Internet Initiative Japan Inc. (FRA:IIJ)
Germany flag Germany · Delayed Price · Currency is EUR
26.20
0.00 (0.00%)
At close: Jan 30, 2026

Internet Initiative Japan 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
37,29832,53445,47442,47247,39042,466
Cash & Short-Term Investments
37,29832,53445,47442,47247,39042,466
Cash Growth
10.79%-28.46%7.07%-10.38%11.59%9.81%
Receivables
51,60556,36145,68341,34037,64934,799
Inventory
6,4124,6813,2273,1882,6082,171
Prepaid Expenses
33,99828,12220,08415,34113,55310,598
Other Current Assets
9,3928,4975,4214,3373,2853,370
Total Current Assets
138,705130,195119,889106,678104,48593,404
Property, Plant & Equipment
82,56079,52770,31469,99662,71967,792
Long-Term Investments
75,66871,13354,53542,84438,51436,400
Goodwill
10,45210,30710,3289,8599,4796,082
Other Intangible Assets
21,61621,02118,35716,61616,42416,954
Long-Term Deferred Tax Assets
259252290200182143
Other Long-Term Assets
----22
Total Assets
329,260312,435273,713246,193231,805220,777
Accounts Payable
32,19930,23825,43522,31320,74119,243
Short-Term Debt
35,58633,57026,57014,77014,87013,390
Current Portion of Long-Term Debt
-463,5632,0581,5005,170
Current Income Taxes Payable
5,0865,2055,3284,0345,7953,012
Current Unearned Revenue
763656796579
Other Current Liabilities
51,37244,22037,40634,61033,80632,365
Total Current Liabilities
124,319113,31598,35877,86476,77773,259
Long-Term Debt
--473,6025,5007,000
Pension & Post-Retirement Benefits
9874,8494,9914,5134,3944,168
Long-Term Deferred Tax Liabilities
1,4211,4741,483610640225
Other Long-Term Liabilities
52,81450,71141,80240,30239,87545,154
Total Liabilities
179,541170,349146,681126,891127,186129,806
Common Stock
25,66325,57725,56225,56225,56125,530
Additional Paid-In Capital
35,72835,86535,73736,73836,51836,388
Retained Earnings
87,29379,88565,61651,07737,02325,046
Treasury Stock
-11,755-11,910-12,027-1,831-1,850-1,874
Comprehensive Income & Other
11,44811,26610,8636,5716,2754,866
Total Common Equity
148,377140,683125,751118,117103,52789,956
Minority Interest
1,3421,4031,2811,1851,0921,015
Shareholders' Equity
149,719142,086127,032119,302104,61990,971
Total Liabilities & Equity
329,260312,435273,713246,193231,805220,777
Total Debt
35,58633,61630,18020,43021,87025,560
Net Cash (Debt)
1,712-1,08215,29422,04225,52016,906
Net Cash Growth
-67.51%--30.61%-13.63%50.95%54.80%
Net Cash Per Share
9.62-6.0985.78121.39140.6493.25
Filing Date Shares Outstanding
177.26176.99176.89176.81180.7180.56
Total Common Shares Outstanding
177.26176.92176.81180.7180.63180.41
Working Capital
14,38616,88021,53128,81427,70820,145
Book Value Per Share
837.05795.19711.22653.67573.16498.62
Tangible Book Value
116,309109,35597,06691,64277,62466,920
Tangible Book Value Per Share
656.14618.12548.98507.16429.75370.93
Order Backlog
-115,443108,89382,75772,79262,894
Source: S&P Global Market Intelligence. Standard template. Financial Sources.