Mazda Motor Corp
TSE:7261
Balance Sheet
Balance Sheet Decomposition
Mazda Motor Corp
Mazda Motor Corp
Balance Sheet
Mazda Motor 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 |
228 679
|
278 072
|
282 333
|
218 959
|
208 765
|
133 566
|
120 961
|
181 428
|
271 074
|
170 228
|
228 442
|
301 133
|
328 154
|
377 923
|
457 655
|
398 101
|
395 863
|
469 952
|
521 960
|
591 101
|
669 390
|
628 098
|
818 563
|
1 001 379
|
|
| Cash Equivalents |
228 679
|
278 072
|
282 333
|
218 959
|
208 765
|
133 566
|
120 961
|
181 428
|
271 074
|
170 228
|
228 442
|
301 133
|
328 154
|
377 923
|
457 655
|
398 101
|
395 863
|
469 952
|
521 960
|
591 101
|
669 390
|
628 098
|
818 563
|
1 001 379
|
|
| Short-Term Investments |
0
|
0
|
0
|
0
|
0
|
114 003
|
103 003
|
39 318
|
94 683
|
152 630
|
249 874
|
144 871
|
152 738
|
151 364
|
141 200
|
128 900
|
219 300
|
232 700
|
47 000
|
147 900
|
71 000
|
89 000
|
104 000
|
206 000
|
|
| Total Receivables |
108 303
|
125 995
|
137 639
|
133 980
|
157 481
|
170 142
|
199 240
|
129 619
|
170 226
|
152 772
|
164 551
|
170 768
|
179 696
|
214 398
|
198 213
|
214 970
|
220 504
|
191 649
|
168 037
|
165 730
|
144 323
|
165 348
|
161 859
|
148 334
|
|
| Accounts Receivables |
108 303
|
125 995
|
137 639
|
133 980
|
157 481
|
170 142
|
199 240
|
129 619
|
170 226
|
152 772
|
164 551
|
170 768
|
179 696
|
214 398
|
198 213
|
214 970
|
220 504
|
191 649
|
168 037
|
165 730
|
144 323
|
165 348
|
161 859
|
148 334
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inventory |
257 073
|
237 663
|
268 317
|
253 869
|
256 652
|
282 432
|
287 716
|
214 388
|
210 872
|
197 011
|
216 190
|
265 687
|
323 677
|
379 502
|
383 515
|
376 951
|
399 787
|
428 536
|
441 305
|
433 049
|
399 923
|
670 904
|
680 452
|
659 157
|
|
| Other Current Assets |
131 088
|
104 019
|
131 438
|
160 788
|
152 747
|
155 782
|
184 392
|
161 924
|
150 382
|
147 788
|
130 640
|
145 018
|
148 262
|
191 241
|
213 124
|
223 449
|
125 956
|
143 241
|
136 310
|
151 815
|
173 177
|
170 814
|
228 155
|
212 782
|
|
| Total Current Assets |
725 143
|
745 749
|
819 727
|
767 596
|
775 645
|
855 925
|
895 312
|
726 677
|
897 237
|
820 429
|
989 697
|
1 027 477
|
1 132 527
|
1 314 428
|
1 393 707
|
1 342 371
|
1 361 410
|
1 466 078
|
1 314 612
|
1 489 595
|
1 457 813
|
1 724 164
|
1 993 029
|
2 227 652
|
|
| PP&E Net |
817 289
|
793 498
|
785 919
|
824 247
|
830 501
|
857 154
|
898 368
|
877 401
|
825 571
|
786 221
|
784 236
|
784 391
|
865 957
|
943 024
|
937 520
|
959 325
|
971 422
|
1 010 556
|
1 072 514
|
1 075 168
|
1 146 716
|
1 164 606
|
1 192 875
|
1 222 770
|
|
| Intangible Assets |
16 021
|
18 025
|
20 520
|
23 020
|
24 792
|
5 888
|
33 951
|
27 078
|
23 351
|
20 104
|
20 736
|
20 457
|
22 826
|
29 361
|
30 738
|
33 242
|
35 862
|
36 226
|
40 097
|
42 914
|
48 358
|
54 614
|
62 727
|
70 079
|
|
| Goodwill |
1 964
|
810
|
579
|
347
|
0
|
22 983
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
28 009
|
23 073
|
15 937
|
8 017
|
6 265
|
6 063
|
6 293
|
6 004
|
5 813
|
5 255
|
5 411
|
5 552
|
6 551
|
0
|
0
|
3 599
|
1 433
|
5 351
|
6 807
|
1 861
|
0
|
0
|
18 592
|
346
|
|
| Long-Term Investments |
44 819
|
46 463
|
50 202
|
57 409
|
87 012
|
98 146
|
92 050
|
72 281
|
84 739
|
89 123
