Hitachi, Ltd. (FRA:HIAA)
Germany flag Germany · Delayed Price · Currency is EUR
29.20
+2.20 (8.15%)
Last updated: Jan 30, 2026, 8:21 AM CET

Hitachi Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
1,124,652866,242705,367833,283968,8271,015,886
Short-Term Investments
398,332318,421331,280346,916376,315328,153
Cash & Short-Term Investments
1,522,9841,184,6631,036,6471,180,1991,345,1421,344,039
Cash Growth
14.30%14.28%-12.16%-12.26%0.08%23.05%
Accounts Receivable
3,650,9063,496,3402,991,3162,874,9872,978,1492,734,476
Receivables
3,650,9063,496,3402,991,3162,874,9872,978,1492,734,476
Inventory
1,873,7251,566,2821,510,6471,646,1882,042,4321,653,395
Other Current Assets
504,856350,558315,987227,161233,708211,390
Total Current Assets
7,552,4716,597,8435,854,5975,928,5356,599,4315,943,300
Property, Plant & Equipment
1,534,2881,341,5371,221,8421,700,4712,478,9012,408,887
Long-Term Investments
1,163,8341,376,0891,309,0801,190,803996,007991,664
Goodwill
2,678,7902,486,8232,371,6782,165,3502,153,7061,161,210
Other Intangible Assets
1,242,8451,199,9961,178,7501,244,6881,257,128964,830
Long-Term Deferred Tax Assets
-282,525285,337271,567128,347143,126
Other Long-Term Assets
512,488---273,982225,071
Total Assets
14,684,71613,284,81312,221,28412,501,41413,887,50211,852,853
Accounts Payable
1,699,1831,572,7641,399,6991,548,4971,754,6331,515,954
Accrued Expenses
658,630736,286697,471720,961738,030698,553
Short-Term Debt
128,87173,14637,827777,6501,234,119416,635
Current Portion of Long-Term Debt
388,734368,818187,486141,861242,619181,122
Current Portion of Leases
----93,79993,270
Current Unearned Revenue
2,868,317---1,069,732933,844
Other Current Liabilities
1,228,3723,156,8312,480,1171,977,209721,134757,552
Total Current Liabilities
6,972,1075,907,8454,802,6005,166,1785,854,0664,596,930
Long-Term Debt
538,646764,152954,7091,293,8371,322,7541,480,446
Long-Term Leases
----233,421225,883
Pension & Post-Retirement Benefits
257,349247,497246,231323,264414,839433,954
Long-Term Deferred Tax Liabilities
-102,298112,127155,180173,244132,247
Other Long-Term Liabilities
362,490231,604246,014227,388533,901525,161
Total Liabilities
8,130,5927,253,3966,361,6817,165,8478,532,2257,394,621
Common Stock
466,666464,384463,417462,817461,731460,790
Additional Paid-In Capital
4,796---46,11984,040
Retained Earnings
4,787,3724,350,5034,084,7293,637,1843,197,7252,710,604
Treasury Stock
-307,858-8,587-4,991-3,539-3,002-3,493
Comprehensive Income & Other
1,405,4791,040,7911,160,550846,392639,263273,561
Total Common Equity
6,356,4555,847,0915,703,7054,942,8544,341,8363,525,502
Minority Interest
197,669184,326155,898392,7131,013,441932,730
Shareholders' Equity
6,554,1246,031,4175,859,6035,335,5675,355,2774,458,232
Total Liabilities & Equity
14,684,71613,284,81312,221,28412,501,41413,887,50211,852,853
Total Debt
1,056,2511,206,1161,180,0222,213,3483,126,7122,397,356
Net Cash (Debt)
466,733-21,453-143,375-1,033,149-1,781,570-1,053,317
Net Cash Per Share
102.34-4.66-30.81-217.70-368.22-217.76
Filing Date Shares Outstanding
4,5224,5774,6314,6884,8364,836
Total Common Shares Outstanding
4,5224,5784,6334,6884,8364,834
Working Capital
580,364689,9981,051,997762,357745,3651,346,370
Book Value Per Share
1405.561277.251231.081054.39897.78729.29
Tangible Book Value
2,434,8202,160,2722,153,2771,532,816931,0021,399,462
Tangible Book Value Per Share
538.40471.89464.76326.98192.51289.50
Land
----329,445359,702
Buildings
----1,852,8731,822,715
Machinery
----4,026,3353,857,799
Construction In Progress
----353,891305,835
Source: S&P Global Market Intelligence. Standard template. Financial Sources.