FUJIFILM Corporation

OTC: FUJIY · Real-Time Price · USD
12.17
0.16 (1.33%)
At close: Aug 15, 2025, 11:49 AM

FUJIFILM 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
172.11B 216.25B 187.12B 195.27B 179.72B 242.94B 322.18B 250.03B 268.61B 317.84B 322.18B 538.05B 486.33B 425.05B 433.48B 431.39B 394.8B 494.77B 457.53B 386.26B
Short-Term Investments
n/a n/a n/a n/a n/a -80.58B -77.89B -80B -77.59B -73.45B -90.69B -296.4B -176.86B -257.34B -251.82B -83.21B -84.33B -200.11B -197.77B -200.95B
Long-Term Investments
110.08B 113.83B 607.85B 122.89B 207.88B 195.96B 200.23B 200.38B 191.26B 195.23B 213.03B 444.12B 325.65B 407.64B 415B 245.42B 227.83B 332.91B 338.25B 328.11B
Other Long-Term Assets
509.83B 508.94B n/a 479.72B 334.14B 480.68B 480.44B 467.79B 220.87B 425.49B 480.44B 212.04B 83.76B 174.82B 169.31B 418.52B 134.67B 332.91B 338.25B 328.11B
Receivables
667.16B 679.36B 617.91B 687.4B n/a n/a n/a 611.64B n/a n/a -127.17B n/a n/a n/a n/a n/a n/a n/a n/a n/a
Inventory
543.98B 615.68B 575.98B 600.65B 547.8B 599.25B 611.91B 630.31B 567.3B 621.04B 611.91B 591.14B 504.47B 486.87B 462.98B 458B 417.66B 406.89B 406.04B 426.34B
Other Current Assets
32.82B 2.18B 160.09B 169.67B 696.59B 625.02B 635.99B 611.64B 633.05B 656.13B 624.77B 602.63B 598.63B 579.51B 546.69B 535.51B 605.72B 530B 497.11B 462.9B
Total Current Assets
1,581.7B 1,679.3B 1,541.1B 1,653B 1,574.6B 1,623.7B 1,735B 1,683.7B 1,631.1B 1,756.4B 1,735B 1,892.8B 1,724.7B 1,624.9B 1,580.8B 1,546.3B 1,507.4B 1,524.2B 1,457.9B 1,441.5B
Property-Plant & Equipment
1,900B 1,831.4B 1,645.9B 1,655.2B 1,495.8B 1,349.2B 1,267.1B 1,187.6B 1,058.4B 973.45B 1,267.1B 892.28B 820.23B 752.61B 731.67B 722.58B 713.45B 691.33B 686.49B 681.93B
Goodwill & Intangibles
1,105.5B 1,145.5B 1,099.2B 1,166.8B 1,132.2B 1,095.5B 1,044.4B 1,035.5B 1,002.6B 993.19B 1,044.4B 1,017.7B 976.69B 940.91B 931.82B 933.66B 932.7B 821.49B 825.55B 830.6B
Total Long-Term Assets
3,668.2B 3,599.7B 3,352.9B 3,424.6B 3,208.8B 2,925.4B 2,792B 2,690.9B 2,503.2B 2,392.1B 2,792B 2,354.1B 2,230.6B 2,101.2B 2,078.5B 2,074.8B 2,041.8B 1,845.7B 1,850.3B 1,840.6B
Total Assets
5,249.9B 5,278.9B 4,894B 5,077.6B 4,783.5B 4,549B 4,527B 4,374.6B 4,134.3B 4,148.5B 4,527B 4,246.8B 3,955.3B 3,726B 3,659.3B 3,621B 3,549.2B 3,369.9B 3,308.2B 3,282.2B
Account Payables
279.36B 286.74B 268.42B 287.97B 262.75B 241.18B 247.2B 252.13B 246.09B 262.97B 280.96B 255.25B 249.92B 230.2B 220.73B 222.86B 217.31B 188.59B 178.25B 179.38B
