ROHM Co., Ltd. (ROHCY)
OTCMKTS · Delayed Price · Currency is USD
16.16
-0.55 (-3.29%)
At close: Feb 11, 2026

ROHM Co., Ltd. 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
300,932196,602237,936291,154293,144261,292
Short-Term Investments
11,53652,0006,63938,09349,25658,138
Cash & Short-Term Investments
312,468248,602244,575329,247342,400319,430
Cash Growth
13.32%1.65%-25.72%-3.84%7.19%1.17%
Accounts Receivable
88,47280,57795,724109,693108,74692,215
Other Receivables
3,4593,5348,0431,8841,0264,013
Receivables
91,93184,111103,767111,577109,77296,228
Inventory
196,791203,457223,670195,484154,488128,759
Other Current Assets
27,10925,07520,73517,67113,34411,406
Total Current Assets
628,299561,245592,747653,979620,004555,823
Property, Plant & Equipment
517,752491,305478,330363,771292,090247,367
Long-Term Investments
266,404369,289391,72792,147100,460108,248
Goodwill
--1984977951,093
Other Intangible Assets
6,5046,3698,0605,2254,4715,552
Long-Term Deferred Tax Assets
13,87612,55710,2107,66311,3108,156
Other Long-Term Assets
17,108-2121
Total Assets
1,449,9431,440,7651,481,2741,123,2831,029,132926,240
Accounts Payable
21,03322,80420,00020,26923,03417,912
Short-Term Debt
100,000100,000300,000---
Current Portion of Long-Term Debt
--40,136---
Current Income Taxes Payable
4,64865,83771,78975,43947,60327,449
Other Current Liabilities
62,24630,98234,09136,19935,24028,018
Total Current Liabilities
187,927219,623466,016131,907105,87773,379
Long-Term Debt
300,000300,000-40,33640,53640,735
Pension & Post-Retirement Benefits
11,21912,79012,18510,81911,09211,198
Long-Term Deferred Tax Liabilities
19,86715,99630,54022,53928,98328,149
Other Long-Term Liabilities
4,7722,7034,4322,2182,2923,289
Total Liabilities
523,785551,112513,173207,819188,780156,750
Common Stock
86,96986,96986,96986,96986,96986,969
Additional Paid-In Capital
102,403102,403102,433102,416102,411102,403
Retained Earnings
662,883667,387755,652721,151661,386609,280
Treasury Stock
-40,708-40,836-59,857-39,880-39,915-39,947
Comprehensive Income & Other
113,96273,10982,27444,25628,96510,267
Total Common Equity
925,509889,032967,471914,912839,816768,972
Minority Interest
649621630552536518
Shareholders' Equity
926,158889,653968,101915,464840,352769,490
Total Liabilities & Equity
1,449,9431,440,7651,481,2741,123,2831,029,132926,240
Total Debt
400,000400,000340,13640,33640,53640,735
Net Cash (Debt)
-87,532-151,398-95,561288,911301,864278,695
Net Cash Growth
----4.29%8.31%-12.63%
Net Cash Per Share
-226.75-392.25-238.53714.46746.60688.48
Filing Date Shares Outstanding
386.04385.98385.94392.57392.55392.54
Total Common Shares Outstanding
386.04385.98385.94392.57392.55392.54
Working Capital
440,372341,622126,731522,072514,127482,444
Book Value Per Share
2397.472303.312506.782330.572139.371958.96
Tangible Book Value
919,005882,663959,213909,190834,550762,327
Tangible Book Value Per Share
2380.632286.812485.392315.992125.951942.03
Land
72,403-----
Buildings
440,498-----
Machinery
1,071,683-----
Construction In Progress
54,181-----
Order Backlog
-168,227193,292211,274279,480153,993
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.