Mitsui Fudosan Co Ltd
XMUN:MFU
Balance Sheet
Balance Sheet Decomposition
Mitsui Fudosan Co Ltd
Mitsui Fudosan Co Ltd
Balance Sheet
Mitsui Fudosan 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 |
119 225
|
115 157
|
142 018
|
113 427
|
62 845
|
83 050
|
50 722
|
63 098
|
63 291
|
57 223
|
62 274
|
102 234
|
127 882
|
107 151
|
111 156
|
148 742
|
100 889
|
174 250
|
183 412
|
189 542
|
146 329
|
134 355
|
184 192
|
164 106
|
|
| Cash Equivalents |
119 225
|
115 157
|
142 018
|
113 427
|
62 845
|
83 050
|
50 722
|
63 098
|
63 291
|
57 223
|
62 274
|
102 234
|
127 882
|
107 151
|
111 156
|
148 742
|
100 889
|
174 250
|
183 412
|
189 542
|
146 329
|
134 355
|
184 192
|
164 106
|
|
| Short-Term Investments |
149
|
189
|
105
|
304
|
50
|
50
|
13 094
|
125
|
243
|
0
|
14
|
24
|
243
|
12 303
|
142
|
69
|
181
|
949
|
219
|
87
|
99
|
131
|
91
|
60
|
|
| Total Receivables |
58 406
|
55 508
|
39 584
|
37 538
|
34 331
|
44 190
|
42 195
|
38 069
|
32 497
|
34 306
|
35 280
|
39 744
|
44 274
|
45 089
|
44 664
|
41 258
|
58 293
|
63 163
|
57 151
|
57 980
|
77 604
|
87 379
|
89 366
|
86 954
|
|
| Accounts Receivables |
25 952
|
28 786
|
25 564
|
25 402
|
26 266
|
37 417
|
34 025
|
29 120
|
23 176
|
22 796
|
25 660
|
28 466
|
34 069
|
34 407
|
35 766
|
35 734
|
40 774
|
44 867
|
38 608
|
40 794
|
60 655
|
70 489
|
75 332
|
77 201
|
|
| Other Receivables |
32 454
|
26 722
|
14 020
|
12 136
|
8 065
|
6 773
|
8 170
|
8 949
|
9 321
|
11 510
|
9 620
|
11 278
|
10 205
|
10 682
|
8 898
|
5 524
|
17 519
|
18 296
|
18 543
|
17 186
|
16 949
|
16 890
|
14 034
|
9 753
|
|
| Inventory |
467 657
|
416 970
|
340 104
|
371 327
|
418 842
|
541 181
|
662 258
|
773 857
|
684 752
|
651 175
|
650 953
|
924 707
|
978 187
|
1 050 474
|
1 187 017
|
1 344 124
|
1 527 318
|
1 635 124
|
1 901 754
|
1 938 595
|
2 047 989
|
2 159 673
|
2 368 114
|
2 498 098
|
|
| Other Current Assets |
103 586
|
100 084
|
150 031
|
223 103
|
201 299
|
288 423
|
247 854
|
252 317
|
206 786
|
186 456
|
193 208
|
136 144
|
165 584
|
159 875
|
177 606
|
211 115
|
211 666
|
243 752
|
251 030
|
269 792
|
295 849
|
365 970
|
397 472
|
419 218
|
|
| Total Current Assets |
749 023
|
687 908
|
671 842
|
745 699
|
717 367
|
956 894
|
1 016 123
|
1 127 466
|
987 569
|
929 160
|
941 729
|
1 202 853
|
1 316 170
|
1 374 892
|
1 520 585
|
1 745 308
|
1 898 347
|
2 117 238
|
2 393 566
|
2 455 996
|
2 567 870
|
2 747 508
|
3 039 235
|
3 168 436
|
|
| PP&E Net |
1 662 769
|
1 652 337
|
1 620 779
|
1 615 618
|
1 642 349
|
1 691 084
|
1 931 592
|
2 018 583
|
2 074 946
|
2 221 842
|
2 269 956
|
2 464 041
|
2 467 642
