Japan Medical Dynamic Marketing, INC. (JMDMF)
OTCMKTS · Delayed Price · Currency is USD
3.010
-0.330 (-9.88%)
At close: Nov 25, 2025

JMDMF 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
2,4813,1822,3212,8042,5902,466
Cash & Short-Term Investments
2,4813,1822,3212,8042,5902,466
Cash Growth
6.39%37.10%-17.22%8.26%5.03%-1.83%
Receivables
5,3146,1255,9125,2695,2114,476
Inventory
16,06613,88613,09211,60510,0959,243
Other Current Assets
746.36673257297150127
Total Current Assets
24,60823,86621,58219,97518,04616,312
Property, Plant & Equipment
8,0177,9478,3207,7447,7727,450
Long-Term Investments
98.0720022734726089
Other Intangible Assets
420.71430219263291254
Long-Term Deferred Tax Assets
1,2641,2221,1361,1049711,087
Other Long-Term Assets
65.6221121
Total Assets
34,47433,66731,48529,43427,34225,193
Accounts Payable
1,0891,3311,403980786585
Accrued Expenses
960.06919815772771607
Short-Term Debt
4,4513,1421,1621,046557998
Current Portion of Leases
46.663237343332
Current Income Taxes Payable
53.121,577427532455501
Other Current Liabilities
86.49257186263297111
Total Current Liabilities
6,6867,2584,0303,6272,8992,834
Long-Term Debt
850.231092597321,2472,020
Long-Term Leases
180.24134581038
Pension & Post-Retirement Benefits
1,4691,4101,4241,2081,023998
Long-Term Deferred Tax Liabilities
---375544480
Other Long-Term Liabilities
139.31149136143129112
Total Liabilities
9,3258,9275,8836,1435,8526,482
Common Stock
3,0023,0013,0013,0013,0013,001
Additional Paid-In Capital
2,6072,5912,5872,5872,5872,587
Retained Earnings
15,64215,75116,58315,65614,55012,705
Treasury Stock
-144.65-165-165-202-111-111
Comprehensive Income & Other
4,0173,5003,5042,1191,359445
Total Common Equity
25,12324,67825,51023,16121,38618,627
Minority Interest
25.91629213010484
Shareholders' Equity
25,14924,74025,60223,29121,49018,711
Total Liabilities & Equity
34,47433,66731,48529,43427,34225,193
Total Debt
5,5283,2841,4921,8701,8473,088
Net Cash (Debt)
-3,046-102829934743-622
Net Cash Growth
---11.24%25.71%--
Net Cash Per Share
-115.64-3.8731.4935.4428.16-23.57
Filing Date Shares Outstanding
26.3526.3326.3326.326.3826.38
Total Common Shares Outstanding
26.3526.3326.3326.326.3826.38
Working Capital
17,92216,60817,55216,34815,14713,478
Book Value Per Share
953.32937.10968.69880.62810.58706.00
Tangible Book Value
24,70324,24825,29122,89821,09518,373
Tangible Book Value Per Share
937.36920.77960.37870.62799.55696.37
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.