Fuji Corporation (FMMFF)
OTCMKTS · Delayed Price · Currency is USD
31.05
0.00 (0.00%)
At close: Feb 10, 2026

Fuji Corporation Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
45,80157,58061,81259,78459,48160,278
Short-Term Investments
2,1541,6002,8354,3387,5791,757
Cash & Short-Term Investments
47,95559,18064,64764,12267,06062,035
Cash Growth
-26.22%-8.46%0.82%-4.38%8.10%40.69%
Receivables
61,85834,68032,06841,98338,87636,288
Inventory
60,07853,19057,11661,84651,33538,164
Other Current Assets
8,9628,3777,6058,7998,7077,372
Total Current Assets
178,853155,427161,436176,750165,978143,859
Property, Plant & Equipment
37,28538,08633,69728,27126,33724,342
Long-Term Investments
21,17426,76831,19023,13723,21830,792
Goodwill
7,3738,0879,41710,57011,64211,893
Other Intangible Assets
15,90714,66214,16713,69914,16712,958
Long-Term Deferred Tax Assets
-1,2571,0291,7381,966826
Other Long-Term Assets
7,30021221
Total Assets
267,892244,289250,937254,167243,310224,671
Accounts Payable
13,3347,8426,1109,08412,46311,025
Current Income Taxes Payable
6,2372,9675893,8255,9604,861
Other Current Liabilities
14,92911,44711,70714,66014,61411,393
Total Current Liabilities
34,50022,25618,40627,56933,03727,279
Pension & Post-Retirement Benefits
455422374348326254
Long-Term Deferred Tax Liabilities
-2,7313,6239701,0592,517
Other Long-Term Liabilities
2,71520025817710666
Total Liabilities
37,67025,60922,66129,06434,52830,116
Common Stock
5,8785,8785,8785,8785,8785,878
Additional Paid-In Capital
7,2527,1147,1097,0997,0777,034
Retained Earnings
213,866204,870201,332198,521185,301170,381
Treasury Stock
-21,652-19,738-11,029-1,625-1,657-1,670
Comprehensive Income & Other
24,73520,43624,87215,11412,06612,632
Total Common Equity
230,079218,560228,162224,987208,665194,255
Minority Interest
143120114116117300
Shareholders' Equity
230,222218,680228,276225,103208,782194,555
Total Liabilities & Equity
267,892244,289250,937254,167243,310224,671
Net Cash (Debt)
47,95559,18064,64764,12267,06062,035
Net Cash Growth
-26.22%-8.46%0.82%-4.38%8.10%68.27%
Net Cash Per Share
545.48649.20684.91664.76695.34642.62
Filing Date Shares Outstanding
87.9188.892.3996.4796.4596.43
Total Common Shares Outstanding
87.9188.892.6196.4796.4596.43
Working Capital
144,353133,171143,030149,181132,941116,580
Book Value Per Share
2617.122461.352463.662332.142163.552014.40
Tangible Book Value
206,799195,811204,578200,718182,856169,404
Tangible Book Value Per Share
2352.312205.162209.002080.581895.951756.70
Order Backlog
-38,34641,84552,69563,59246,010
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.