Keyence Corporation (FRA:KEE)
Germany flag Germany · Delayed Price · Currency is EUR
306.60
-13.40 (-4.19%)
At close: Jan 30, 2026

Keyence 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
507,115579,051406,065344,002396,165401,201
Short-Term Investments
826,897640,183726,710596,455608,406528,797
Cash & Short-Term Investments
1,334,0121,219,2341,132,775940,4571,004,571929,998
Cash Growth
13.62%7.63%20.45%-6.38%8.02%-1.50%
Receivables
340,263318,886306,143296,630247,363186,477
Inventory
87,87577,89277,61387,38962,07234,940
Other Current Assets
19,85616,57715,29611,6228,5636,808
Total Current Assets
1,782,0061,632,5891,531,8271,336,0981,322,5691,158,223
Property, Plant & Equipment
84,51176,92475,86967,30526,38023,806
Long-Term Investments
1,551,0511,555,4741,332,1761,222,636939,748817,021
Other Intangible Assets
31,3606,338---4,251
Long-Term Deferred Tax Assets
-17,8989,48012,56212,0056,571
Other Long-Term Assets
29,717115,44011,82823,3352
Total Assets
3,478,6453,289,2242,964,7922,650,4292,324,0372,009,874
Accounts Payable
16,65314,89013,72518,38115,91110,540
Accrued Expenses
17,09718,13416,84115,69714,36011,297
Current Income Taxes Payable
46,15791,48271,22981,71389,66751,344
Other Current Liabilities
51,58943,53443,56733,47026,61421,340
Total Current Liabilities
131,496168,040145,362149,261146,55294,521
Other Long-Term Liabilities
11,75712,63313,2379,5343,9022,509
Total Liabilities
143,253180,673158,599158,795150,45497,030
Common Stock
30,63730,63730,63730,63730,63730,637
Additional Paid-In Capital
30,54430,54130,54130,54130,54130,541
Retained Earnings
3,222,5673,020,5352,700,6992,403,8142,101,7791,846,924
Treasury Stock
-3,850-3,838-3,819-3,796-3,785-3,763
Comprehensive Income & Other
55,49430,67648,13530,43814,4118,505
Shareholders' Equity
3,335,3923,108,5512,806,1932,491,6342,173,5831,912,844
Total Liabilities & Equity
3,478,6453,289,2242,964,7922,650,4292,324,0372,009,874
Net Cash (Debt)
1,334,0121,219,2341,132,775940,4571,004,571929,998
Net Cash Growth
13.62%7.63%20.45%-6.38%8.02%-1.50%
Net Cash Per Share
5500.515027.244670.743877.764142.113834.62
Filing Date Shares Outstanding
242.53242.53242.53242.53242.53242.53
Total Common Shares Outstanding
242.53242.53242.53242.53242.53242.53
Working Capital
1,650,5101,464,5491,386,4651,186,8371,176,0171,063,702
Book Value Per Share
13752.7612817.4311570.7110273.688962.267887.15
Tangible Book Value
3,304,0323,102,2132,806,1932,491,6342,173,5831,908,593
Tangible Book Value Per Share
13623.4612791.2911570.7110273.688962.267869.63
Land
--35,66235,6627,060-
Buildings
--29,99126,66023,983-
Machinery
--61,76554,10046,640-
Updated Dec 20, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.