Seiko Epson Corporation (FRA:SE7S)
Germany flag Germany · Delayed Price · Currency is EUR
5.00
-0.20 (-3.85%)
Last updated: Jan 28, 2026, 8:07 AM CET

Seiko Epson 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
217,893267,000328,481267,380335,239304,007
Cash & Short-Term Investments
217,893267,000328,481267,380335,239304,007
Cash Growth
-27.96%-18.72%22.85%-20.24%10.27%54.90%
Accounts Receivable
220,733189,747191,241180,564151,134145,983
Other Receivables
11,69231,62031,65628,89222,14418,867
Receivables
232,425221,367222,897209,456173,278164,850
Inventory
395,728369,781358,189389,473308,385256,366
Other Current Assets
29,84922,70723,92026,19617,56714,774
Total Current Assets
875,895880,855933,487892,505834,469739,997
Property, Plant & Equipment
376,608379,712377,333360,866343,172344,637
Long-Term Investments
36,2712,1852,2442,1022,0401,718
Goodwill
-41,8945,8305,3875,1634,963
Other Intangible Assets
119,07680,52321,23620,03819,05523,013
Long-Term Deferred Tax Assets
39,57540,49036,11731,93234,75723,770
Other Long-Term Assets
330,80236,84728,74527,76423,216
Total Assets
1,447,4281,456,4611,413,0941,341,5751,266,4201,161,314
Accounts Payable
161,29092,97989,46188,63685,86478,495
Short-Term Debt
--589---
Current Portion of Long-Term Debt
51,65369,98718,99729,99117,99820,491
Current Portion of Leases
-10,22710,1028,6228,2997,636
Current Income Taxes Payable
6,68517,3458,2795,79812,2337,305
Current Unearned Revenue
-16,60615,36414,81412,28910,766
Other Current Liabilities
190,201236,973229,603223,774195,357181,250
Total Current Liabilities
409,829444,117372,395371,635332,040305,943
Long-Term Debt
157,265119,201149,265168,166198,035215,408
Long-Term Leases
-25,29325,83026,50218,81822,372
Long-Term Unearned Revenue
-18,43915,37713,60111,45410,938
Pension & Post-Retirement Benefits
14,84515,76513,83613,16424,21033,087
Long-Term Deferred Tax Liabilities
9,2349,5929,1547,0442,0647,582
Other Long-Term Liabilities
36,91119,16316,10413,98614,05913,035
Total Liabilities
628,084651,570601,961614,098600,680608,365
Common Stock
53,20453,20453,20453,20453,20453,204
Additional Paid-In Capital
83,87183,90484,04283,97984,01084,418
Retained Earnings
580,203572,710557,025526,299480,154399,306
Treasury Stock
-70,150-70,260-55,455-55,586-40,808-40,874
Comprehensive Income & Other
172,078165,194172,176119,45689,06854,870
Total Common Equity
819,206804,752810,992727,352665,628550,924
Minority Interest
1381391411251122,025
Shareholders' Equity
819,344804,891811,133727,477665,740552,949
Total Liabilities & Equity
1,447,4281,456,4611,413,0941,341,5751,266,4201,161,314
Total Debt
208,918224,708204,783233,281243,150265,907
Net Cash (Debt)
8,97542,292123,69834,09992,08938,100
Net Cash Growth
-91.95%-65.81%262.76%-62.97%141.70%-
Net Cash Per Share
27.88129.34373.00100.28266.07110.09
Filing Date Shares Outstanding
320.43320.23331.62331.52346.02345.98
Total Common Shares Outstanding
320.43320.23331.62331.52346.02345.98
Working Capital
466,066436,738561,092520,870502,429434,054
Book Value Per Share
2556.602513.012445.522194.021923.681592.36
Tangible Book Value
700,130682,335783,926701,927641,410522,948
Tangible Book Value Per Share
2184.982130.732363.902117.331853.691511.50
Land
-677,913660,224632,258610,389589,853
Machinery
-887,856874,309814,226764,710733,686
Construction In Progress
-14,67412,62311,90613,4197,557
Source: S&P Global Market Intelligence. Standard template. Financial Sources.