Furuya Metal Co Ltd
TSE:7826

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Furuya Metal Co Ltd Logo
Furuya Metal Co Ltd
TSE:7826
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Price: 3 350 JPY 3.08% Market Closed
Market Cap: 85.1B JPY

Balance Sheet

Balance Sheet Decomposition
Furuya Metal Co Ltd

Current Assets 99.7B
Cash & Short-Term Investments 13B
Receivables 4.1B
Other Current Assets 82.6B
Non-Current Assets 24.2B
Long-Term Investments 52m
PP&E 19.5B
Intangibles 3B
Other Non-Current Assets 1.6B
Current Liabilities 46.6B
Accounts Payable 22.3B
Accrued Liabilities 605m
Short-Term Debt 13.4B
Other Current Liabilities 10.2B
Non-Current Liabilities 12.8B
Long-Term Debt 11.3B
Other Non-Current Liabilities 1.5B

Balance Sheet
Furuya Metal Co Ltd

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Balance Sheet
Currency: JPY
Jun-2002 Jun-2003 Jun-2004 Jun-2005 Jun-2006 Jun-2007 Jun-2008 Jun-2009 Jun-2010 Jun-2011 Jun-2012 Jun-2013 Jun-2014 Jun-2015 Jun-2016 Jun-2017 Jun-2018 Jun-2019 Jun-2020 Jun-2021 Jun-2022 Jun-2023 Jun-2024 Jun-2025
Assets
Cash & Cash Equivalents
763
742
479
908
447
950
922
339
763
4 206
3 481
1 729
701
1 158
1 027
1 086
3 068
1 748
2 052
4 264
3 859
3 116
12 300
13 047
Cash Equivalents
763
742
479
908
447
950
922
339
763
4 206
3 481
1 729
701
1 158
1 027
1 086
3 068
1 748
2 052
4 264
3 859
3 116
12 300
13 047
Short-Term Investments
0
0
0
0
0
0
0
0
0
0
9
58
101
121
90
0
0
0
0
0
0
0
0
0
Total Receivables
1 969
1 119
1 386
1 198
2 646
3 456
4 850
2 873
6 279
4 151
2 809
2 797
3 600
3 427
2 079
3 256
3 920
3 094
3 523
8 036
6 987
6 933
6 792
4 092
Accounts Receivables
1 810
994
1 275
1 137
2 489
2 895
4 009
1 869
5 674
3 549
2 178
2 256
3 357
2 821
1 776
2 535
3 065
2 499
3 050
5 477
5 157
4 741
6 074
3 451
Other Receivables
159
125
111
61
157
561
841
1 004
605
602
631
541
243
606
303
721
855
595
473
2 559
1 830
2 192
718
641
Inventory
4 829
5 535
6 831
7 204
7 500
10 251
10 938
8 389
15 649
19 030
20 134
16 635
6 653
7 333
6 686
6 853
6 466
14 970
15 198
29 633
41 315
56 060
70 214
82 393
Other Current Assets
43
87
79
84
99
185
165
55
148
130
117
87
730
581
238
410
87
89
113
121
1 117
1 059
2 122
176
Total Current Assets
7 604
7 483
8 776
9 394
10 692
14 842
16 875
11 656
22 839
27 517
26 550
21 306
11 785
12 620
10 120
11 605
13 541
19 901
20 886
42 054
53 278
67 168
91 428
99 708
PP&E Net
1 701
2 065
1 910
2 327
2 169
3 962
5 700
5 246
5 063
6 049
6 462
6 451
8 482
7 840
7 770
7 416
7 697
8 970
10 077
12 062
17 402
17 025
17 213
19 477
PP&E Gross
1 701
2 065
1 910
2 327
2 169
3 962
5 700
5 246
5 063
6 049
6 462
6 451
8 482
7 840
7 770
7 416
7 697
8 970
10 077
12 062
17 402
17 025
17 213
19 477
Accumulated Depreciation
1 391
1 552
1 735
1 837
2 042
2 155
2 523
3 183
3 728
4 285
4 833
5 263
5 759
6 306
6 827
7 309
7 595
7 928
8 385
8 792
9 451
9 970
11 293
12 147
Intangible Assets
6
5
8
7
6
165
157
149
144
152
144
122
103
96
83
69
60
52
46
215
354
1 171
2 014
2 999
Long-Term Investments
700
696
438
416
134
117
141
140
39
36
65
124
123
123
74
78
37
28
27
20
18
20
44
52
Other Long-Term Assets
449
503
274
358
354
453
520
163
95
86
152
95
1 737
1 098
1 149
1 053
1 047
842
797
1 339
1 610
2 150
2 022
1 628
Total Assets
10 459
N/A
10 753
+3%
11 406
+6%
12 502
+10%
13 354
+7%
19 538
+46%
23 393
+20%