|
92 834
|
120 282
|
148 103
|
133 976
|
136 063
|
147 438
|
210 605
|
216 328
|
214 000
|
203 432
|
222 192
|
214 895
|
304 378
|
271 063
|
|
| Other Long-Term Assets |
101 650
|
126 399
|
102 689
|
87 210
|
64 444
|
61 596
|
59 592
|
91 540
|
111 058
|
50 635
|
23 029
|
20 408
|
70 072
|
46 462
|
46 064
|
38 577
|
143 360
|
143 074
|
139 610
|
104 444
|
93 069
|
100 972
|
220 167
|
298 171
|
|
| Other Assets |
1 964
|
810
|
579
|
347
|
0
|
22 983
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
1 734 895
N/A
|
1 754 017
+1%
|
1 795 573
+2%
|
1 767 846
-2%
|
1 788 659
+1%
|
1 907 755
+7%
|
1 985 566
+4%
|
1 800 981
-9%
|
1 947 769
+8%
|
1 771 767
-9%
|
1 915 943
+8%
|
1 978 567
+3%
|
2 246 036
+14%
|
2 473 287
+10%
|
2 548 401
+3%
|
2 524 552
-1%
|
2 724 092
+8%
|
2 877 613
+6%
|
2 787 640
-3%
|
2 917 414
+5%
|
2 968 148
+2%
|
3 259 251
+10%
|
3 791 768
+16%
|
4 090 081
+8%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
257 510
|
241 097
|
284 536
|
290 476
|
307 217
|
300 577
|
336 731
|
176 504
|
271 118
|
208 111
|
244 405
|
279 642
|
331 678
|
379 358
|
374 637
|
388 880
|
417 589
|
432 669
|
364 784
|
363 679
|
345 443
|
480 975
|
435 290
|
473 851
|
|
| Accrued Liabilities |
129 747
|
142 271
|
155 022
|
185 568
|
187 096
|
219 367
|
203 540
|
158 575
|
153 336
|
123 883
|
119 346
|
145 706
|
155 781
|
173 992
|
168 799
|
189 249
|
203 396
|
232 768
|
225 227
|
238 099
|
244 683
|
298 212
|
403 325
|
452 394
|
|
| Short-Term Debt |
271 926
|
214 637
|
186 880
|
100 555
|
82 134
|
70 340
|
69 851
|
127 219
|
80 836
|
79 447
|
65 842
|
97 833
|
105 283
|
116 677
|
117 143
|
124 454
|
101 844
|
124 484
|
121 364
|
1 608
|
1 526
|
1 460
|
30 304
|
32 300
|
|
| Current Portion of Long-Term Debt |
65 099
|
106 458
|
120 022
|
113 247
|
62 573
|
63 495
|
66 024
|
61 613
|
85 009
|
125 804
|
94 241
|
104 270
|
109 715
|
96 132
|
143 044
|
92 122
|
76 541
|
51 103
|
41 614
|
15 805
|
67 605
|
207 501
|
122 448
|
120 531
|
|
| Other Current Liabilities |
195 764
|
206 202
|
192 156
|
187 382
|
197 843
|
211 457
|
168 789
|
92 651
|
86 292
|
105 072
|
98 965
|
131 461
|
109 616
|
137 900
|
202 847
|
201 324
|
196 894
|
182 057
|
179 954
|
188 459
|
239 676
|
273 072
|
414 250
|
422 317
|
|
| Total Current Liabilities |
920 046
|
910 665
|
938 616
|
877 228
|
836 863
|
865 236
|
844 935
|
616 562
|
676 591
|
642 317
|
622 799
|
758 912
|
812 073
|
904 059
|
1 006 470
|
996 029
|
996 264
|
1 023 081
|
932 943
|
807 650
|
898 933
|
1 261 220
|
1 405 617
|
1 501 393
|
|
| Long-Term Debt |
349 293
|
357 110
|
323 458
|
314 343
|
310 702
|
340 849
|
369 104
|
564 523
|
556 283
|
487 749
|
618 002
|
516 880
|
527 737
|
488 210
|
356 945
|
274 858
|
319 508
|
431 464
|
456 890
|
738 515
|
611 676
|
418 167
|
425 256
|
571 393
|
|
| Deferred Income Tax |
93 971
|
90 832
|
91 113
|
91 132
|
93 713
|
93 773
|
93 740
|
93 729
|
93 680
|
93 431
|
79 774
|
75 209
|
75 195
|
68 134
|
64 719
|
64 715
|
64 553
|
64 553
|
64 553
|
64 537
|
64 537
|
64 434
|
64 345
|
66 246
|
|
| Minority Interest |
8 055
|
6 475
|
8 332
|
8 026
|
9 184
|
6 412
|
1 755
|
1 272
|
1 461
|
1 267
|
5 316
|
16 908
|
16 115
|
21 731
|
22 707
|
24 526
|
26 362
|
29 924
|
30 609
|
13 718
|
15 117
|
16 728
