Asahi Kasei Corporation (FRA:ASAA)
Germany flag Germany · Delayed Price · Currency is EUR
8.02
+0.05 (0.68%)
At close: Jan 30, 2026

Asahi Kasei 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
377,540393,467338,108251,181244,641216,235
Short-Term Investments
-----5,544
Cash & Short-Term Investments
377,540393,467338,108251,181244,641221,779
Cash Growth
10.72%16.37%34.61%2.67%10.31%6.65%
Receivables
474,161487,609483,064440,125432,124336,415
Inventory
766,630719,330678,836642,553540,249481,451
Other Current Assets
177,937169,042150,029154,336117,19597,131
Total Current Assets
1,796,2681,769,4481,650,0371,488,1951,334,2091,136,776
Property, Plant & Equipment
912,208920,611853,289871,701805,215717,262
Long-Term Investments
309,471315,824302,921303,464312,305286,517
Goodwill
374,320389,640360,676368,089431,335351,921
Other Intangible Assets
525,476540,913394,052368,695405,508342,454
Long-Term Deferred Tax Assets
69,82469,21784,55745,91654,27621,116
Other Long-Term Assets
-----61,654
Total Assets
3,997,0994,015,2143,662,7303,454,5263,349,0752,918,941
Accounts Payable
186,923193,583213,252180,560178,092142,087
Accrued Expenses
180,031180,644151,577147,163146,275133,927
Short-Term Debt
159,612290,249261,091320,032352,491228,571
Current Portion of Long-Term Debt
10,00020,00030,00040,000--
Current Portion of Leases
8,3468,0497,8156,7662,224880
Current Income Taxes Payable
21,29318,66617,82717,49158,11521,268
Other Current Liabilities
248,946253,417233,010200,151186,653176,430
Total Current Liabilities
815,151964,608914,572912,163923,850703,163
Long-Term Debt
873,297847,209625,926579,424413,785430,404
Long-Term Leases
29,48729,53830,72928,5268,7153,921
Pension & Post-Retirement Benefits
119,110121,619133,434128,708152,081158,832
Long-Term Deferred Tax Liabilities
58,64655,60820,18427,76752,01758,669
Other Long-Term Liabilities
126,64882,68989,26081,92979,81269,418
Total Liabilities
2,022,3392,101,2711,814,1051,758,5171,630,2601,424,407
Common Stock
103,389103,389103,389103,389103,389103,389
Additional Paid-In Capital
80,31980,31980,27279,84179,88779,641
Retained Earnings
1,229,3761,191,0761,135,5331,142,3251,282,3251,158,792
Treasury Stock
-7,800-8,015-7,316-7,426-6,219-5,932
Comprehensive Income & Other
494,058492,651501,513342,793228,028131,586
Total Common Equity
1,899,3421,859,4201,813,3911,660,9221,687,4101,467,476
Minority Interest
75,41854,52335,23435,08731,40527,058
Shareholders' Equity
1,974,7601,913,9431,848,6251,696,0091,718,8151,494,534
Total Liabilities & Equity
3,997,0994,015,2143,662,7303,454,5263,349,0752,918,941
Total Debt
1,080,7421,195,045955,561974,748777,215663,776
Net Cash (Debt)
-703,202-801,578-617,453-723,567-532,574-441,997
Net Cash Per Share
-515.42-581.55-445.45-521.72-383.86-318.55
Filing Date Shares Outstanding
1,3581,3581,3861,3861,3871,388
Total Common Shares Outstanding
1,3581,3581,3861,3861,3871,388
Working Capital
981,117804,840735,465576,032410,359433,613
Book Value Per Share
1398.351369.161308.201198.301216.331057.61
Tangible Book Value
999,546928,8671,058,663924,138850,567773,101
Tangible Book Value Per Share
735.90683.96763.73666.73613.11557.18
Land
-----70,577
Buildings
-----598,675
Machinery
-----1,535,326
Construction In Progress
-----84,463
Order Backlog
-567,132520,357503,040533,264527,515
Source: S&P Global Market Intelligence. Standard template. Financial Sources.