Daiichi Sankyo Limited (DSNKY)
OTC: DSNKY
· Real-Time Price · USD
25.06
0.65 (2.66%)
At close: Aug 15, 2025, 3:59 PM
25.11
0.19%
After-hours: Aug 15, 2025, 04:00 PM EDT
Daiichi Sankyo Balance Sheet Statement
Financials in JPY. Fiscal
year is
April - March.
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 | Mar 31, 2025 | Dec 31, 2024 | Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 | Dec 31, 2020 | Sep 30, 2020 | Jun 30, 2020 |
Cash & Equivalents | 639.84B | 682.15B | 707.67B | 805.26B | 415.26B | 666.74B | 590.77B | 519.66B | 441.92B | 395.18B | 480.22B | 658.06B | 662.48B | 577.29B | 550.05B | 352.26B | 380.55B | 520.07B | 451.27B | 382.1B |
Short-Term Investments | 80.89B | n/a | n/a | n/a | 461.3B | 534.27B | 77.54B | 221.17B | 383.2B | 400.01B | 358.52B | 149.13B | 181.37B | 221.96B | 219.05B | 394.27B | 444.37B | 303.65B | 430.52B | 495.98B |
Long-Term Investments | 5.6B | 735M | 397.26B | 634M | 148.51B | -384.23B | 282.79B | 277.43B | -251.51B | -265.68B | -222.18B | 208.02B | 186.45B | 173.01B | 174.11B | -257.29B | -302.94B | -165.2B | -310.67B | -386.67B |
Other Long-Term Assets | 393.28B | 623.24B | 233.82B | 637.38B | 190.75B | 692.47B | 2M | 3M | 478.4B | 478.13B | 431.99B | 5M | 2M | 4M | 2M | 427.74B | 475.36B | 315.66B | 442.76B | 508.32B |
Receivables | 619.1B | 624.17B | 531.84B | 544.46B | 454.19B | 458.62B | 411.77B | 390.52B | 349.11B | 355.36B | 333.5B | 291.04B | 266.68B | 282.88B | 276.5B | 258.14B | 232.04B | 263.36B | 252.76B | 243.89B |
Inventory | 514.91B | 475.36B | 453.09B | 444.7B | 438.11B | 391.23B | 377.63B | 339.27B | 301.61B | 266.69B | 262.13B | 249.31B | 217.91B | 211.61B | 209.99B | 211.81B | 200.86B | 183.9B | 183.26B | 183.66B |
Other Current Assets | 54.69B | 193.97B | 203.63B | 267.43B | 57.51B | 66.71B | 66.02B | 37.94B | 19.21B | 20.38B | 22.93B | 19.59B | 16.84B | 16.9B | 14.59B | 17.22B | 10.61B | 10.98B | 10.17B | 12.18B |
Total Current Assets | 1,909.4B | 1,975.6B | 1,896.2B | 2,061.8B | 2,174B | 2,117.6B | 1,523.7B | 1,508.6B | 1,495.1B | 1,437.6B | 1,457.3B | 1,367.1B | 1,345.3B | 1,310.6B | 1,270.2B | 1,233.7B | 1,268.4B | 1,282B | 1,328B | 1,317.8B |
Property-Plant & Equipment | 498.52B | 487.47B | 458.4B | 448.35B | 421.69B | 394.74B | 382.65B | 374.15B | 348.91B | 333.67B | 326.17B | 318.29B | 304.07B | 296.42B | 285.02B | 276.36B | 265.28B | 252.35B | 246.81B | 247.87B |
Goodwill & Intangibles | 344.27B | 356.52B | 311.43B | 288.93B | 276.8B | 251.49B | 263.23B | 260.53B | 257.94B | 278.04B | 301.09B | 262B | 247.44B | 248.57B | 248.78B | 253.36B | 250.53B | 241.69B | 249.65B | 259.02B |
Total Long-Term Assets | 1,546.7B | 1,468B | 1,400.9B | 1,375.3B | 1,287.1B | 1,151.4B | 1,125.4B | 1,107.5B | 1,013.8B | 960.42B | 970.49B | 927.42B | 876.13B | 852.83B | 840.55B | 828.77B | 816.76B | 769.22B | 751.79B | 745.38B |
Total Assets | 3,456.1B | 3,443.6B | 3,297.1B | 3,437.1B | 3,461.1B | 3,268.9B | 2,649.1B | 2,616.1B | 2,508.9B | 2,398B | 2,427.8B | 2,294.5B | 2,221.4B | 2,163.5B | 2,110.7B | 2,062.5B | 2,085.2B | 2,051.2B | 2,079.8B | 2,063.2B |
