Idemitsu Kosan Co.Ltd. (IDKOY)
OTC: IDKOY
· Real-Time Price · USD
13.97
0.00 (0.00%)
At close: Aug 14, 2025, 12:31 PM
13.97
0.00%
After-hours: Aug 14, 2025, 12:31 PM EDT
Idemitsu Kosan 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 | 165.76B | 188.49B | 31.63B | 133.39B | 136.9B | 192.27B | 173.06B | 133.68B | 105.19B | 113.65B | 87.26B | 161.41B | 140.28B | 89.4B | 73.77B | 134.52B | 131.34B | 100.14B | 105.01B | 182.03B |
Short-Term Investments | n/a | n/a | n/a | n/a | 2.42B | n/a | 2.37B | -220.89B | -67.35B | n/a | 2.48B | -273.45B | -202.66B | -226.38B | -223.6B | n/a | -39.9B | -292.31B | -295.57B | -320.35B |
Long-Term Investments | 424.69B | 312.21B | 498.08B | 281.53B | 274.61B | 276.17B | 263.67B | 472B | 312.05B | 258.39B | 281.81B | 545.23B | 463.76B | 485.25B | 474.58B | 244.75B | 279.1B | 511.78B | 517.93B | 542.37B |
Other Long-Term Assets | 56.49B | 194.03B | -1M | 189.88B | 171.83B | 215.48B | 484.1B | 220.89B | 125.58B | 518.24B | 531.3B | 273.45B | 12.3B | 226.38B | 223.6B | 469.64B | 147.65B | 511.78B | 517.93B | 542.37B |
Receivables | 1,116.1B | 950.45B | 1,041.4B | 856.86B | 912.42B | 948.67B | n/a | n/a | n/a | n/a | n/a | n/a | n/a | 852.87B | 690.5B | 559.82B | 601.14B | 582.5B | 443.21B | 435.96B |
Inventory | 1,267B | 1,324.3B | 1,310B | 1,383.9B | 1,377.9B | 1,485.9B | 1,400.1B | 1,301.3B | 1,308.6B | 1,445.1B | 1,585.4B | 1,418B | 1,060.2B | 949.42B | 838.35B | 788.23B | 694.52B | 589.61B | 588.09B | 479.99B |
Other Current Assets | 101.02B | 537.06B | 149.4B | 535.45B | 487.24B | 500.03B | 492.6B | 480.86B | 477.24B | 476.85B | 510.58B | 393.89B | 298.14B | 301.67B | 260.94B | 266.45B | 238.51B | 255.88B | 243.19B | 204.24B |
Total Current Assets | 2,649.9B | 3,000.2B | 2,532.5B | 2,909.6B | 2,916.8B | 3,126.8B | 2,999.4B | 2,555.5B | 2,732.1B | 2,979.9B | 3,147.5B | 2,831.6B | 2,368.1B | 2,193.4B | 1,863.6B | 1,749B | 1,665.5B | 1,528.1B | 1,379.5B | 1,302.2B |
Property-Plant & Equipment | 1,374B | 1,380.6B | 1,392.6B | 1,380.3B | 1,362.6B | 1,378.3B | 1,390.2B | 1,383.1B | 1,390B | 1,413.4B | 1,420.7B | 1,472.7B | 1,437.8B | 1,498.5B | 1,525B | 1,537B | 1,521.9B | 1,508.7B | 1,490.7B | 1,461.8B |
Goodwill & Intangibles | 254.58B | 261.43B | 263.91B | 267.56B | 272.03B | 275.41B | 280.69B | 285.5B | 290.23B | 295.63B | 299.37B | 304.06B | 308.63B | 312.73B | 310.77B | 315.15B | 319.25B | 322.53B | 326.35B | 329.24B |
Total Long-Term Assets | 2,125.7B | 2,148.3B | 2,154.6B | 2,119.3B | 2,095.5B | 2,145.3B | 2,155B | 2,140.6B | 2,133.3B | 2,227.3B | 2,251.3B | 2,322B | 2,233.1B | 2,296.5B | 2,310.4B | 2,321.8B | 2,288.9B | 2,343B | 2,335B | 2,333.4B |
Total Assets | 4,775.6B | 5,148.5B | 4,687B | 5,028.9B | 5,012.3B | 5,272.1B | 5,154.3B | 4,696.1B | 4,865.4B | 5,207.2B | 5,398.8B | 5,153.6B | 4,601.2B | 4,489.9B | 4,174B | 4,070.8B | 3,954.4B | 3,871.2B | 3,714.5B | 3,635.6B |
