 406
10 489
10 772
10 800
10 839
12 393
12 403
12 445
21 345
Unrealized Security Profit/Loss
52
55
73
222
595
849
53
341
190
343
233
332
860
2 560
0
1 950
2 906
1 386
1 346
3 058
2 606
2 312
4 021
3 072
Treasury Stock
5 074
7 992
9 384
8 239
6 178
5 651
5 387
5 297
5 232
5 055
5 055
7 056
7 053
7 056
0
7 020
7 019
7 000
6 933
6 913
6 697
10 787
16 686
10 651
Other Equity
578
585
694
600
345
217
262
1 020
1 078
1 271
1 771
682
46
1 550
492
54
343
583
2 321
249
3 215
3 964
7 446
630
Total Equity
53 407
N/A
53 156
0%
55 916
+5%
61 084
+9%
67 433
+10%
72 767
+8%
76 588
+5%
78 943
+3%
80 545
+2%
81 421
+1%
82 619
+1%
86 015
+4%
92 159
+7%
103 197
+12%
106 786
+3%
108 685
+2%
117 482
+8%
125 263
+7%
133 272
+6%
145 447
+9%
160 017
+10%
168 348
+5%
180 696
+7%
204 147
+13%
Total Liabilities & Equity
77 163
N/A
77 336
+0%
80 785
+4%
87 307
+8%
94 048
+8%
94 062
+0%
92 978
-1%
96 623
+4%
98 410
+2%
98 067
0%
102 626
+5%
105 941
+3%
117 498
+11%
129 525
+10%
135 861
+5%
140 245
+3%
167 083
+19%
174 161
+4%
187 241
+8%
196 342
+5%
218 975
+12%
229 560
+5%
240 962
+5%
439 572
+82%
Shares Outstanding
Common Shares Outstanding
116
110
107
109
113
114
115
115
115
115
115
112
112
112
113
113
113
113
113
113
113
112
110
116