JCR Pharmaceuticals Co., Ltd. (JCRRF)
OTCMKTS · Delayed Price · Currency is USD
4.170
0.00 (0.00%)
At close: Jan 30, 2026

JCR Pharmaceuticals 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
15,64313,19618,75613,27830,73326,260
Short-Term Investments
----244-
Cash & Short-Term Investments
15,64313,19618,75613,27830,97726,260
Cash Growth
0.84%-29.64%41.26%-57.14%17.96%134.61%
Receivables
14,82912,23614,93411,13715,5858,183
Inventory
24,90321,75820,93318,51414,63613,554
Other Current Assets
3,1443,8662,9584,873990548
Total Current Assets
58,51951,05657,58147,80262,18848,545
Property, Plant & Equipment
39,67937,41030,04032,68126,78217,172
Long-Term Investments
9,38310,4429,8199,4432,7693,094
Other Intangible Assets
2,6282,9603,4963,6522,9603,232
Long-Term Deferred Tax Assets
-2,9851,2881,3572,4331,739
Other Long-Term Assets
3,09722222
Total Assets
113,306104,855102,22694,93797,13473,784
Accounts Payable
1,6765908901,5631,3242,932
Accrued Expenses
7121,2161,1301,0881,004913
Short-Term Debt
37,76223,0058,95016,80015,15012,850
Current Portion of Long-Term Debt
-3,050-500--
Current Income Taxes Payable
1973,0974,4022,83611,1042,646
Other Current Liabilities
9,97813,03014,76312,97513,4729,687
Total Current Liabilities
50,32543,98830,13535,76242,05429,028
Long-Term Debt
14,85012,05014,3505,5002,9505,250
Pension & Post-Retirement Benefits
1,016966903924870798
Other Long-Term Liabilities
368418364339173154
Total Liabilities
66,55957,42245,75242,52546,04735,230
Common Stock
9,0619,0619,0619,0619,0619,061
Additional Paid-In Capital
10,37810,39210,38410,38410,99410,941
Retained Earnings
30,49231,19137,27834,27333,24120,904
Treasury Stock
-4,974-5,066-2,963-2,978-3,600-3,685
Comprehensive Income & Other
1,3651,4632,4171,4211,1861,159
Total Common Equity
46,32247,04156,17752,16150,88238,380
Minority Interest
425392297251205174
Shareholders' Equity
46,74747,43356,47452,41251,08738,554
Total Liabilities & Equity
113,306104,855102,22694,93797,13473,784
Total Debt
52,61238,10523,30022,80018,10018,100
Net Cash (Debt)
-36,969-24,909-4,544-9,52212,8778,160
Net Cash Growth
----57.81%234.97%
Net Cash Per Share
-303.14-201.16-36.24-76.27103.6765.74
Filing Date Shares Outstanding
121.99121.84124.8124.78123.76123.61
Total Common Shares Outstanding
121.99121.84124.8124.78123.76123.61
Working Capital
8,1947,06827,44612,04020,13419,517
Book Value Per Share
379.73386.10450.12418.04411.14310.48
Tangible Book Value
43,69444,08152,68148,50947,92235,148
Tangible Book Value Per Share
358.19361.81422.11388.77387.23284.34
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.