Kobe Bussan Co., Ltd. (FRA:59G)
Germany flag Germany · Delayed Price · Currency is EUR
20.40
-0.80 (-3.77%)
Last updated: Jan 27, 2026, 10:30 AM CET

Kobe Bussan Balance Sheet

Millions JPY. Fiscal year is Nov - Oct.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Oct '25 Oct '24 Oct '23 Oct '22 Oct '21
Cash & Equivalents
130,498107,27292,59067,04057,799
Short-Term Investments
496--2,000-
Cash & Short-Term Investments
130,994107,27292,59069,04057,799
Cash Growth
22.11%15.86%34.11%19.45%-17.21%
Receivables
30,22427,93726,92223,24719,822
Inventory
19,84921,82818,82419,72814,663
Other Current Assets
3,8394,0523,3053,9963,578
Total Current Assets
184,906161,089141,641116,01195,862
Property, Plant & Equipment
66,22064,81464,19558,11254,493
Long-Term Investments
83,6842,1932,4102,381
Goodwill
48325271217
Other Intangible Assets
1,2481,2521,5021,029867
Long-Term Deferred Tax Assets
2,7221,9791,7441,5641,470
Other Long-Term Assets
4,2952222
Total Assets
260,193233,392211,891180,275156,737
Accounts Payable
38,02134,66532,23129,16725,158
Accrued Expenses
577516473414354
Short-Term Debt
3,1156,8651,3178,21715,155
Current Portion of Leases
-1221
Current Income Taxes Payable
10,1485,5434,5626,0265,194
Other Current Liabilities
7,5099,33910,4724,1615,185
Total Current Liabilities
59,37056,92949,05747,98751,047
Long-Term Debt
27,01930,13537,00026,31719,534
Long-Term Leases
--134
Pension & Post-Retirement Benefits
856734688650713
Long-Term Deferred Tax Liabilities
51828161120117
Other Long-Term Liabilities
11,03012,79210,5337,9797,103
Total Liabilities
98,793100,61897,44083,05678,518
Common Stock
500500500500500
Additional Paid-In Capital
14,31013,21412,13710,4669,581
Retained Earnings
152,165125,381108,79793,06176,592
Treasury Stock
-8,911-8,990-9,087-8,953-9,135
Comprehensive Income & Other
3,3362,6692,1042,145681
Total Common Equity
161,400132,774114,45197,21978,219
Shareholders' Equity
161,400132,774114,45197,21978,219
Total Liabilities & Equity
260,193233,392211,891180,275156,737
Total Debt
30,13437,00138,32034,53934,694
Net Cash (Debt)
100,86070,27154,27034,50123,105
Net Cash Growth
43.53%29.48%57.30%49.32%12.63%
Net Cash Per Share
452.78315.95244.18155.46104.39
Filing Date Shares Outstanding
221.72221.23220.71219.31218.01
Total Common Shares Outstanding
221.72221.23220.63219.11218.01
Working Capital
125,536104,16092,58468,02444,815
Book Value Per Share
727.96600.17518.74443.70358.78
Tangible Book Value
159,669131,270112,94296,17877,335
Tangible Book Value Per Share
720.15593.37511.90438.95354.73
Land
23,686----
Buildings
31,978----
Machinery
48,431----
Construction In Progress
2,173----
Source: S&P Global Market Intelligence. Standard template. Financial Sources.