Otsuka Holdings Co., Ltd. (FRA:OS1)
Germany flag Germany · Delayed Price · Currency is EUR
57.50
+0.50 (0.88%)
At close: Feb 20, 2026

Otsuka Holdings Balance Sheet

Millions JPY. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
534,645426,173513,341471,634410,684
Cash & Short-Term Investments
534,645426,173513,341471,634410,684
Cash Growth
25.45%-16.98%8.84%14.84%15.09%
Accounts Receivable
565,990515,289474,086423,426380,191
Other Receivables
4,3263,53119,6112,9548,543
Receivables
570,316518,820493,697426,380388,734
Inventory
374,323298,292249,581223,507180,350
Other Current Assets
142,722123,68770,17870,50969,621
Total Current Assets
1,622,0061,366,9721,326,7971,192,0301,049,389
Property, Plant & Equipment
696,808628,544553,358510,674487,089
Long-Term Investments
359,036544,319278,562241,743434,101
Goodwill
509,984449,464379,048335,442295,735
Other Intangible Assets
574,134544,247490,971579,786522,662
Long-Term Deferred Tax Assets
185,009205,700118,82553,38331,936
Other Long-Term Assets
250,5855213,683189,5803
Total Assets
4,197,5623,739,2513,361,2443,102,6382,820,915
Accounts Payable
225,562219,996206,369198,356170,103
Short-Term Debt
-6,074--8,995
Current Portion of Long-Term Debt
39,1501,27569,42526,44023,880
Current Portion of Leases
21,90621,14618,84717,71717,096
Current Income Taxes Payable
39,89529,25054,93928,34010,490
Current Unearned Revenue
11,331-14,32213,376-
Other Current Liabilities
411,268354,923303,331254,964237,296
Total Current Liabilities
749,112632,664667,233539,193467,860
Long-Term Debt
87,85687,27569,20093,775102,753
Long-Term Leases
79,06373,61256,71556,22959,726
Long-Term Unearned Revenue
26,025-44,86950,736-
Pension & Post-Retirement Benefits
12,57412,56416,55716,01114,075
Long-Term Deferred Tax Liabilities
33,59328,80127,17029,51127,560
Other Long-Term Liabilities
109,578126,17143,18354,814103,752
Total Liabilities
1,097,801961,087924,927840,269775,726
Common Stock
81,69081,69081,69081,69081,690
Additional Paid-In Capital
428,044478,486506,230506,579506,724
Retained Earnings
2,205,7401,904,4041,621,2181,553,0691,482,197
Treasury Stock
-85,186-67,398-44,669-44,858-45,572
Comprehensive Income & Other
403,156336,398229,214128,775-14,045
Total Common Equity
3,033,4442,733,5802,393,6832,225,2552,010,994
Minority Interest
66,31744,58442,63437,11434,195
Shareholders' Equity
3,099,7612,778,1642,436,3172,262,3692,045,189
Total Liabilities & Equity
4,197,5623,739,2513,361,2443,102,6382,820,915
Total Debt
227,975189,382214,187194,161212,450
Net Cash (Debt)
306,670236,791299,154277,473198,234
Net Cash Growth
29.51%-20.85%7.81%39.97%51.59%
Net Cash Per Share
578.52437.37551.25511.41365.49
Filing Date Shares Outstanding
528.13537.09542.69542.63542.39
Total Common Shares Outstanding
528.13537.09542.69542.63542.39
Working Capital
872,894734,308659,564652,837581,529
Book Value Per Share
5743.735089.594410.814100.843707.64
Tangible Book Value
1,949,3261,739,8691,523,6641,310,0271,192,597
Tangible Book Value Per Share
3690.993239.422807.632414.202198.77
Source: S&P Global Market Intelligence. Standard template. Financial Sources.