Kakaku.com, Inc. (FRA:KKC)
Germany flag Germany · Delayed Price · Currency is EUR
11.60
+0.50 (4.50%)
At close: Jan 23, 2026

Kakaku.com 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
40,87250,85937,70236,45334,29834,888
Cash & Short-Term Investments
40,87250,85937,70236,45334,29834,888
Cash Growth
-9.00%34.90%3.43%6.28%-1.69%18.25%
Receivables
13,03413,32711,80810,0397,9197,672
Other Current Assets
8,0267,35511,1828,9804,8274,636
Total Current Assets
61,93271,54160,69255,47247,04447,196
Property, Plant & Equipment
6,2156,8127,4738,1239,00010,503
Long-Term Investments
5,9656,0736,3486,2267,0185,573
Goodwill
-3,5393,9854,0693,5903,590
Other Intangible Assets
11,4223,6683,4693,3773,2963,374
Long-Term Deferred Tax Assets
1,9911,8701,3421,291529722
Other Long-Term Assets
11-1---
Total Assets
87,52693,50483,30878,55870,47770,958
Accounts Payable
4,2315,1594,1893,6162,9392,400
Accrued Expenses
1,9752,4252,2351,9781,7391,628
Short-Term Debt
--100480450765
Current Portion of Long-Term Debt
--21513641
Current Portion of Leases
1,2471,3791,2211,0361,2231,357
Current Income Taxes Payable
4,3385,1934,2734,7283,2442,736
Other Current Liabilities
11,65513,35814,73313,1716,9267,980
Total Current Liabilities
23,44627,51426,77225,06016,55716,907
Long-Term Debt
--1341634083
Long-Term Leases
2,4202,8713,7004,2284,8486,016
Other Long-Term Liabilities
1,1949851,011967868811
Total Liabilities
27,06031,37031,61730,41822,31323,817
Common Stock
916916916916916916
Additional Paid-In Capital
--7864141463
Retained Earnings
59,91661,70151,18648,11148,62147,028
Treasury Stock
-689-877-1,175-1,596-2,175-1,842
Comprehensive Income & Other
7371375361453315
Total Common Equity
60,21661,81151,38047,85647,95646,880
Minority Interest
250323311284208261
Shareholders' Equity
60,46662,13451,69148,14048,16447,141
Total Liabilities & Equity
87,52693,50483,30878,55870,47770,958
Total Debt
3,6674,2505,1765,9586,5978,262
Net Cash (Debt)
37,20546,60932,52630,49527,70126,626
Net Cash Growth
-6.87%43.30%6.66%10.09%4.04%26.01%
Net Cash Per Share
188.07235.66162.43149.78134.89129.22
Filing Date Shares Outstanding
197.84197.78197.57201.1204.61206
Total Common Shares Outstanding
197.84197.73197.57201.1204.61206
Working Capital
38,48644,02733,92030,41230,48730,289
Book Value Per Share
304.37312.60260.06237.97234.38227.57
Tangible Book Value
48,79454,60443,92640,41041,07039,916
Tangible Book Value Per Share
246.64276.15222.33200.94200.73193.76
Source: S&P Global Market Intelligence. Standard template. Financial Sources.