Ricoh Company, Ltd. (RICOF)
OTCMKTS · Delayed Price · Currency is USD
11.50
+2.91 (33.88%)
Feb 5, 2026, 4:00 PM EST

Ricoh Company 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
180,949190,657177,050221,890240,389335,048
Short-Term Investments
1,9271,638271207--
Cash & Short-Term Investments
182,876192,295177,321222,097240,389335,048
Cash Growth
-2.44%8.45%-20.16%-7.61%-28.25%27.45%
Accounts Receivable
556,071455,791448,989399,233397,148392,132
Other Receivables
-85,34189,06977,196--
Receivables
556,071541,132538,058476,429397,148392,132
Inventory
362,132298,900300,595314,368232,558192,016
Other Current Assets
204,845181,122187,327162,405142,327139,548
Total Current Assets
1,305,9241,213,4491,203,3011,175,2991,012,4221,058,744
Property, Plant & Equipment
290,196273,514266,274253,515246,169255,616
Long-Term Investments
117,312111,888105,058102,888253,988263,874
Goodwill
-238,886228,649200,616165,865145,765
Other Intangible Assets
453,621193,906183,812165,77893,61779,745
Long-Term Deferred Tax Assets
74,32967,02866,55572,16281,19384,124
Other Long-Term Assets
276,679258,447232,526179,698--
Total Assets
2,518,0612,357,1182,286,1752,149,9561,853,2541,887,868
Accounts Payable
331,709255,375236,354218,082268,534287,160
Short-Term Debt
-84,11387,162116,55967,00336,620
Current Portion of Long-Term Debt
153,36261,57865,43041,26947,39246,111
Current Portion of Leases
25,81724,65122,54326,18522,66525,475
Current Income Taxes Payable
21,47314,42012,06311,86411,1437,213
Other Current Liabilities
359,528419,706455,723415,155276,711254,937
Total Current Liabilities
891,889859,843879,275829,114693,448657,516
Long-Term Debt
298,178294,955196,974205,110121,042139,676
Long-Term Leases
58,36050,92047,96838,14744,44446,737
Pension & Post-Retirement Benefits
32,53431,94037,26241,05845,72870,463
Long-Term Deferred Tax Liabilities
27,54027,10019,58117,7904,1313,742
Other Long-Term Liabilities
37,71037,61039,98860,65538,63645,882
Total Liabilities
1,346,2111,302,3681,221,0481,191,874947,429964,016
Common Stock
135,364135,364135,364135,364135,364135,364
Additional Paid-In Capital
183,027180,947158,455158,529180,942186,231
Retained Earnings
496,610472,090501,142470,722459,855561,578
Treasury Stock
-656-734-7,926-427-460-45,024
Comprehensive Income & Other
325,137242,440251,687167,368126,34182,097
Total Common Equity
1,139,4821,030,1071,038,722931,556902,042920,246
Minority Interest
32,36824,64326,40526,5263,7833,606
Shareholders' Equity
1,171,8501,054,7501,065,127958,082905,825923,852
Total Liabilities & Equity
2,518,0612,357,1182,286,1752,149,9561,853,2541,887,868
Total Debt
535,717516,217420,077427,270302,546294,619
Net Cash (Debt)
-352,841-323,922-242,756-205,173-62,15740,429
Net Cash Growth
-----134.38%
Net Cash Per Share
-619.05-553.04-398.65-332.49-92.8055.83
Filing Date Shares Outstanding
569.23569.15603.18609.07637703.18
Total Common Shares Outstanding
569.23569.15603.18609.07637718.22
Working Capital
414,035353,606324,026346,185318,974401,228
Book Value Per Share
2001.791809.901722.071529.481416.081281.29
Tangible Book Value
685,861597,315626,261565,162642,560694,736
Tangible Book Value Per Share
1204.891049.491038.26927.911008.73967.30
Land
-27,14227,47527,416--
Buildings
-280,059276,471275,650--
Machinery
-606,136678,590666,034--
Construction In Progress
-6,7595,7788,155--
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.