Fast Retailing Co., Ltd. (FRA:FR70)
Germany flag Germany · Delayed Price · Currency is EUR
31.20
+0.20 (0.65%)
At close: Jan 30, 2026

Fast Retailing Balance Sheet

Millions JPY. Fiscal year is Sep - Aug.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Nov '25 Aug '25 Aug '24 Aug '23 Aug '22 Aug '21
Cash & Equivalents
923,697893,2391,193,560903,2801,358,2921,177,736
Short-Term Investments
1,059,881899,701470,554576,194123,44656,157
Cash & Short-Term Investments
1,983,5781,792,9401,664,1141,479,4741,481,7381,233,893
Cash Growth
20.49%7.74%12.48%-0.15%20.09%7.91%
Accounts Receivable
195,89587,25273,99756,66547,85042,141
Other Receivables
4,88517,19712,14233,82614,94611,397
Receivables
200,780104,44986,13990,49162,79653,538
Inventory
546,085510,958474,460449,254485,928394,868
Prepaid Expenses
-10,43512,484---
Other Current Assets
166,213109,033126,074157,476148,38942,375
Total Current Assets
2,896,6562,527,8152,363,2712,176,6952,178,8511,724,674
Property, Plant & Equipment
868,127809,462662,454611,060590,860558,714
Long-Term Investments
303,970343,799355,861259,337182,89785,358
Goodwill
8,0928,0928,0928,0928,0928,092
Other Intangible Assets
91,50391,60692,56887,30076,62166,939
Long-Term Deferred Tax Assets
26,88940,88932,43238,2088,50637,125
Other Long-Term Assets
91,17537,69072,887123,002137,93529,074
Total Assets
4,286,4123,859,3533,587,5653,303,6943,183,7622,509,976
Accounts Payable
508,604327,898340,570281,586299,934180,001
Short-Term Debt
-1,4501,1101,1191,76413,163
Current Portion of Long-Term Debt
-70,00030,000-130,000-
Current Portion of Leases
132,672126,830130,744126,992123,885117,083
Current Income Taxes Payable
62,46873,07265,52565,42877,16238,606
Other Current Liabilities
349,942312,041284,441254,135243,497232,159
Total Current Liabilities
1,053,686911,291852,390729,260876,242581,012
Long-Term Debt
140,975139,878209,825239,686239,589369,471
Long-Term Leases
416,764386,670347,318338,657356,840343,574
Long-Term Deferred Tax Liabilities
40,98822,53931,89667,03944,2589,860
Other Long-Term Liabilities
65,12671,47577,88355,69251,43143,762
Total Liabilities
1,717,5391,531,8531,519,3121,430,3341,568,3601,347,679
Common Stock
10,27310,27310,27310,27310,27310,273
Additional Paid-In Capital
31,31330,99829,71228,53127,83425,360
Retained Earnings
2,124,1092,056,4371,766,0731,498,3481,275,1021,054,791
Treasury Stock
-14,516-14,529-14,628-14,714-14,813-14,973
Comprehensive Income & Other
352,929189,936225,105298,967263,25641,033
Total Common Equity
2,504,1082,273,1152,016,5351,821,4051,561,6521,116,484
Minority Interest
64,76554,38551,71851,95553,75045,813
Shareholders' Equity
2,568,8732,327,5002,068,2531,873,3601,615,4021,162,297
Total Liabilities & Equity
4,286,4123,859,3533,587,5653,303,6943,183,7622,509,976
Total Debt
690,411724,828718,997706,454852,078843,291
Net Cash (Debt)
1,293,1671,068,112945,117773,020629,660390,602
Net Cash Growth
36.09%13.01%22.26%22.77%61.20%102.65%
Net Cash Per Share
4208.863476.393076.232516.842051.211272.85
Filing Date Shares Outstanding
306.83306.82306.73306.67306.59306.46
Total Common Shares Outstanding
306.83306.82306.73306.67306.57306.43
Working Capital
1,842,9701,616,5241,510,8811,447,4351,302,6091,143,662
Book Value Per Share
8161.237408.656574.335939.335093.963643.47
Tangible Book Value
2,404,5132,173,4171,915,8751,726,0131,476,9391,041,453
Tangible Book Value Per Share
7836.647083.716246.155628.274817.643398.62
Land
-4,3201,9841,9621,9621,962
Buildings
-531,833432,590402,375373,405324,579
Machinery
-183,173162,841152,338127,12684,346
Construction In Progress
-24,17926,0539,13911,57518,358
Source: S&P Global Market Intelligence. Standard template. Financial Sources.