Aeon Co. Ltd. (AONNY)
OTC: AONNY
· Real-Time Price · USD
36.93
0.25 (0.67%)
At close: Aug 15, 2025, 3:50 PM
37.08
0.41%
After-hours: Aug 15, 2025, 02:51 PM EDT
Aeon Balance Sheet Statement
Financials in JPY. Fiscal
year is
March - February.
Fiscal Year | Q4 2025 | Q3 2025 | Q2 2025 | Q1 2025 | Q4 2024 | Q3 2024 | Q2 2024 | Q1 2024 | Q4 2023 | Q3 2023 | Q2 2023 | Q1 2023 | Q4 2022 | Q3 2022 | Q2 2022 | Q1 2022 | Q4 2021 | Q3 2021 | Q2 2021 | Q1 2021 |
Period Ending | Feb 28, 2025 | Nov 30, 2024 | Aug 31, 2024 | May 31, 2024 | Feb 29, 2024 | Nov 30, 2023 | Aug 31, 2023 | May 31, 2023 | Feb 28, 2023 | Nov 30, 2022 | Aug 31, 2022 | May 31, 2022 | Feb 28, 2022 | Nov 30, 2021 | Aug 31, 2021 | May 31, 2021 | Feb 28, 2021 | Nov 30, 2020 | Aug 31, 2020 | May 31, 2020 |
Cash & Equivalents | 1,258.4B | 1,179.8B | 1,386.3B | 869.79B | 1,166.7B | 923.07B | 1,169.8B | 1,247.3B | 1,225.9B | 1,071B | 1,170.4B | 1,112.7B | 1,100.6B | 1,085.6B | 1,077.3B | 1,102.2B | 1,287.6B | 998.92B | 1,131.2B | 1,245.7B |
Short-Term Investments | 874.4B | 750.78B | 740.23B | 708.49B | 668.27B | 740.74B | 629.5B | 486.08B | 603.13B | 606.85B | 731.44B | 599.03B | 691.46B | 558.34B | 684.09B | 618.83B | 620.1B | 586.26B | 574.72B | 595.25B |
Long-Term Investments | 326.21B | 341.96B | 982.36B | 366.05B | 302.9B | 303.59B | 294.99B | 273.91B | 263.95B | 256.12B | 244.82B | 240.65B | 261.54B | 281.13B | 272.76B | 270.11B | 830.31B | 813.66B | 814.11B | 818.39B |
Other Long-Term Assets | 797.84B | 782.63B | -587.39B | 653.97B | 645.01B | 624.44B | 607.65B | 606.54B | 592.92B | 601.73B | 602.03B | 585.46B | 572.15B | 563.62B | 559.22B | 564.34B | -1M | -2M | -1M | -2M |
Receivables | 1,721.7B | 1,850.4B | 5,525B | 2,290.5B | 2,394.4B | 2,576.2B | 2,469.9B | 2,404.3B | 2,251.4B | 2,327B | 2,198.6B | 2,168.8B | 1,956.1B | 2,062.2B | 1,950.5B | 1,975.1B | 1,883.8B | 1,994B | 1,912.9B | 1,831.7B |
Inventory | 649.96B | 679.22B | 627.7B | 651.75B | 625.29B | 666.41B | 598.5B | 621.81B | 596.71B | 634.42B | 577.46B | 581.08B | 555.14B | 566.07B | 527.88B | 556.4B | 542.89B | 577.62B | 531.94B | 569.79B |
Other Current Assets | 4,189.1B | 4,236.3B | 435.53B | 3,535.8B | 3,191.4B | 3,179.1B | 3,077.5B | 3,085.9B | 3,015.7B | 3,066.8B | 2,958.1B | 3,003.6B | 2,889.5B | 2,928.4B | 2,817.9B | 2,861.3B | 2,801.9B | 2,770.3B | 2,726.8B | 2,663B |
Total Current Assets | 8,693.5B | 8,696.5B | 8,714.7B | 8,053.3B | 8,044.9B | 8,084.1B | 7,943.5B | 7,830.7B | 7,681.8B | 7,701.9B | 7,627.4B | 7,460.5B | 7,185.7B | 7,198.3B | 7,049.7B | 7,103B | 7,136.2B | 6,927.1B | 6,877.6B | 6,905.4B |
Property-Plant & Equipment | 3,599.6B | 3,566.4B | 3,562.5B | 3,475.5B | 3,415B | 3,464.3B | 3,401.4B | 3,346.5B | 3,301.4B | 3,396.1B | 3,323.3B | 3,277B | 3,130.9B | 3,154.9B | 3,155.5B | 3,102.1B | 3,062.9B | 3,072.8B | 3,051.7B | 3,072.7B |
Goodwill & Intangibles | 416.15B | 394.64B | 386.31B | 385.13B | 375.25B | 380.67B | 360.44B | 356.36B | 356.03B | 355.26B | 363.31B | 343.76B | 326.42B | 304.17B | 300.22B | 303.21B | 304.76B | 307.78B | 305.01B | 305.87B |
Total Long-Term Assets | 5,139.8B | 5,085.6B | 5,084B | 5,034.2B | 4,896B | 4,926.4B | 4,812.3B | 4,735.8B | 4,737.6B | 4,764.1B | 4,684.5B | 4,599.8B | 4,516.4B | 4,448.7B | 4,431.5B | 4,390B | 4,345B | 4,360.8B | 4,335.3B | 4,369B |
Total Assets | 13,833.3B | 13,782.2B | 13,798.8B | 13,087.5B | 12,940.9B | 13,010.5B | 12,755.8B | 12,566.5B | 12,419.4B | 12,465.9B | 12,311.9B | 12,060.3B | 11,702.1B | 11,647.1B | 11,481.2B | 11,493B | 11,481.3B | 11,287.9B | 11,212.9B | 11,274.4B |