Deferred Revenue
n/a n/a n/a n/a 47.95B 268.26B 281.48B 288.1B 274.02B 254.29B 281.48B 260.93B 248.28B 217.34B 215.57B 224.07B 222.05B 180.99B 183.32B 208.24B
Short-Term Debt
215.1B 275.52B 274.46B 434.43B 317.1B 458.29B 384.8B 269.63B 180.41B 220.93B 229.26B 256.99B 253.36B 154.7B 139.16B 82.9B 86.34B 95.08B 89.78B 88.82B
Other Current Liabilities
455.98B 327.81B 331.58B 558.41B 505.45B 357.45B 400.47B 404.61B 393.57B 376.99B 533.22B 425.3B 423.35B 353.22B 372.92B 363.87B 359.17B 293.35B 281.23B 268.42B
Total Current Liabilities
1,125.9B 1,154.3B 1,139.8B 1,280.8B 1,165.8B 1,131.6B 1,112.1B 993.48B 890.32B 927.62B 1,112.1B 994.13B 979.58B 800.16B 785.95B 716.47B 716.28B 624.2B 593.66B 590.58B
Long-Term Debt
470.81B 469.97B 345.29B 146.2B 185.72B 235.71B 237.72B 267.75B 270.06B 306.06B 342.15B 367.16B 247.1B 346.15B 385.2B 439.27B 439.35B 466.11B 493.05B 492.32B
Other Long-Term Liabilities
114.25B 192.5B 181.12B 274.74B 186.37B 143.26B 140.39B 142.68B 108.76B 137.65B 34.06B 145.33B 118.87B 125.56B 126.53B 123.37B 86.38B 102.83B 108.42B 110.62B
Total Long-Term Liabilities
771.29B 727.81B 593.22B 420.94B 444.3B 442.7B 436.45B 472.7B 456.13B 501.97B 436.45B 572.2B 450.76B 524.16B 564.6B 617.66B 610.76B 621.53B 656.52B 661.01B
Total Liabilities
1,897.2B 1,882.1B 1,733.1B 1,701.7B 1,610.1B 1,574.3B 1,548.5B 1,466.2B 1,346.5B 1,429.6B 1,548.5B 1,566.3B 1,430.3B 1,324.3B 1,350.5B 1,334.1B 1,327B 1,245.7B 1,250.2B 1,251.6B
Total Debt
802.28B 840.26B 714.73B 655.68B 607.63B 791.08B 715.36B 634.05B 536.9B 617.15B 715.36B 716.86B 588.82B 584.29B 606.96B 606.96B 609.58B 640.26B 665.15B 666.49B
Common Stock
40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B 40.36B
Retained Earnings
2,930.2B 2,886.5B 2,814.9B 2,802B 2,741.4B 2,703.5B 2,643.1B 2,612.7B 2,616.2B 2,997.3B 2,643.1B 2,909.2B 2,867.8B 2,835.5B 2,776.3B 2,760.1B 2,702.8B 2,668.9B 2,609.8B 2,588.6B
Comprehensive Income
n/a 520.86B 356.77B 585.34B 443.62B 283.74B 347.63B 309.16B 163.82B 137.48B 225.58B 188.13B 75.99B -11.87B -44.98B -46.76B -445.36B -142.44B -149.79B -155.17B
Shareholders Equity
3,348.5B 3,392.6B 3,156.9B 3,371.6B 3,169.2B 2,971.4B 2,974.9B 2,905B 2,763.1B 2,694.8B 2,974.9B 2,656.5B 2,502.7B 2,382.4B 2,290.1B 2,269B 2,204.6B 2,081B 2,014.5B 1,987.9B
Total Investments
110.08B 113.83B 607.85B 122.89B 207.88B 115.38B 122.35B 120.37B 113.67B 121.79B 122.35B 147.72B 148.8B 150.3B 163.19B 162.21B 143.5B 132.8B 140.49B 127.16B