Keisei Electric Railway Co., Ltd. (FRA:KEI)
Germany flag Germany · Delayed Price · Currency is EUR
6.55
-0.10 (-1.50%)
Last updated: Jan 28, 2026, 8:07 AM CET

Keisei Electric Railway 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
44,47351,52982,45934,60725,51329,133
Cash & Short-Term Investments
44,47351,52982,45934,60725,51329,133
Cash Growth
-27.86%-37.51%138.27%35.64%-12.43%7.56%
Receivables
33,38632,32031,72628,40924,71821,490
Inventory
22,28218,67514,61212,72310,96013,572
Other Current Assets
17,23416,56015,36814,42111,96115,350
Total Current Assets
117,375119,084144,16590,16073,15279,545
Property, Plant & Equipment
724,008704,321659,935635,573587,008578,812
Long-Term Investments
276,208241,186230,092207,109208,085211,287
Other Intangible Assets
10,75112,09112,31013,09512,48013,433
Long-Term Deferred Tax Assets
10,55416,74917,01218,98718,81216,876
Long-Term Deferred Charges
434431502486471438
Other Long-Term Assets
4,39534313
Total Assets
1,143,9801,094,1201,064,202965,573900,346900,698
Accounts Payable
21,83628,02225,46120,72318,32018,059
Accrued Expenses
2,3014,4224,2253,9543,3453,430
Short-Term Debt
94,93068,25569,19455,98659,68256,472
Current Portion of Long-Term Debt
30030010,15020,000--
Current Portion of Leases
5,4175,1864,8564,9856,4866,609
Current Income Taxes Payable
5,06426,12830,9252,5041,8111,616
Other Current Liabilities
85,24798,91278,94874,48658,68461,046
Total Current Liabilities
215,095231,225223,759182,638148,328147,232
Long-Term Debt
252,289234,345260,537258,881250,639239,559
Long-Term Leases
22,76121,31719,95719,96422,84024,946
Pension & Post-Retirement Benefits
35,73436,21039,87039,78436,32236,221
Long-Term Deferred Tax Liabilities
1,7561,6982,7132,1282,0351,812
Other Long-Term Liabilities
43,38344,66948,21051,23352,47854,884
Total Liabilities
571,018569,464595,046554,628512,642504,654
Common Stock
36,80336,80336,80336,80336,80336,803
Additional Paid-In Capital
35,03835,40634,40434,39628,41028,411
Retained Earnings
512,750482,049419,309335,790309,843317,899
Treasury Stock
-52,407-52,410-45,171-13,641-6,184-6,184
Comprehensive Income & Other
23,3357,1356,2761,5648911,709
Total Common Equity
555,519508,983451,621394,912369,763378,638
Minority Interest
17,44315,67317,53516,03317,94117,406
Shareholders' Equity
572,962524,656469,156410,945387,704396,044
Total Liabilities & Equity
1,143,9801,094,1201,064,202965,573900,346900,698
Total Debt
375,697329,403364,694359,816339,647327,586
Net Cash (Debt)
-331,224-277,874-282,235-325,209-314,134-298,453
Net Cash Per Share
-685.24-569.81-563.00-650.98-621.31-590.06
Filing Date Shares Outstanding
482.24482.23487.62502.45505.6505.6
Total Common Shares Outstanding
482.24482.23487.62502.45505.6505.6
Working Capital
-97,720-112,141-79,594-92,478-75,176-67,687
Book Value Per Share
1151.961055.48926.17785.98731.33748.89
Tangible Book Value
544,768496,892439,311381,817357,283365,205
Tangible Book Value Per Share
1129.661030.40900.93759.91706.65722.32
Source: S&P Global Market Intelligence. Standard template. Financial Sources.