GREE Holdings, Inc. (FRA:V3U)
Germany flag Germany · Delayed Price · Currency is EUR
2.060
+0.020 (0.98%)
At close: Jan 30, 2026

GREE Holdings Balance Sheet

Millions JPY. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
Cash & Equivalents
52,24748,85149,78850,29354,62494,824
Short-Term Investments
23,62550----
Cash & Short-Term Investments
75,87248,90149,78850,29354,62494,824
Cash Growth
26.05%-1.78%-1.00%-7.93%-42.39%8.97%
Accounts Receivable
6,60527,83229,45727,26829,9666,985
Other Receivables
2,3982,0752,3162,2981,5672,260
Receivables
9,00329,90731,77329,56631,5339,245
Restricted Cash
21,50035,00027,50024,00012,000-
Other Current Assets
4,2613,6113,2153,5082,0464,999
Total Current Assets
110,636117,419112,276107,367100,203109,068
Property, Plant & Equipment
1,7971,8562,1542,3652,3611,114
Long-Term Investments
9,73812,50612,00913,15713,43530,820
Goodwill
-----82
Other Intangible Assets
44681325
Long-Term Deferred Tax Assets
1,2651,1112,3421,907716278
Other Long-Term Assets
2,27811222
Total Assets
125,718132,897128,788124,806116,730141,389
Accounts Payable
6,427-----
Accrued Expenses
304521668512850795
Current Portion of Long-Term Debt
3,0009,000-5,000--
Current Income Taxes Payable
5607,2938,2027,9358,5767,513
Other Current Liabilities
1,1524,7886,1516,9446,5493,318
Total Current Liabilities
15,12821,60215,02120,39115,97511,626
Long-Term Debt
16,70016,70016,70010,7008,0008,000
Other Long-Term Liabilities
9949491,5381,1671,8271,552
Total Liabilities
32,82239,25133,25932,25825,80221,178
Common Stock
100100100100100100
Additional Paid-In Capital
2,3622,3622,3622,3652,3654,637
Retained Earnings
93,34994,81696,44393,69086,320125,674
Treasury Stock
-5,193-5,399-5,608-5,836-3,690-18,414
Comprehensive Income & Other
1,3381,6492,1362,1785,7808,166
Total Common Equity
91,95693,52895,43392,49790,875120,163
Minority Interest
94011896515348
Shareholders' Equity
92,89693,64695,52992,54890,928120,211
Total Liabilities & Equity
125,718132,897128,788124,806116,730141,389
Total Debt
19,70025,70016,70015,7008,0008,000
Net Cash (Debt)
56,17223,20133,08834,59346,62486,824
Net Cash Growth
29.15%-29.88%-4.35%-25.80%-46.30%-0.22%
Net Cash Per Share
323.28133.96191.46199.35248.80392.68
Filing Date Shares Outstanding
171.63171.35171.08170.66173.26210.9
Total Common Shares Outstanding
171.63171.35171.03170.66173.23210.9
Working Capital
95,50895,81797,25586,97684,22897,442
Book Value Per Share
535.77545.83557.97542.01524.59569.76
Tangible Book Value
91,95293,52495,42792,48990,862120,056
Tangible Book Value Per Share
535.74545.81557.94541.96524.51569.25
Source: S&P Global Market Intelligence. Standard template. Financial Sources.