Hirose Electric Co.,Ltd. (FRA:HRO)
Germany flag Germany · Delayed Price · Currency is EUR
88.50
+0.50 (0.57%)
At close: Jan 30, 2026

Hirose Electric 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
84,02485,66690,34188,02968,39457,837
Cash & Short-Term Investments
84,02485,66690,34188,02968,39457,837
Cash Growth
-1.92%-5.17%2.63%28.71%18.25%14.39%
Accounts Receivable
48,11040,39439,41841,93143,42736,620
Receivables
48,11040,39439,41841,93143,42736,620
Inventory
25,88925,09124,35927,73521,69516,915
Other Current Assets
87,93497,62580,34298,963147,307136,675
Total Current Assets
245,957248,776234,460256,658280,823248,047
Property, Plant & Equipment
94,58991,32186,58269,07266,05765,539
Long-Term Investments
76,71867,86374,85868,44941,43051,108
Other Intangible Assets
7,2116,6155,1414,2123,7043,295
Long-Term Deferred Tax Assets
2,4722,2912,4092,9662,7692,515
Total Assets
426,947416,866403,450401,357394,783370,504
Accounts Payable
14,02012,89611,72920,79623,81119,511
Current Portion of Leases
1,1351,0481,1071,070867821
Current Income Taxes Payable
5,5128,1392,4978,2058,0296,532
Current Unearned Revenue
-2722222222
Other Current Liabilities
9,6566,9545,8436,9946,2115,126
Total Current Liabilities
30,32329,06421,19837,08738,94032,012
Long-Term Leases
4,1994,1534,8194,4094,1013,581
Pension & Post-Retirement Benefits
377304310290227320
Long-Term Deferred Tax Liabilities
13,37712,08712,1138,8588,5137,616
Other Long-Term Liabilities
1,3001,111837860933883
Total Liabilities
49,57646,71939,27751,50452,71444,412
Common Stock
9,4049,4049,4049,4049,4049,404
Additional Paid-In Capital
11,32611,22411,18311,19111,25011,230
Retained Earnings
356,206348,972340,806345,201338,818317,265
Treasury Stock
-34,030-27,462-35,807-39,840-36,306-21,874
Comprehensive Income & Other
34,46528,00938,58723,89718,90310,067
Shareholders' Equity
377,371370,147364,173349,853342,069326,092
Total Liabilities & Equity
426,947416,866403,450401,357394,783370,504
Total Debt
5,3345,2015,9265,4794,9684,402
Net Cash (Debt)
78,69080,46584,41582,55063,42653,435
Net Cash Growth
-1.66%-4.68%2.26%30.15%18.70%15.99%
Net Cash Per Share
2327.182378.232462.082387.011785.891473.09
Filing Date Shares Outstanding
33.4933.0833.8234.4334.4235.34
Total Common Shares Outstanding
33.4933.0833.8334.4335.3636.28
Working Capital
215,634219,712213,262219,571241,883216,035
Book Value Per Share
11268.2611190.8310764.5410161.909675.068987.04
Tangible Book Value
370,160363,532359,032345,641338,365322,797
Tangible Book Value Per Share
11052.9410990.8410612.5810039.569570.308896.23
Order Backlog
-42,80041,13950,47869,35331,390
Source: S&P Global Market Intelligence. Standard template. Financial Sources.