Account Payables | 579.96B | 564.47B | 502.83B | 531.15B | 557.13B | 456.26B | 468.15B | 431.38B | 395.17B | 358.38B | 332.22B | 330.28B | 324.78B | 274.95B | 265.5B | 266.89B | 297.5B | 241.47B | 232.36B | 223.45B |
Deferred Revenue | n/a | n/a | n/a | n/a | 57.44B | 114.94B | 32.62B | 35.81B | 40.18B | 31.2B | 32.37B | 24.99B | 24.47B | 39.19B | 34.99B | 26.15B | 21.51B | 38.25B | 35.61B | 28.54B |
Short-Term Debt | 399M | 401M | 400M | 399M | 399M | 12.82B | 12.87B | 55.46B | 41.4B | 41.4B | 41.4B | 20.39B | 20.39B | 20.39B | 20.39B | 20.39B | 20.39B | 20.39B | 20.39B | 40.39B |
Other Current Liabilities | 113.31B | 147.48B | 140.7B | 131.11B | 119.48B | 101.51B | 33.59B | 44.11B | 72.23B | 42.65B | 41.55B | 49.33B | 43.18B | 35.6B | 29.69B | 34.07B | 29.59B | 27.82B | 23.14B | 27.55B |
Total Current Liabilities | 754.03B | 712.36B | 643.93B | 662.66B | 723.4B | 606.81B | 532.25B | 551.39B | 530.26B | 457.07B | 428.1B | 406.82B | 395.27B | 355.19B | 336.05B | 332.77B | 353.57B | 313.3B | 296.64B | 304.65B |
Long-Term Debt | 100.93B | 101.03B | 101.12B | 101.22B | 101.31B | 101.41B | 101.5B | 101.6B | 101.69B | 101.79B | 101.88B | 142.97B | 143.07B | 143.16B | 143.25B | 163.35B | 163.44B | 163.53B | 163.63B | 183.72B |
Other Long-Term Liabilities | 215.63B | 1,005.9B | 929.27B | 952.4B | 245.38B | 266.29B | 358.16B | 371.61B | 431.08B | 345.33B | 364.87B | 278.4B | 268.67B | 278.46B | 267.31B | 233.03B | 246.46B | 232.81B | 219.47B | 205.02B |
Total Long-Term Liabilities | 1,078.7B | 1,106.9B | 1,030.4B | 1,053.6B | 1,039.7B | 1,075B | 522.85B | 534.81B | 532.77B | 526.64B | 532.52B | 487.48B | 475.26B | 477.06B | 462.45B | 449.6B | 459.55B | 446.58B | 449.4B | 442.43B |
Total Liabilities | 1,832.7B | 1,819.2B | 1,674.3B | 1,716.3B | 1,763.1B | 1,681.8B | 1,055.1B | 1,086.2B | 1,063B | 983.71B | 960.63B | 894.3B | 870.53B | 832.25B | 798.5B | 782.37B | 813.13B | 759.88B | 746.04B | 747.08B |
Total Debt | 101.33B | 101.43B | 101.52B | 101.62B | 156B | 114.23B | 114.37B | 157.05B | 143.09B | 143.18B | 143.28B | 163.37B | 163.46B | 163.55B | 163.65B | 183.74B | 183.83B | 183.92B | 184.02B | 224.11B |
Common Stock | 50B | 50B | 50B | 50B | 50B | 51.31B | 50.82B | 50B | 50B | 50B | 50.05B | 50B | 50B | 50B | 50B | 50B | 144.49B | 144.58B | 144.63B | 144.63B |
Retained Earnings | 1,457B | 1,490.8B | 1,479.4B | 1,416.9B | 1,388.8B | 1,329.9B | 1,300.7B | 1,260.3B | 1,231.8B | 1,204.6B | 1,205B | 1,164.9B | 1,170.2B | 1,191.4B | 1,185.5B | 1,157.9B | 1,277.3B | 1,268.9B | 1,270.7B | 1,250.8B |
Comprehensive Income | n/a | 306.49B | 245.71B | 333.58B | 284B | 241.82B | 279.19B | 256.35B | 200.87B | 196.73B | 249.32B | 222.76B | 168.15B | 127.34B | 114.31B | 110.07B | 111.48B | 79.21B | 79.43B | 82.14B |
Shareholders Equity | 1,623.4B | 1,624.4B | 1,622.8B | 1,720.8B | 1,688.2B | 1,586.3B | 1,594B | 1,529.9B | 1,445.9B | 1,414.3B | 1,467.1B | 1,400.3B | 1,350.9B | 1,331.2B | 1,312.2B | 1,280.1B | 1,272.1B | 1,291.3B | 1,333.3B | 1,315.7B |
Total Investments | 144.78B | 735M | 397.26B | 634M | 609.81B | 150.04B | 154.02B | 148.66B | 131.7B | 134.34B | 136.35B | 137.49B | 132.93B | 133.01B | 136.01B | 136.98B | 141.43B | 138.45B | 119.85B | 109.31B |