Account Payables | 1,139.8B | 1,424B | 1,358.3B | 1,123.9B | 1,073.2B | 1,145.6B | 1,099.3B | 1,093B | 1,039.9B | 1,106.2B | 1,073.9B | 1,043.5B | 975.52B | 1,016.2B | 979.87B | 985.22B | 1,072.4B | 1,007.2B | 973.05B | 1,075.2B |
Deferred Revenue | n/a | n/a | 38.51B | 24.9B | 227.52B | 30.16B | 43.18B | 26.3B | 243.38B | 24.52B | 38.58B | 24.23B | 40.03B | 22.73B | 36.35B | 22.31B | 124.3B | 125.04B | 112.15B | 109.05B |
Short-Term Debt | 1,021.8B | 1,021.1B | 1,027.4B | 892.15B | 1,155.1B | 1,138.3B | 966.32B | 1,071.3B | 1,100.6B | 1,126.6B | 1,086.7B | 1,038.1B | 1,023.3B | 1,077.3B | 1,001.6B | 993.33B | 846.18B | 983.44B | 1,008.7B | 1,044.5B |
Other Current Liabilities | 6,164.5B | 5,982.4B | 5,839.9B | 5,598.2B | 5,427.1B | 5,534.5B | 5,497.2B | 5,405.8B | 5,231.7B | 5,302.7B | 5,258.5B | 5,145.9B | 4,948.4B | 4,988.5B | 4,954.6B | 4,888.1B | 4,744.3B | 4,635.4B | 4,602.4B | 4,481.5B |
Total Current Liabilities | 8,443.7B | 8,490.3B | 8,374.2B | 7,671.1B | 7,772.9B | 7,881.6B | 7,600B | 7,622.9B | 7,477.9B | 7,591.2B | 7,452.3B | 7,278.4B | 7,048B | 7,136.8B | 6,967.9B | 6,914.3B | 6,878.5B | 6,805.1B | 6,729.3B | 6,757.6B |
Long-Term Debt | 2,417.2B | 2,433.5B | 2,447.5B | 2,485B | 2,217.2B | 2,184.5B | 2,235.7B | 2,113.8B | 2,063.4B | 2,029.3B | 1,998.1B | 1,997.3B | 1,917.4B | 1,889.8B | 1,848B | 1,915.4B | 1,950.3B | 1,855.9B | 1,837.4B | 1,858.4B |
Other Long-Term Liabilities | 533.22B | 840.81B | 871.99B | 821.9B | 501.58B | 817.32B | 818.65B | 810.74B | 507.06B | 839.42B | 840.73B | 831.42B | 510.85B | 815.88B | 870.53B | 840.86B | 312.81B | 600.75B | 584.12B | 636.92B |
Total Long-Term Liabilities | 3,268.4B | 3,274.3B | 3,319.5B | 3,339.2B | 3,080.7B | 3,049.5B | 3,095.4B | 2,956.9B | 2,971.2B | 2,910.4B | 2,875.4B | 2,859.1B | 2,841.7B | 2,744.1B | 2,718.6B | 2,796.8B | 2,847B | 2,734.2B | 2,716.5B | 2,761.4B |
Total Liabilities | 11,712.1B | 11,764.6B | 11,693.7B | 11,010.4B | 10,853.7B | 10,931.1B | 10,695.4B | 10,579.8B | 10,449.1B | 10,501.6B | 10,327.6B | 10,137.4B | 9,889.7B | 9,880.9B | 9,686.4B | 9,711.1B | 9,725.5B | 9,539.3B | 9,445.8B | 9,518.9B |
Total Debt | 3,832.7B | 3,454.6B | 3,474.8B | 3,377.2B | 3,700B | 3,322.8B | 3,202B | 3,185.1B | 3,465.1B | 3,155.9B | 3,084.8B | 3,035.4B | 3,271.2B | 2,967.1B | 2,849.6B | 2,908.7B | 3,169.4B | 2,839.4B | 2,846.2B | 2,902.9B |
Common Stock | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B | 220.01B |
Retained Earnings | 422.66B | 378.21B | 416.51B | 416.15B | 425.6B | 399.26B | 419.65B | 414.06B | 411.76B | 386.69B | 423.84B | 425.12B | 415.5B | 400.04B | 428.89B | 429.3B | 439.6B | 448.03B | 468.37B | 471.95B |
Comprehensive Income | 122.81B | 105.93B | n/a | 127.95B | 141.88B | 147.19B | 135.09B | 96.51B | 85.25B | 108.66B | 93.25B | 64.91B | 60.95B | 62.8B | 64.87B | 63.61B | 47.9B | 48.27B | 44.47B | 43.32B |
Shareholders Equity | 1,050.5B | 968.11B | 1,041.2B | 1,032.7B | 1,055.3B | 1,041.4B | 1,049.1B | 1,005.2B | 993.75B | 987.58B | 1,009B | 981.24B | 958.72B | 947.8B | 978.54B | 976.66B | 971.87B | 979.57B | 997.05B | 998B |
Total Investments | 1,200.6B | 1,092.7B | 351.55B | 1,074.5B | 971.17B | 1,044.3B | 924.5B | 759.99B | 867.07B | 862.97B | 976.26B | 839.68B | 953B | 839.48B | 956.85B | 888.93B | 269.71B | 246.01B | 246.08B | 250.57B |