Teijin Limited (FRA:TIJ)
Germany flag Germany · Delayed Price · Currency is EUR
7.85
-0.05 (-0.63%)
At close: Jan 28, 2026

Teijin 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
110,947107,538125,921142,780134,480170,185
Cash & Short-Term Investments
110,947107,538125,921142,780134,480170,185
Cash Growth
0.75%-14.60%-11.81%6.17%-20.98%13.84%
Accounts Receivable
169,625166,741199,782183,086190,913180,686
Receivables
169,625166,741213,880194,384207,986194,492
Inventory
221,792227,032231,163196,726164,620141,044
Other Current Assets
47,37286,57252,54079,45164,91028,859
Total Current Assets
549,736587,883623,504613,341571,996534,580
Property, Plant & Equipment
238,669274,278370,029347,857315,514282,291
Long-Term Investments
79,97988,288101,886113,533122,062138,472
Goodwill
8,3948,33413,11113,98729,92039,355
Other Intangible Assets
79,02985,511132,176146,563160,83234,989
Long-Term Deferred Tax Assets
12,16716,9779,2804,7005,0024,642
Other Long-Term Assets
-1-1-1--
Total Assets
967,9741,061,2721,251,0211,242,4331,207,5831,036,427
Accounts Payable
93,104105,296100,439103,041101,18392,544
Accrued Expenses
--28,80125,10025,65323,645
Short-Term Debt
172,508124,985146,767132,619110,52495,387
Current Portion of Long-Term Debt
--60,30275,27839,18538,075
Current Portion of Leases
7,7837,954----
Current Income Taxes Payable
3,6583,69313,7045,3327,1865,577
Other Current Liabilities
45,94245,41874,66973,46668,02554,826
Total Current Liabilities
322,995287,346424,682414,836351,756310,054
Long-Term Debt
190,768237,494271,127299,332320,972233,857
Long-Term Leases
15,68316,69417,52718,93312,96311,275
Pension & Post-Retirement Benefits
36,41832,37536,94336,12437,07637,500
Long-Term Deferred Tax Liabilities
3,6383,2684,71411,1019,5684,346
Other Long-Term Liabilities
13,06945,55314,09611,02310,43611,137
Total Liabilities
582,571622,730769,089791,349742,771608,169
Common Stock
71,83371,83371,83371,83371,83371,833
Additional Paid-In Capital
105,644105,708103,211103,160103,757103,756
Retained Earnings
172,471231,726219,062213,923242,332229,805
Treasury Stock
-11,012-11,411-11,772-12,299-12,729-13,047
Comprehensive Income & Other
42,28233,52272,25049,04735,19014,702
Total Common Equity
381,218431,378454,584425,664440,383407,049
Minority Interest
4,1857,16427,34825,42024,42921,209
Shareholders' Equity
385,403438,542481,932451,084464,812428,258
Total Liabilities & Equity
967,9741,061,2721,251,0211,242,4331,207,5831,036,427
Total Debt
386,742387,127495,723526,162483,644378,594
Net Cash (Debt)
-275,795-279,589-369,802-383,382-349,164-208,409
Net Cash Per Share
-1430.88-1451.32-1919.07-1994.26-1745.24-1085.71
Filing Date Shares Outstanding
192.9192.73192.55192.32192.13191.98
Total Common Shares Outstanding
192.9192.72192.55192.32192.12191.98
Working Capital
226,741300,537198,822198,505220,240224,526
Book Value Per Share
1976.252238.402360.832213.362292.242120.29
Tangible Book Value
293,795337,533309,297265,114249,631332,705
Tangible Book Value Per Share
1523.051751.441606.301378.541299.351733.04
Source: S&P Global Market Intelligence. Standard template. Financial Sources.