|
2 721 519
|
2 902 171
|
2 905 156
|
3 244 641
|
3 430 326
|
3 677 609
|
3 717 166
|
3 841 825
|
4 206 453
|
4 300 499
|
4 584 366
|
|
| PP&E Gross |
1 662 769
|
1 652 337
|
1 620 779
|
1 615 618
|
1 642 349
|
1 691 084
|
1 931 592
|
2 018 583
|
2 074 946
|
2 221 842
|
2 269 956
|
2 464 041
|
2 467 642
|
2 721 519
|
2 902 171
|
2 905 156
|
3 244 641
|
3 430 326
|
3 677 609
|
3 717 166
|
3 841 825
|
4 206 453
|
4 300 499
|
4 584 366
|
|
| Accumulated Depreciation |
431 254
|
440 011
|
463 127
|
476 710
|
462 876
|
447 561
|
469 786
|
495 359
|
527 541
|
551 734
|
587 185
|
614 784
|
620 782
|
670 374
|
727 075
|
759 048
|
810 519
|
846 730
|
896 276
|
1 060 783
|
1 140 598
|
1 236 047
|
1 346 205
|
1 460 439
|
|
| Intangible Assets |
36 070
|
34 776
|
34 675
|
29 584
|
31 927
|
25 745
|
30 217
|
29 132
|
29 208
|
30 443
|
34 852
|
39 936
|
58 497
|
67 113
|
66 803
|
62 631
|
74 286
|
70 156
|
75 532
|
79 633
|
72 310
|
86 676
|
105 026
|
123 052
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 667
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
25 383
|
16 437
|
10 390
|
11 264
|
9 195
|
5 394
|
4 670
|
2 348
|
2 217
|
1 990
|
5 489
|
10 278
|
13 419
|
11 931
|
0
|
11 992
|
7 761
|
6 730
|
7 586
|
8 857
|
8 302
|
8 938
|
13 903
|
37 073
|
|
| Long-Term Investments |
206 910
|
202 234
|
262 763
|
235 813
|
317 090
|
357 281
|
390 418
|
343 523
|
392 744
|
377 519
|
397 647
|
465 879
|
495 726
|
700 697
|
667 832
|
627 800
|
787 958
|
872 686
|
888 056
|
1 049 085
|
1 217 008
|
1 258 125
|
1 469 467
|
1 334 510
|
|
| Other Long-Term Assets |
348 807
|
335 368
|
316 126
|
290 210
|
268 565
|
257 783
|
261 460
|
237 325
|
222 064
|
219 735
|
218 738
|
207 087
|
197 368
|
200 996
|
209 693
|
217 863
|
271 730
|
305 595
|
353 010
|
431 235
|
500 697
|
533 696
|
561 397
|
612 419
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 667
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
3 028 962
N/A
|
2 929 060
-3%
|
2 916 575
0%
|
2 928 188
+0%
|
2 986 493
+2%
|
3 294 181
+10%
|
3 634 480
+10%
|
3 758 377
+3%
|
3 710 415
-1%
|
3 780 689
+2%
|
3 868 411
+2%
|
4 390 074
+13%
|
4 548 822
+4%
|
5 077 148
+12%
|
5 374 277
+6%
|
5 570 750
+4%
|
6 284 723
+13%
|
6 802 731
+8%
|
7 395 359
+9%
|
7 741 972
+5%
|
8 208 012
+6%
|
8 841 396
+8%
|
9 489 527
+7%
|
9 859 856
+4%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
87 677
|
91 822
|
117 965
|
114 236
|
106 346
|
131 947
|
110 942
|
125 037
|
76 749
|
87 137
|
101 321
|
100 705
|
130 695
|
98 247
|
95 876
|
113 682
|
123 988
|
126 868
|
147 075
|
97 969
|
135 097
|
147 985
|
131 202