|
19 322
|
17 349
|
|
| Other Liabilities |
190 693
|
194 864
|
211 449
|
209 302
|
140 173
|
128 012
|
123 633
|
111 436
|
111 400
|
117 731
|
120 939
|
114 340
|
154 194
|
121 558
|
143 544
|
124 912
|
124 297
|
125 074
|
127 408
|
110 882
|
76 305
|
58 629
|
139 172
|
141 020
|
|
| Total Liabilities |
1 562 058
N/A
|
1 559 946
0%
|
1 572 968
+1%
|
1 500 031
-5%
|
1 390 635
-7%
|
1 434 282
+3%
|
1 433 167
0%
|
1 387 522
-3%
|
1 439 415
+4%
|
1 342 495
-7%
|
1 446 830
+8%
|
1 482 249
+2%
|
1 585 314
+7%
|
1 603 692
+1%
|
1 594 385
-1%
|
1 485 040
-7%
|
1 530 984
+3%
|
1 674 096
+9%
|
1 612 403
-4%
|
1 735 302
+8%
|
1 666 568
-4%
|
1 819 178
+9%
|
2 053 712
+13%
|
2 297 401
+12%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
120 078
|
120 078
|
120 078
|
120 295
|
148 360
|
149 513
|
150 068
|
150 068
|
186 500
|
186 500
|
258 957
|
258 957
|
258 957
|
258 957
|
258 957
|
258 957
|
283 957
|
283 957
|
283 957
|
283 957
|
283 957
|
283 957
|
283 957
|
283 957
|
|
| Retained Earnings |
128 565
|
107 742
|
78 220
|
34 581
|
24 005
|
90 091
|
167 541
|
87 214
|
80 713
|
15 542
|
88 456
|
46 293
|
89 424
|
248 094
|
367 601
|
445 444
|
537 039
|
563 159
|
553 283
|
509 166
|
581 898
|
699 706
|
876 100
|
952 032
|
|
| Additional Paid In Capital |
104 216
|
104 216
|
104 217
|
104 435
|
132 385
|
133 393
|
133 838
|
133 760
|
170 192
|
170 192
|
242 649
|
242 649
|
242 649
|
242 650
|
243 048
|
239 909
|
264 910
|
264 913
|
264 917
|
263 028
|
263 003
|
263 035
|
263 007
|
263 059
|
|
| Unrealized Security Profit/Loss |
125 298
|
129 745
|
131 898
|
131 317
|
136 657
|
137 131
|
136 593
|
136 192
|
136 291
|
135 627
|
142 948
|
135 974
|
136 693
|
146 267
|
0
|
149 857
|
154 360
|
149 582
|
147 805
|
161 538
|
175 243
|
165 545
|
222 506
|
185 834
|
|
| Treasury Stock |
312
|
912
|
1 455
|
2 197
|
2 311
|
3 338
|
4 549
|
22 976
|
2 182
|
2 189
|
2 190
|
2 192
|
2 204
|
2 222
|
0
|
2 231
|
2 230
|
2 215
|
2 186
|
2 187
|
2 100
|
1 995
|
1 873
|
1 576
|
|
| Other Equity |
47 878
|
51 314
|
53 913
|
51 454
|
41 072
|
33 320
|
31 092
|
70 799
|
63 160
|
76 400
|
84 795
|
92 777
|
64 797
|
24 151
|
63 035
|
52 424
|
44 928
|
55 879
|
72 539
|
33 390
|
421
|
29 825
|
94 359
|
109 374
|
|
| Total Equity |
172 837
N/A
|
194 071
+12%
|
222 605
+15%
|
267 815
+20%
|
398 024
+49%
|
473 470
+19%
|
552 399
+17%
|
413 459
-25%
|
508 354
+23%
|
429 272
-16%
|
469 113
+9%
|
496 318
+6%
|
660 722
+33%
|
869 595
+32%
|
954 016
+10%
|
1 039 512
+9%
|
1 193 108
+15%
|
1 203 517
+1%
|
1 175 237
-2%
|
1 182 112
+1%
|
1 301 580
+10%
|
1 440 073
+11%
|
1 738 056
+21%
|
1 792 680
+3%
|
|
| Total Liabilities & Equity |
1 734 895
N/A
|
1 754 017
+1%
|
1 795 573
+2%
|
1 767 846
-2%
|
1 788 659
+1%
|
1 907 752
+7%
|
1 985 566
+4%
|
1 800 981
-9%
|
1 947 769
+8%
|
1 771 767
-9%
|
1 915 943
+8%
|
1 978 567
+3%
|
2 246 036
+14%
|
2 473 287
+10%
|
2 548 401
+3%
|
2 524 552
-1%
|
2 724 092
+8%
|
2 877 613
+6%
|
2 787 640
-3%
|
2 917 414
+5%
|
2 968 148
+2%
|
3 259 251
+10%
|
3 791 768
+16%
|
4 090 081
+8%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
244
|
244
|
243
|
243
|
280
|
281
|
282
|
262
|
354
|
354
|
598
|
598
|
598
|
598
|
598
|
598
|
630
|
630
|
630
|
630
|
630
|
630
|
630
|
630
|
|