MonotaRO Co., Ltd. (MONOF)
OTCMKTS · Delayed Price · Currency is USD
14.18
0.00 (0.00%)
At close: Feb 5, 2026

MonotaRO 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
46,99530,72718,6448,88712,379
Short-Term Investments
298----
Cash & Short-Term Investments
47,29330,72718,6448,88712,379
Cash Growth
53.91%64.81%109.79%-28.21%-34.30%
Accounts Receivable
41,21133,40229,21526,39822,470
Other Receivables
10,6338,0057,4176,7945,961
Receivables
51,84441,40736,63233,19228,431
Inventory
22,43620,66018,87319,58415,429
Other Current Assets
1,5431,3221,1371,382847
Total Current Assets
123,11694,11675,28663,04557,086
Property, Plant & Equipment
54,95537,30539,56135,04628,105
Long-Term Investments
1,4555,9406,1655,5923,682
Goodwill
---710770
Other Intangible Assets
7,6846,5166,3596,3835,562
Long-Term Deferred Tax Assets
1,4041,150979959582
Other Long-Term Assets
4,6291222
Total Assets
193,243145,028128,352111,73795,789
Accounts Payable
25,01819,82517,05215,66714,562
Accrued Expenses
417381345179121
Short-Term Debt
10921522161-
Current Portion of Long-Term Debt
-2154,7214,711-
Current Portion of Leases
87726931734
Current Income Taxes Payable
8,89712,49311,5269,8558,499
Other Current Liabilities
18,2403,0633,0931,095608
Total Current Liabilities
53,55836,46136,98931,57523,824
Long-Term Debt
13,000-2214,9229,000
Long-Term Leases
4637616594586
Pension & Post-Retirement Benefits
671621562464388
Other Long-Term Liabilities
3,0773,0442,9841,5621,710
Total Liabilities
70,31040,76341,37239,11735,508
Common Stock
2,0482,0422,0422,0392,000
Additional Paid-In Capital
2564971,0271,034899
Retained Earnings
120,746101,46983,57869,21856,646
Treasury Stock
-876-747-619-502-413
Comprehensive Income & Other
346440432349252
Total Common Equity
122,520103,70186,46072,13859,384
Minority Interest
413564520482897
Shareholders' Equity
122,933104,26586,98072,62060,281
Total Liabilities & Equity
193,243145,028128,352111,73795,789
Total Debt
13,9901,3365,81010,2959,620
Net Cash (Debt)
33,30329,39112,834-1,4082,759
Net Cash Growth
13.31%129.01%---67.89%
Net Cash Per Share
67.0259.1525.83-2.835.55
Filing Date Shares Outstanding
496.91496.91496.91496.91496.87
Total Common Shares Outstanding
496.91496.91496.91496.9496.83
Working Capital
69,55857,65538,29731,47033,262
Book Value Per Share
246.56208.69174.00145.18119.53
Tangible Book Value
114,83697,18580,10165,04553,052
Tangible Book Value Per Share
231.10195.58161.20130.90106.78
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.