K

Kawase Computer Supplies Co Ltd
TSE:7851

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Kawase Computer Supplies Co Ltd
TSE:7851
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Price: 199 JPY -1% Market Closed
Market Cap: ¥1B

Balance Sheet

Balance Sheet Decomposition
Kawase Computer Supplies Co Ltd

Balance Sheet
Kawase Computer Supplies 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
2 409
2 360
2 152
2 017
1 993
1 824
1 279
1 812
1 666
1 688
1 855
1 952
1 910
1 950
1 950
1 833
1 921
1 823
1 647
1 920
1 795
1 500
1 150
1 112
Cash Equivalents
2 409
2 360
2 152
2 017
1 993
1 824
1 279
1 812
1 666
1 688
1 855
1 952
1 910
1 950
1 950
1 833
1 921
1 823
1 647
1 920
1 795
1 500
1 150
1 112
Short-Term Investments
5
0
0
0
0
0
25
37
2
72
0
0
0
0
0
0
0
0
0
0
49
10
0
0
Total Receivables
886
793
692
727
754
707
605
507
555
524
648
508
549
475
531
506
490
459
382
413
372
417
348
400
Accounts Receivables
754
695
638
675
703
650
573
487
539
497
630
488
525
458
517
482
470
439
364
397
359
353
337
398
Other Receivables
132
98
55
52
52
57
32
20
17
27
18
20
24
17
14
24
20
20
18
16
13
64
12
2
Inventory
124
120
120
102
99
102
92
94
87
85
62
56
63
63
67
58
64
85
85
75
74
80
70
79
Other Current Assets
49
41
50
60
90
60
65
104
86
30
29
43
30
34
39
38
75
41
41
62
40
32
34
45
Total Current Assets
3 473
3 314
3 015
2 906
2 936
2 692
2 067
2 552
2 396
2 399
2 595
2 559
2 551
2 521
2 587
2 436
2 550
2 407
2 155
2 471
2 329
2 039
1 603
1 636
PP&E Net
1 587
1 473
1 370
1 327
1 239
1 638
2 226
1 723
1 758
1 617
1 460
1 361
1 316
1 205
1 085
1 113
1 043
986
664
680
656
1 175
996
904
PP&E Gross
1 587
1 473
1 370
1 327
1 239
1 638
2 226
1 723
1 758
1 617
1 460
1 361
1 316
1 205
1 085
1 113
1 043
986
664
680
656
1 175
996
904
Accumulated Depreciation
2 869
2 999
3 120
3 148
3 193
3 113
3 142
1 905
2 108
2 109
2 226
2 367
2 508
2 634
2 752
2 876
2 959
2 868
3 284
3 281
3 215
3 207
3 344
3 088
Intangible Assets
18
16
14
11
12
10
19
48
86
112
104
86
64
35
19
14
30
48
19
22
29
22
12
12
Note Receivable
19
23
33
33
6
11
11
4
4
3
3
2
2
2
0
2
2
2
2
2
2
2
2
2
Long-Term Investments
339
273
239
239
399
330
231
164
265
149
226
169
146
228
194
240
242
217
191
207
259
248
576
590
Other Long-Term Assets
679
632
564
581
579
598
590
684
331
341
361
378
434
471
389
402
355
363
374
237
223
238
261
278
Total Assets
6 114
N/A
5 730
-6%
5 234
-9%
5 097
-3%
5 170
+1%
5 278
+2%
5 143
-3%
5 175
+1%
4 839
-6%
4 620
-5%
4 748
+3%
4 555
-4%
4 512
-1%
4 461
-1%
4 276
-4%
4 206
-2%
4 222
+0%
4 022
-5%
3 406
-15%
3 618
+6%
3 498
-3%
3 723
+6%
3 449
-7%
3 422
-1%
Liabilities
Accounts Payable
430
363
361
202
243
260
181
178
160
163
209
156
182
163
224
199
180
174
147
157
140
139
116
135
Accrued Liabilities
91
91
69
80
87
89
87
79
107
95
107
89
86
82
67
64
56
59
58
61
63
63
126
111
Short-Term Debt
820
630
200
230
230
330
368
400
410
430
400
410
430
400
350
330
400
358
320
427
340
320
320
310
Current Portion of Long-Term Debt
30
30
60
21
19
17
19
18
47
48
50
57
57
56
54
30
16
17
41
40
37
101
102
99
Other Current Liabilities
84
81
101
89
121
79
119
99
63
53
128
78
112
130
71
75
102
96
77
96
170
220
82
59
Total Current Liabilities
1 454
1 195
792
623
699
775
774
774
788
789
893
789
866
831
765
698
753
704
643
780
750
843
746
713
Long-Term Debt
30
30
0
33
14
5
36
18
198
240
190
158
129
73
19
37
31
21
183
150
113
395
297
198
Deferred Income Tax
0
0
0
0
0
0
0
0
1
0
2
3
8
16
7
10
13
8
2
6
10
7
25
27
Other Liabilities
30
35
42
45
47
48
404
414
54
59
79
68
79
84
92
107
113
121
131
122
79
87
92
94
Total Liabilities
1 514
N/A
1 260
-17%
834
-34%
701
-16%
760
+8%
828
+9%
1 214
+47%
1 206
-1%
1 040
-14%
1 089
+5%
1 165
+7%
1 018
-13%
1 083
+6%
1 003
-7%
883
-12%
852
-4%
910
+7%
854
-6%
959
+12%
1 059
+10%
952
-10%
1 332
+40%
1 160
-13%
1 032
-11%
Equity
Common Stock
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
1 227
100
100
100
100
Retained Earnings
2 184
2 121
2 086
2 080
2 067
2 112
1 606
1 655
1 478
1 217
1 260
1 214
1 105
1 123
1 082
1 028
987
858
148
793
783
632
505
591
Additional Paid In Capital
1 171
1 171
1 171
1 171
1 171
1 172
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
1 173
622
1 749
1 749
1 749
1 749
Unrealized Security Profit/Loss
18
0
19
22
45
23
3
5
1
5
4
10
20
41
0
32
30
16
5
23
20
16
59
62
Treasury Stock
0
48
102
102
100
83
80
80
80
80
80
86
94
105
0
105
105
105
105
105
105
105
124
111
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Equity
4 600
N/A
4 470
-3%
4 400
-2%
4 397
0%
4 410
+0%
4 451
+1%
3 929
-12%
3 970
+1%
3 799
-4%
3 531
-7%
3 583
+1%
3 537
-1%
3 430
-3%
3 458
+1%
3 393
-2%
3 354
-1%
3 312
-1%
3 168
-4%
2 447
-23%
2 560
+5%
2 546
-1%
2 391
-6%
2 289
-4%
2 390
+4%
Total Liabilities & Equity
6 114
N/A
5 730
-6%
5 234
-9%
5 097
-3%
5 170
+1%
5 278
+2%
5 143
-3%
5 175
+1%
4 839
-6%
4 620
-5%
4 748
+3%
4 555
-4%
4 512
-1%
4 461
-1%
4 276
-4%
4 206
-2%
4 222
+0%
4 022
-5%
3 406
-15%
3 618
+6%
3 498
-3%
3 723
+6%
3 449
-7%
3 422
-1%
Shares Outstanding
Common Shares Outstanding
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
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