Taiheiyo Cement Corporation (THYCY)
OTCMKTS · Delayed Price · Currency is USD
6.73
+0.78 (13.17%)
At close: Jan 16, 2026

Taiheiyo Cement 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
87,96774,98780,10179,84260,27173,074
Cash & Short-Term Investments
87,96774,98780,10179,84260,27173,074
Cash Growth
-4.30%-6.38%0.32%32.47%-17.52%41.50%
Accounts Receivable
153,586180,429206,385182,812166,225160,954
Receivables
207,157182,620207,730184,271168,146163,511
Inventory
129,766127,845123,176138,37294,18875,373
Other Current Assets
21,57320,27919,28227,92317,94515,375
Total Current Assets
446,463405,731430,289430,408340,550327,333
Property, Plant & Equipment
719,271738,702653,910620,083557,829540,342
Long-Term Investments
153,390219,344203,886168,061164,589137,185
Goodwill
896410310180159
Other Intangible Assets
42,45146,95138,98039,66527,48628,033
Long-Term Deferred Tax Assets
-10,4428,5958,16711,0819,635
Other Long-Term Assets
93,088-12112
Total Assets
1,454,7521,423,6951,338,2511,268,8621,103,0071,044,227
Accounts Payable
77,10389,931112,45295,77588,43681,340
Accrued Expenses
3,9177,3026,5025,6776,2466,265
Short-Term Debt
208,182161,488142,915176,573123,986103,538
Current Portion of Long-Term Debt
12,70015,000-10,000-10,000
Current Income Taxes Payable
5,0556,3445,4463,6874,1984,590
Other Current Liabilities
138,413108,289100,78894,07286,90299,098
Total Current Liabilities
445,370388,354368,103385,784309,768304,831
Long-Term Debt
194,297213,200227,553216,911146,600134,563
Long-Term Leases
-21,14624,80526,51413,48114,352
Pension & Post-Retirement Benefits
22,63723,54423,55321,91623,21325,206
Long-Term Deferred Tax Liabilities
-24,68622,03818,32910,0208,130
Other Long-Term Liabilities
124,25776,64075,81570,55355,12850,325
Total Liabilities
786,561747,570741,867740,007558,210537,407
Common Stock
86,17486,17486,17486,17486,17486,174
Additional Paid-In Capital
49,39650,28850,05149,72949,72960,292
Retained Earnings
425,195417,460379,125342,880384,154365,593
Treasury Stock
-21,968-22,131-17,942-13,738-13,766-26,113
Comprehensive Income & Other
98,775109,87965,80229,9114,325-15,025
Total Common Equity
637,572641,670563,210494,956510,616470,921
Minority Interest
30,61934,45533,17433,89934,18135,899
Shareholders' Equity
668,191676,125596,384528,855544,797506,820
Total Liabilities & Equity
1,454,7521,423,6951,338,2511,268,8621,103,0071,044,227
Total Debt
415,179410,834395,273429,998284,067262,453
Net Cash (Debt)
-327,212-335,847-315,172-350,156-223,796-189,379
Net Cash Per Share
-2931.75-2938.58-2702.79-2991.38-1898.73-1569.20
Filing Date Shares Outstanding
111.47111.42115.58117.12117.05118.58
Total Common Shares Outstanding
111.47111.42115.58117.05117.05118.58
Working Capital
1,09317,37762,18644,62430,78222,502
Book Value Per Share
5719.465758.854872.944228.474362.223971.33
Tangible Book Value
595,032594,655524,127455,190483,050442,729
Tangible Book Value Per Share
5337.845336.904534.793888.744126.723733.58
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.