Sumitomo Chemical Company, Limited (FRA:SMM)
Germany flag Germany · Delayed Price · Currency is EUR
2.520
0.00 (0.00%)
At close: Jan 30, 2026

Sumitomo Chemical Company 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
161,209209,838217,449305,844365,429360,918
Cash & Short-Term Investments
161,209209,838217,449305,844365,429360,918
Cash Growth
-41.03%-3.50%-28.90%-16.30%1.25%99.79%
Receivables
581,477593,836620,022603,161720,422652,616
Inventory
643,721625,243709,637744,474651,358511,529
Other Current Assets
191,098154,217128,774109,40575,43359,408
Total Current Assets
1,577,5051,583,1341,675,8821,762,8841,812,6421,584,471
Property, Plant & Equipment
764,399759,266796,526829,355823,022793,500
Long-Term Investments
494,944565,646888,662862,908907,740900,410
Goodwill
257,782257,811263,757266,868244,517220,295
Other Intangible Assets
231,174239,319272,921403,996471,109450,172
Long-Term Deferred Tax Assets
38,69434,60837,07039,49249,12141,406
Total Assets
3,364,4983,439,7843,934,8184,165,5034,308,1513,990,254
Accounts Payable
478,325488,132543,384515,865551,583522,887
Short-Term Debt
-179,341393,104328,781179,311155,666
Current Portion of Long-Term Debt
197,40673,551192,80168,12281,96994,723
Current Income Taxes Payable
10,47410,6278,54531,77224,51538,410
Other Current Liabilities
246,423280,435297,616332,021336,113279,006
Total Current Liabilities
932,6281,032,0861,435,4501,276,5611,173,4911,090,692
Long-Term Debt
994,2621,033,236977,5811,064,4631,089,1901,100,677
Pension & Post-Retirement Benefits
23,61024,84130,58926,42733,09137,179
Long-Term Deferred Tax Liabilities
91,651111,048121,146101,164101,299101,854
Other Long-Term Liabilities
142,705164,158205,686207,699209,103177,733
Total Liabilities
2,184,8562,365,3692,770,4522,676,3142,606,1742,508,135
Common Stock
90,17990,05989,93889,81089,69989,699
Additional Paid-In Capital
120-237-27,08926,882
Retained Earnings
656,574640,611578,175891,552974,382854,538
Treasury Stock
-8,362-8,361-8,355-8,349-8,343-8,334
Comprehensive Income & Other
220,228178,481305,758198,179135,27456,445
Total Common Equity
958,739900,790965,7531,171,1921,218,1011,019,230
Minority Interest
220,903173,625198,613317,997483,876462,889
Shareholders' Equity
1,179,6421,074,4151,164,3661,489,1891,701,9771,482,119
Total Liabilities & Equity
3,364,4983,439,7843,934,8184,165,5034,308,1513,990,254
Total Debt
1,191,6681,286,1281,563,4861,461,3661,350,4701,351,066
Net Cash (Debt)
-1,030,459-1,076,290-1,346,037-1,155,522-985,041-990,148
Net Cash Per Share
-629.44-657.67-823.09-706.62-602.48-605.60
Filing Date Shares Outstanding
1,6371,6371,6361,6351,6351,635
Total Common Shares Outstanding
1,6371,6371,6361,6351,6351,635
Working Capital
644,877551,048240,432486,323639,151493,779
Book Value Per Share
585.53550.37590.33716.16745.03623.39
Tangible Book Value
469,783403,660429,075500,328502,475348,763
Tangible Book Value Per Share
286.91246.63262.28305.94307.33213.31
Source: S&P Global Market Intelligence. Standard template. Financial Sources.