Pan Pacific International Holdings Corporation (FRA:QJE)
Germany flag Germany · Delayed Price · Currency is EUR
5.50
+0.05 (0.92%)
At close: Feb 20, 2026

FRA:QJE Balance Sheet

Millions JPY. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
Cash & Equivalents
213,092171,958172,719242,088176,777157,522
Short-Term Investments
-5,76415,8005,3574,7684,364
Cash & Short-Term Investments
213,092177,722188,519247,445181,545161,886
Cash Growth
-3.27%-5.73%-23.81%36.30%12.14%-12.10%
Receivables
98,05580,52480,78775,68371,13792,947
Inventory
256,107224,902198,979194,537205,893203,416
Prepaid Expenses
10,5079,4768,6958,6297,9047,671
Other Current Assets
58,19335,36636,45225,54220,05229,576
Total Current Assets
635,954527,990513,432551,836486,531495,496
Property, Plant & Equipment
725,709717,985735,463689,209665,065643,750
Long-Term Investments
26,064133,419129,258130,789124,058126,542
Goodwill
64,49862,85362,57461,00261,75956,304
Other Intangible Assets
43,92340,73732,07327,52824,45823,255
Long-Term Deferred Tax Assets
27,19928,04225,60920,68620,84023,713
Other Long-Term Assets
94,184-1-11-
Total Assets
1,617,5311,511,0261,498,4101,481,0581,383,6781,370,252
Accounts Payable
266,828194,883197,151168,661152,885149,984
Accrued Expenses
26,38829,54031,30026,99125,18225,550
Short-Term Debt
-----1,691
Current Portion of Long-Term Debt
115,03677,02549,26545,29438,33956,179
Current Portion of Leases
3,4392,8392,8092,2631,8041,380
Current Income Taxes Payable
32,21986,78286,42172,64462,62057,807
Other Current Liabilities
88,42750,52452,27452,56945,54860,959
Total Current Liabilities
550,670441,593419,220368,422326,378353,550
Long-Term Debt
260,555327,354415,732534,124548,756475,483
Long-Term Leases
36,30035,37032,89731,03625,47121,087
Other Long-Term Liabilities
83,81782,66583,55983,93783,82781,368
Total Liabilities
931,342886,982951,4081,017,519984,432931,488
Common Stock
23,73823,68923,53823,35123,21723,153
Additional Paid-In Capital
14,91817,81017,65917,50917,37617,121
Retained Earnings
677,957629,753559,538483,366428,044376,268
Treasury Stock
-80,284-80,957-80,956-80,956-80,956-15
Comprehensive Income & Other
21,64317,53918,15710,7624,8102,349
Total Common Equity
657,972607,834537,936454,032392,491418,876
Minority Interest
28,21716,2109,0669,5076,75519,888
Shareholders' Equity
686,189624,044547,002463,539399,246438,764
Total Liabilities & Equity
1,617,5311,511,0261,498,4101,481,0581,383,6781,370,252
Total Debt
415,330442,588500,703612,717614,370555,820
Net Cash (Debt)
-202,238-264,866-312,184-365,272-432,825-393,934
Net Cash Per Share
-67.67-88.34-104.24-122.19-143.15-123.93
Filing Date Shares Outstanding
2,9892,9872,9852,9832,9822,981
Total Common Shares Outstanding
2,9892,9862,9852,9832,9823,171
Working Capital
85,28486,39794,212183,414160,153141,946
Book Value Per Share
220.17203.53180.23152.21131.64132.09
Tangible Book Value
549,551504,244443,289365,502306,274339,317
Tangible Book Value Per Share
183.89168.85148.52122.53102.72107.00
Source: S&P Global Market Intelligence. Standard template. Financial Sources.