Kao Corporation (KAOOY)
OTCMKTS · Delayed Price · Currency is USD
8.55
+0.08 (0.94%)
At close: Feb 11, 2026

Kao Corporation Balance Sheet

Millions JPY. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
323,282357,713291,663268,248336,069
Cash & Short-Term Investments
323,282357,713291,663268,248336,069
Cash Growth
-9.63%22.65%8.73%-20.18%-4.84%
Accounts Receivable
245,286238,077225,934230,604216,209
Other Receivables
5,4695,4675,1864,1712,508
Receivables
250,755243,544231,120234,775218,717
Inventory
292,366274,628263,815278,382228,070
Prepaid Expenses
-13,75711,32710,9579,559
Other Current Assets
39,48924,38319,18414,84417,377
Total Current Assets
905,892914,025817,109807,206809,792
Property, Plant & Equipment
556,298539,888546,815577,954572,666
Long-Term Investments
15,61653,92049,65945,31444,067
Goodwill
231,071228,413218,886191,860183,498
Other Intangible Assets
79,47181,94781,75860,18352,636
Long-Term Deferred Tax Assets
43,30349,04455,51943,83341,348
Other Long-Term Assets
43,403----
Total Assets
1,875,0541,867,2371,769,7461,726,3501,704,007
Accounts Payable
270,149258,035235,513243,767229,086
Accrued Expenses
-95,00484,82888,34886,532
Short-Term Debt
-72414,017648848
Current Portion of Long-Term Debt
26,05935,0252265,0225,308
Current Portion of Leases
20,87820,14619,02019,44019,929
Current Income Taxes Payable
31,82433,26426,39419,54531,516
Current Unearned Revenue
43,342----
Other Current Liabilities
125,94367,40280,14049,85448,678
Total Current Liabilities
518,195509,600459,934486,624421,897
Long-Term Debt
105,59995,310124,44162,166121,581
Long-Term Leases
90,60694,123103,572115,614121,016
Pension & Post-Retirement Benefits
36,68639,46040,45138,73829,843
Long-Term Deferred Tax Liabilities
10,8299,7548,6796,8585,830
Other Long-Term Liabilities
18,43920,15520,62620,96619,963
Total Liabilities
780,354768,402757,703730,966720,130
Common Stock
85,42485,42485,42485,42485,424
Additional Paid-In Capital
106,398106,256105,780105,880105,633
Retained Earnings
716,621748,781711,802740,374781,763
Treasury Stock
-5,125-5,924-3,267-3,459-3,960
Comprehensive Income & Other
160,759132,23983,91943,842-3,723
Total Common Equity
1,064,0771,066,776983,658972,061965,137
Minority Interest
30,62332,05928,38523,32318,740
Shareholders' Equity
1,094,7001,098,8351,012,043995,384983,877
Total Liabilities & Equity
1,875,0541,867,2371,769,7461,726,3501,704,007
Total Debt
243,142245,328261,072262,890268,682
Net Cash (Debt)
80,140112,38530,5915,35867,387
Net Cash Growth
-28.69%267.38%470.94%-92.05%-14.67%
Net Cash Per Share
173.72241.8865.8111.41141.72
Filing Date Shares Outstanding
452.32464.48464.87464.84473.88
Total Common Shares Outstanding
452.32464.48464.87464.83473.88
Working Capital
387,697404,425357,175320,582387,895
Book Value Per Share
2352.492296.692116.012091.202036.66
Tangible Book Value
753,535756,416683,014720,018729,003
Tangible Book Value Per Share
1665.941628.511469.271548.981538.36
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.