|
197 043
|
|
| Short-Term Debt |
37 000
|
18 000
|
37 000
|
29 000
|
36 000
|
16 000
|
53 000
|
13 000
|
24 000
|
24 000
|
37 000
|
54 085
|
28 565
|
47 295
|
182 854
|
146 944
|
195 523
|
169 326
|
219 309
|
138 712
|
161 044
|
231 289
|
297 672
|
362 993
|
|
| Current Portion of Long-Term Debt |
273 409
|
275 696
|
238 209
|
243 078
|
222 670
|
226 767
|
210 173
|
213 213
|
289 402
|
272 711
|
259 922
|
214 884
|
307 505
|
202 344
|
226 234
|
261 388
|
258 073
|
288 404
|
225 180
|
329 583
|
488 288
|
587 353
|
409 219
|
479 558
|
|
| Other Current Liabilities |
256 807
|
215 606
|
222 115
|
248 602
|
216 997
|
311 190
|
342 885
|
273 264
|
203 200
|
271 968
|
294 066
|
282 448
|
379 547
|
324 544
|
335 692
|
388 952
|
486 032
|
524 760
|
448 197
|
434 903
|
492 651
|
535 215
|
601 921
|
809 957
|
|
| Total Current Liabilities |
654 893
|
601 124
|
615 289
|
634 916
|
582 013
|
685 904
|
717 000
|
624 514
|
593 351
|
655 816
|
692 309
|
652 122
|
846 312
|
672 430
|
840 656
|
910 966
|
1 063 616
|
1 109 358
|
1 039 761
|
1 001 167
|
1 277 080
|
1 501 842
|
1 440 014
|
1 849 551
|
|
| Long-Term Debt |
1 150 117
|
1 103 514
|
1 046 291
|
1 006 971
|
940 621
|
1 015 658
|
1 287 247
|
1 507 345
|
1 433 316
|
1 443 336
|
1 446 489
|
1 858 594
|
1 709 523
|
1 731 677
|
1 831 675
|
1 893 632
|
2 165 017
|
2 463 099
|
3 051 949
|
3 173 426
|
3 063 776
|
3 374 945
|
3 862 328
|
3 786 281
|
|
| Deferred Income Tax |
175 967
|
179 040
|
197 117
|
204 491
|
222 600
|
237 995
|
216 499
|
188 445
|
218 612
|
212 421
|
200 600
|
234 640
|
249 909
|
299 807
|
264 368
|
260 351
|
286 221
|
306 485
|
299 330
|
364 068
|
390 486
|
377 822
|
387 216
|
329 653
|
|
| Minority Interest |
20 192
|
17 185
|
15 973
|
19 977
|
18 446
|
19 018
|
20 607
|
20 973
|
21 036
|
21 924
|
21 636
|
51 177
|
50 241
|
59 247
|
65 704
|
71 191
|
81 727
|
77 007
|
76 391
|
98 683
|
115 938
|
129 202
|
123 688
|
123 234
|
|
| Other Liabilities |
418 257
|
399 764
|
382 740
|
374 117
|
364 450
|
391 412
|
421 734
|
438 217
|
435 910
|
426 733
|
428 606
|
411 637
|
417 658
|
441 150
|
448 537
|
448 870
|
482 169
|
502 985
|
517 794
|
547 320
|
562 918
|
555 567
|
565 313
|
623 648
|
|
| Total Liabilities |
2 419 426
N/A
|
2 300 627
-5%
|
2 257 410
-2%
|
2 240 472
-1%
|
2 128 130
-5%
|
2 349 987
+10%
|
2 663 087
+13%
|
2 779 494
+4%
|
2 702 225
-3%
|
2 760 230
+2%
|
2 789 640
+1%
|
3 208 170
+15%
|
3 273 643
+2%
|
3 204 311
-2%
|
3 450 940
+8%
|
3 585 010
+4%
|
4 078 750
+14%
|
4 458 934
+9%
|
4 985 225
+12%
|
5 184 664
+4%
|
5 410 198
+4%
|
5 939 378
+10%
|
6 378 559
+7%
|
