Kadokawa Corporation (KDKWF)
OTCMKTS · Delayed Price · Currency is USD
20.83
-2.94 (-12.37%)
At close: Nov 24, 2025

Kadokawa Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
113,876145,494105,351167,219123,93179,042
Short-Term Investments
1,0424,8965,2494,7164,4914,129
Cash & Short-Term Investments
114,918150,390110,600171,935128,42283,171
Cash Growth
20.50%35.98%-35.67%33.88%54.41%6.20%
Receivables
70,40369,37464,98750,45242,79441,849
Inventory
38,16534,75730,53725,58723,92120,757
Prepaid Expenses
4,9143,6952,6211,9731,8531,385
Other Current Assets
16,46214,23112,70314,0218,6236,742
Total Current Assets
244,862272,447221,448263,968205,613153,904
Property, Plant & Equipment
67,36766,92264,72968,57471,53872,161
Long-Term Investments
46,08346,44129,22438,24639,87535,406
Goodwill
4,4935,3331,734684429362
Other Intangible Assets
15,89415,17111,9368,2156,8516,609
Long-Term Deferred Tax Assets
5,8393,7135,2613,2091,0111,204
Other Long-Term Assets
125,978222
Total Assets
384,539410,029340,310382,898325,319269,648
Accounts Payable
34,69535,41134,08429,21926,63525,266
Accrued Expenses
4,9526,1067,0634,9254,8104,154
Short-Term Debt
477451--283459
Current Portion of Long-Term Debt
10,19215,29217840,046-10,000
Current Income Taxes Payable
13,71319,6074,63218,48412,66012,849
Current Unearned Revenue
--15,078---
Other Current Liabilities
37,94240,16636,34336,24433,49726,619
Total Current Liabilities
101,971117,03397,378128,91877,88579,347
Long-Term Debt
72810,94625,17125,21965,00055,000
Pension & Post-Retirement Benefits
2,1452,3683,0963,5313,8553,686
Long-Term Deferred Tax Liabilities
5746373724081,149615
Other Long-Term Liabilities
2,7131,6391,7301,6521,6911,477
Total Liabilities
108,131132,623127,747159,728149,580140,125
Common Stock
65,61365,61340,62440,62440,62425,624
Additional Paid-In Capital
85,38885,22376,02876,29053,32444,821
Retained Earnings
82,97585,91382,58675,45567,01556,215
Treasury Stock
-4,793-5,619-21,276-2,587-1,928-8,943
Comprehensive Income & Other
20,23321,08412,62812,76612,8649,624
Total Common Equity
249,416252,214190,590202,548171,899127,341
Minority Interest
26,99225,19221,97320,6223,8402,182
Shareholders' Equity
276,408277,406212,563223,170175,739129,523
Total Liabilities & Equity
384,539410,029340,310382,898325,319269,648
Total Debt
11,39726,68925,34965,26565,28365,459
Net Cash (Debt)
103,521123,70185,251106,67063,13917,712
Net Cash Growth
50.50%45.10%-20.08%68.95%256.48%38.49%
Net Cash Per Share
722.19901.37624.70764.66475.20143.07
Filing Date Shares Outstanding
146.97146.55134.44139.07139.25128.91
Total Common Shares Outstanding
146.97146.55134.44139.66139.25128.91
Working Capital
142,891155,414124,070135,050127,72874,557
Book Value Per Share
1697.011721.031417.611450.261234.44987.82
Tangible Book Value
229,029231,710176,920193,649164,619120,370
Tangible Book Value Per Share
1558.291581.121315.931386.551182.16933.74
Source: S&P Global Market Intelligence. Standard template. Financial Sources.