CyberAgent, Inc. (FRA:CL2)
Germany flag Germany · Delayed Price · Currency is EUR
7.60
+0.05 (0.66%)
At close: Jan 30, 2026

CyberAgent Balance Sheet

Millions JPY. Fiscal year is Oct - Sep.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Sep '24 Sep '23 Sep '22 Sep '21
Cash & Equivalents
229,849210,041199,579165,907181,451
Cash & Short-Term Investments
229,849210,041199,579165,907181,451
Cash Growth
9.43%5.24%20.30%-8.57%77.25%
Receivables
104,76098,99599,74487,56093,747
Inventory
10,30411,5948,9774,2623,226
Other Current Assets
45,30238,00239,68034,11122,873
Total Current Assets
390,215358,632347,980291,840301,297
Property, Plant & Equipment
32,59527,27824,58618,97416,740
Long-Term Investments
66,44971,23360,72741,78728,756
Goodwill
13,89414,7787,0844,8434,957
Other Intangible Assets
42,86934,51926,47317,21121,485
Long-Term Deferred Tax Assets
9,9469,3328,1987,0288,454
Long-Term Deferred Charges
3848642142
Other Long-Term Assets
23232
Total Assets
557,162516,686475,222381,933382,225
Accounts Payable
81,74774,23571,59759,21256,055
Short-Term Debt
6006003,1422,3801,037
Current Portion of Long-Term Debt
-20,016-20,023-
Current Income Taxes Payable
51,09033,21224,65520,89447,458
Other Current Liabilities
44,35440,16334,82527,41036,164
Total Current Liabilities
177,791168,226134,219129,919140,714
Long-Term Debt
92,77186,161103,93923,85241,402
Long-Term Deferred Tax Liabilities
2,4462,8021,0403711,293
Other Long-Term Liabilities
8,4758,9947,5766,5475,026
Total Liabilities
281,483266,183246,774160,689188,435
Common Stock
7,6547,4407,3697,2397,203
Additional Paid-In Capital
12,37212,29612,21811,63611,198
Retained Earnings
146,260122,704113,986117,534100,442
Treasury Stock
-1-1-1-1-67
Comprehensive Income & Other
17,46715,8389,4807,93311,074
Total Common Equity
183,752158,277143,052144,341129,850
Minority Interest
91,92792,22685,39676,90363,940
Shareholders' Equity
275,679250,503228,448221,244193,790
Total Liabilities & Equity
557,162516,686475,222381,933382,225
Total Debt
93,371106,777107,08146,25542,439
Net Cash (Debt)
136,478103,26492,498119,652139,012
Net Cash Growth
32.16%11.64%-22.69%-13.93%128.13%
Net Cash Per Share
254.76188.51170.15224.63261.07
Filing Date Shares Outstanding
506.82506.37506.21505.93505.48
Total Common Shares Outstanding
506.78506.34506.19505.92505.45
Working Capital
212,424190,406213,761161,921160,583
Book Value Per Share
362.59312.59282.61285.30256.90
Tangible Book Value
126,989108,980109,495122,287103,408
Tangible Book Value Per Share
250.58215.23216.31241.71204.58
Source: S&P Global Market Intelligence. Standard template. Financial Sources.