6 712 367
+5%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
134 433
|
134 433
|
134 433
|
134 433
|
174 296
|
174 296
|
174 296
|
174 296
|
174 296
|
174 296
|
174 296
|
174 296
|
174 296
|
339 766
|
339 766
|
339 766
|
339 766
|
339 766
|
339 766
|
339 897
|
340 162
|
340 552
|
341 000
|
341 800
|
|
| Retained Earnings |
137 026
|
155 390
|
167 890
|
155 097
|
199 706
|
218 682
|
278 834
|
332 553
|
302 031
|
332 855
|
364 464
|
402 952
|
455 573
|
550 574
|
641 235
|
723 466
|
835 587
|
963 438
|
1 071 693
|
1 261 137
|
1 391 851
|
1 500 863
|
1 659 701
|
1 782 833
|
|
| Additional Paid In Capital |
204 693
|
205 823
|
205 823
|
205 830
|
248 295
|
248 308
|
248 328
|
248 332
|
248 320
|
248 309
|
248 296
|
248 299
|
248 293
|
413 797
|
413 694
|
413 230
|
409 764
|
403 268
|
372 162
|
372 293
|
372 471
|
366 604
|
311 428
|
313 835
|
|
| Unrealized Security Profit/Loss |
153 499
|
158 837
|
184 544
|
216 973
|
254 520
|
319 422
|
290 303
|
264 856
|
323 250
|
313 236
|
344 464
|
395 077
|
407 823
|
553 304
|
0
|
529 348
|
629 219
|
665 148
|
650 298
|
597 559
|
665 953
|
621 850
|
647 168
|
476 482
|
|
| Treasury Stock |
102
|
1 039
|
979
|
1 360
|
2 147
|
3 125
|
4 333
|
5 002
|
5 189
|
5 396
|
5 385
|
5 533
|
5 926
|
6 065
|
0
|
6 244
|
6 079
|
21 088
|
14 364
|
5 920
|
21 582
|
38 354
|
7 256
|
12 210
|
|
| Other Equity |
20 013
|
25 010
|
32 545
|
23 255
|
16 308
|
13 389
|
16 033
|
36 149
|
34 519
|
42 840
|
47 363
|
33 187
|
4 880
|
21 461
|
3 081
|
13 826
|
2 284
|
6 735
|
9 421
|
7 658
|
48 959
|
110 503
|
158 927
|
244 749
|
|
| Total Equity |
609 536
N/A
|
628 434
+3%
|
659 166
+5%
|
687 718
+4%
|
858 362
+25%
|
944 194
+10%
|
971 395
+3%
|
978 886
+1%
|
1 008 189
+3%
|
1 020 460
+1%
|
1 078 772
+6%
|
1 181 904
+10%
|
1 275 179
+8%
|
1 872 837
+47%
|
1 923 337
+3%
|
1 985 740
+3%
|
2 205 973
+11%
|
2 343 797
+6%
|
2 410 134
+3%
|
2 557 308
+6%
|
2 797 814
+9%
|
2 902 018
+4%
|
3 110 968
+7%
|
3 147 489
+1%
|
|
| Total Liabilities & Equity |
3 028 962
N/A
|
2 929 061
-3%
|
2 916 576
0%
|
2 928 190
+0%
|
2 986 492
+2%
|
3 294 181
+10%
|
3 634 482
+10%
|
3 758 380
+3%
|
3 710 414
-1%
|
3 780 690
+2%
|
3 868 412
+2%
|
4 390 074
+13%
|
4 548 822
+4%
|
5 077 148
+12%
|
5 374 277
+6%
|
5 570 750
+4%
|
6 284 723
+13%
|
6 802 731
+8%
|
7 395 359
+9%
|
7 741 972
+5%
|
8 208 012
+6%
|
8 841 396
+8%
|
9 489 527
+7%
|
9 859 856
+4%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
812
|
822
|
822
|
822
|
880
|
879
|
879
|
879
|
878
|
878
|
878
|
878
|
878
|
988
|
988
|
988
|
988
|
982
|
971
|
2 886
|
2 852
|
2 801
|
2 802
|
2 772
|
|