17 354
-26%
28 180
+62%
33 840
+20%
33 373
-1%
28 098
-16%
22 230
-21%
21 777
-2%
19 196
-12%
20 221
+5%
22 382
+11%
29 793
+33%
31 833
+7%
55 690
+75%
72 662
+30%
87 534
+20%
112 721
+29%
123 864
+10%
Liabilities
Accounts Payable
1 309
1 174
1 760
1 731
2 386
3 365
3 204
1 318
4 672
5 901
3 326
2 937
1 980
2 215
329
470
464
2 329
1 110
6 075
11 359
14 927
21 792
22 343
Accrued Liabilities
0
0
73
89
109
169
115
26
164
152
126
182
179
238
204
218
316
332
329
485
483
550
582
605
Short-Term Debt
3 704
3 065
1 500
2 200
1 700
2 800
4 000
6 180
9 000
1 700
3 000
2 000
800
0
0
300
0
8 000
2 600
5 700
8 200
12 700
12 700
13 400
Current Portion of Long-Term Debt
666
827
961
799
1 796
902
1 034
1 862
1 146
1 327
1 504
1 711
1 765
1 308
973
887
791
774
849
2 210
2 786
3 287
3 459
4 497
Other Current Liabilities
388
791
464
642
605
1 353
1 368
396
1 362
2 035
1 985
387
528
579
480
922
1 269
2 120
1 972
5 977
5 657
4 318
6 415
5 707
Total Current Liabilities
6 067
5 857
4 758
5 461
6 596
8 589
9 721
9 782
16 344
11 115
9 941
7 217
5 252
4 340
1 986
2 797
2 840
13 555
6 860
20 447
28 485
35 782
44 948
46 552
Long-Term Debt
1 491
1 542
2 941
2 636
1 840
2 888
3 953
2 381
2 688
3 158
3 386
2 842
2 119
1 675
1 416
1 302
1 300
1 264
9 452
5 581
6 264
6 087
5 894
11 293
Deferred Income Tax
0
0
0
0
0
0
0
0
250
171
0
8
0
0
0
0
0
0
0
0
0
0
0
0
Minority Interest
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
179
163
151
141
61
Other Liabilities
73
104
128
181
217
270
294
317
640
690
687
715
750
792
821
858
908
937
1 092
1 165
1 214
1 296
1 367
1 440
Total Liabilities
7 631
N/A
7 503
-2%
7 827
+4%
8 278
+6%
8 653
+5%
11 748
+36%
13 968
+19%
12 480
-11%
19 922
+60%
15 134
-24%
14 014
-7%
10 782
-23%
8 121
-25%
6 807
-16%
4 223
-38%
4 957
+17%
5 048
+2%
15 756
+212%
17 404
+10%
27 372
+57%
36 126
+32%
43 316
+20%
52 350
+21%
59 346
+13%
Equity
Common Stock
502
670
670
865
865
1 888
1 888
1 896
1 903
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
5 445
10 662
10 662
Retained Earnings
1 974
2 078
2 327
2 590
3 005
4 048
5 685
1 123
4 494
8 010
8 633
6 788
3 570
4 414
4 378
4 660
6 719
8 739
10 833
17 264
25 351
32 978
38 609
42 731
Additional Paid In Capital
472
635
635
834
834
1 857
1 857
1 865
1 872
5 414
5 414
5 414
5 414
5 414
5 414
5 414
5 414
5 414
5 414
7 030
7 056
7 070
12 313
12 348
Unrealized Security Profit/Loss
120
131
52
65
2
0
1
3
3
0
0
0
1
1
1
2
12
3
1
3
1
3
2
1
Treasury Stock
0
1
1
1
1
2
4
4
5
163
133
331
319
302
263
258
252
5 552
7 249
1 412
1 363
1 345
1 323
1 287
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1
4
12
15
12
46
67
108
63
Total Equity
2 828
N/A
3 250
+15%
3 579
+10%
4 223
+18%
4 701
+11%
7 791
+66%
9 425
+21%
4 877
-48%
8 261
+69%
18 706
+126%
19 359
+3%
17 316
-11%
14 109
-19%
14 970
+6%
14 973
+0%
15 264
+2%
17 334
+14%
14 037
-19%
14 429
+3%
28 318
+96%
36 536
+29%
44 218
+21%
60 371
+37%
64 518
+7%
Total Liabilities & Equity
10 459
N/A
10 753
+3%
11 406
+6%
12 502
+10%
13 354
+7%
19 538
+46%
23 393
+20%
17 357
-26%
28 183
+62%
33 840
+20%
33 373
-1%
28 098
-16%
22 230
-21%
21 777
-2%
19 196
-12%
20 221
+5%
22 382
+11%
29 793
+33%
31 833
+7%
55 690
+75%
72 662
+30%
87 534
+20%
112 721
+29%
123 864
+10%
Shares Outstanding
Common Shares Outstanding
6
6
6
6
6
6
6
6
6
7
7
7
7
7
7
7
7
6
6
7
21
21
25
25