Mitsui Chemicals, Inc. (MITUY)
OTCMKTS · Delayed Price · Currency is USD
15.62
+0.12 (0.77%)
Feb 12, 2026, 9:30 AM EST

Mitsui Chemicals 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
192,227170,615210,292186,310181,152195,987
Cash & Short-Term Investments
192,227170,615210,292186,310181,152195,987
Cash Growth
3.24%-18.87%12.87%2.85%-7.57%31.23%
Accounts Receivable
304,038349,481365,896352,181370,426285,846
Other Receivables
-14,61915,48017,56413,2092,306
Receivables
304,038364,100381,376369,745383,635288,152
Inventory
443,202442,763451,075441,949369,009258,814
Prepaid Expenses
-7,3746,2036,2745,9575,041
Other Current Assets
75,80856,319101,63390,00893,69239,578
Total Current Assets
1,015,2751,041,1711,150,5791,094,2861,033,445787,572
Property, Plant & Equipment
721,055669,240652,098600,887553,584501,960
Long-Term Investments
368,928351,135331,693295,285276,035238,459
Goodwill
24,74321,12221,16919,33817,9811,123
Other Intangible Assets
73,10966,20255,24148,13745,34119,678
Long-Term Deferred Tax Assets
6,0295,0835,03910,2708,5799,333
Total Assets
2,209,1392,153,9532,215,8192,068,2031,934,9651,558,125
Accounts Payable
150,298157,742179,947164,267174,844119,712
Short-Term Debt
292,934234,790289,627324,120297,437162,182
Current Portion of Long-Term Debt
-47,69834,46144,34349,17854,538
Current Income Taxes Payable
13,2126,1064,0387,41612,9036,195
Other Current Liabilities
153,097157,445153,144155,298172,207123,136
Total Current Liabilities
609,541603,781661,217695,444706,569465,763
Long-Term Debt
465,513455,489432,670369,786319,471293,496
Pension & Post-Retirement Benefits
17,68116,94117,88220,24218,85716,384
Long-Term Deferred Tax Liabilities
51,97744,71442,13635,16228,13327,834
Other Long-Term Liabilities
59,20362,42477,10864,26654,81372,491
Total Liabilities
1,203,9151,183,3491,231,0131,184,9001,127,843875,968
Common Stock
125,738125,738125,738125,572125,414125,331
Additional Paid-In Capital
50,98855,07955,02757,77869,86674,009
Retained Earnings
634,697618,307617,400575,125516,098424,084
Treasury Stock
-39,719-42,652-32,751-32,704-34,932-24,900
Comprehensive Income & Other
105,71891,81297,43761,05636,2089,397
Total Common Equity
877,422848,284862,851786,827712,654607,921
Minority Interest
127,802122,320121,95596,47694,46874,236
Shareholders' Equity
1,005,224970,604984,806883,303807,122682,157
Total Liabilities & Equity
2,209,1392,153,9532,215,8192,068,2031,934,9651,558,125
Total Debt
758,447737,977756,758738,249666,086510,216
Net Cash (Debt)
-566,220-567,362-546,466-551,939-484,934-314,229
Net Cash Per Share
-2413.13-1500.67-1437.16-1434.73-1246.51-809.03
Filing Date Shares Outstanding
-374.68380.27380.13386.47391.89
Total Common Shares Outstanding
-374.68380.27380.13386.47391.89
Working Capital
405,734437,390489,362398,842326,876321,809
Book Value Per Share
-2264.012269.052069.881844.001551.26
Tangible Book Value
779,570760,960786,441719,352649,332587,120
Tangible Book Value Per Share
-2030.952068.121892.371680.151498.18
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.