MediPal Holdings Corporation (FRA:59Z)
Germany flag Germany · Delayed Price · Currency is EUR
14.80
-0.20 (-1.33%)
Last updated: Jan 29, 2026, 5:15 PM CET

MediPal Holdings Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
276,633261,407230,154195,031243,150222,747
Short-Term Investments
--316-18,77018,770
Cash & Short-Term Investments
276,633261,407230,470195,031261,920241,517
Cash Growth
10.04%13.42%18.17%-25.54%8.45%6.72%
Accounts Receivable
816,255763,498757,955729,314710,993701,778
Other Receivables
-66,82666,51667,86563,69165,077
Receivables
816,255830,324824,471797,179774,684766,855
Inventory
190,503178,100172,030169,562159,279155,593
Other Current Assets
85,76912,91517,21917,50813,88310,148
Total Current Assets
1,369,1601,282,7461,244,1901,179,2801,209,7661,174,113
Property, Plant & Equipment
265,309268,564270,953268,363264,374261,588
Long-Term Investments
234,933228,769239,428216,842219,403231,483
Goodwill
12,52513,15011,62525,029--
Other Intangible Assets
25,69326,74827,3899,1879,97110,185
Long-Term Deferred Tax Assets
-4,8905,4315,0575,8462,451
Other Long-Term Assets
221222
Total Assets
1,907,6221,824,9841,799,1271,703,8711,709,4741,679,934
Accounts Payable
1,002,231932,474924,297890,966907,997900,014
Accrued Expenses
7,6167,8548,0357,8206,8227,031
Current Portion of Long-Term Debt
----30,078350
Current Income Taxes Payable
19,75713,32913,63012,15214,0597,539
Other Current Liabilities
58,37355,79061,75760,58149,86037,901
Total Current Liabilities
1,087,9771,009,4471,007,719971,5191,008,816952,835
Long-Term Debt
-----30,228
Pension & Post-Retirement Benefits
14,05116,05716,58316,90916,40116,446
Long-Term Deferred Tax Liabilities
-33,67134,88124,30226,53731,649
Other Long-Term Liabilities
39,4587,8643,3333,0878,6329,844
Total Liabilities
1,141,4861,067,0391,062,5161,015,8171,060,3861,041,002
Common Stock
22,39822,39822,39822,39822,39822,398
Additional Paid-In Capital
100,020100,01099,807101,597133,922134,361
Retained Earnings
477,279463,071439,315414,723385,611365,291
Treasury Stock
-28,569-22,193-21,254-26,288-58,612-58,611
Comprehensive Income & Other
52,55156,27860,08248,92746,98559,574
Total Common Equity
623,679619,564600,348561,357530,304523,013
Minority Interest
142,457138,381136,263126,697118,784115,919
Shareholders' Equity
766,136757,945736,611688,054649,088638,932
Total Liabilities & Equity
1,907,6221,824,9841,799,1271,703,8711,709,4741,679,934
Total Debt
----30,07830,578
Net Cash (Debt)
276,633261,407230,470195,031231,842210,939
Net Cash Growth
10.04%13.42%18.17%-15.88%9.91%9.85%
Net Cash Per Share
1333.841253.811088.23901.481039.08945.65
Filing Date Shares Outstanding
205.34207.49210.02213.82209.96209.96
Total Common Shares Outstanding
205.34207.95210.02209.96209.96209.96
Working Capital
281,183273,299236,471207,761200,950221,278
Book Value Per Share
3037.322979.392858.572673.622525.712490.98
Tangible Book Value
585,461579,666561,334527,141520,333512,828
Tangible Book Value Per Share
2851.202787.522672.802510.652478.222442.47
Source: S&P Global Market Intelligence. Standard template. Financial Sources.