Account Payables | 824.41B | 915.16B | 732.76B | 824.08B | 793.76B | 862.18B | 754B | 622.82B | 697.31B | 714.53B | 867.09B | 880.34B | 840.83B | 723.55B | 614.46B | 548.13B | 530.7B | 476.67B | 387.96B | 352.04B |
Deferred Revenue | n/a | n/a | n/a | n/a | 56.94B | 52.35B | 545.33B | 453.76B | 475.29B | 572.59B | 575.7B | 560.55B | 444.77B | 480.73B | 421.46B | 348.99B | 436.7B | 415.73B | 317.59B | 316.1B |
Short-Term Debt | 676.5B | 807.22B | 562.1B | 564.52B | 685.78B | 752.33B | 797.2B | 721.86B | 788.68B | 903.02B | 882.08B | 797.64B | 616.04B | 576.61B | 457.26B | 586.13B | 542.31B | 609.12B | 701.35B | 748.73B |
Other Current Liabilities | 160.39B | 639.85B | 173.5B | 690.38B | 639.34B | 692.74B | 206.72B | 176.08B | 185.58B | 203.39B | 206.41B | 156.86B | 145.68B | 172.74B | 128.7B | 131.47B | 100.18B | 107.33B | 115.43B | 110.53B |
Total Current Liabilities | 2,097.4B | 2,371.7B | 1,855.8B | 2,087B | 2,192.5B | 2,367.7B | 2,317.4B | 1,981.4B | 2,164B | 2,400.8B | 2,545.2B | 2,402.2B | 2,061.3B | 1,960.2B | 1,633.7B | 1,620.3B | 1,621.3B | 1,614.4B | 1,531.7B | 1,531.6B |
Long-Term Debt | 519.88B | 529.31B | 537.23B | 621.82B | 619.06B | 674.58B | 650.93B | 667.15B | 669.23B | 738.7B | 731.68B | 745.14B | 720.77B | 778.52B | 789.97B | 750.43B | 737.47B | 688.56B | 650.69B | 649.29B |
Other Long-Term Liabilities | 274.55B | 386.28B | 409.75B | 400.38B | 226.12B | 398.73B | 404.96B | 404.19B | 105.26B | 407.87B | 400.23B | 410.84B | 79.86B | 388.93B | 393.49B | 394.39B | 85.84B | 414.44B | 393.96B | 382.05B |
Total Long-Term Liabilities | 940.48B | 915.59B | 946.99B | 1,022.2B | 1,007.3B | 1,073.3B | 1,055.9B | 1,071.3B | 1,072.1B | 1,146.6B | 1,131.9B | 1,156B | 1,103.4B | 1,167.5B | 1,183.5B | 1,144.8B | 1,118B | 1,103B | 1,044.7B | 1,031.3B |
Total Liabilities | 3,037.9B | 3,287.3B | 2,802.8B | 3,109.2B | 3,199.8B | 3,441B | 3,373.3B | 3,052.8B | 3,236.1B | 3,547.4B | 3,677.1B | 3,558.2B | 3,164.7B | 3,127.7B | 2,817.1B | 2,765.1B | 2,739.3B | 2,717.4B | 2,576.4B | 2,563B |
Total Debt | 1,196.4B | 1,336.5B | 1,099.3B | 1,186.3B | 1,342.7B | 1,426.9B | 1,448.1B | 1,389B | 1,457.9B | 1,641.7B | 1,613.8B | 1,542.8B | 1,336.8B | 1,355.1B | 1,247.2B | 1,336.6B | 1,279.8B | 1,297.7B | 1,352B | 1,398B |
Common Stock | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B | 168.35B |
Retained Earnings | 1,111.2B | 1,128.5B | 1,124.5B | 1,119.9B | 1,037.7B | 1,048.2B | 996.61B | 876.63B | 848.91B | 844.48B | 893.28B | 791.79B | 645.33B | 566.23B | 525.15B | 470.83B | 400.58B | 358.04B | 352B | 302.9B |
Comprehensive Income | n/a | 235.76B | n/a | 257.22B | 59.21B | 52.85B | 43.47B | 14.82B | 5.77B | 23.9B | 18.58B | -5.26B | -17.36B | -33.43B | -16.2B | -16.14B | 627.98B | 115.1B | 110.11B | 96.21B |
Shareholders Equity | 1,720.4B | 1,841.2B | 1,867.2B | 1,907.2B | 1,799.9B | 1,817.8B | 1,767.3B | 1,629.5B | 1,614.5B | 1,643.7B | 1,696.1B | 1,570.7B | 1,412.1B | 1,317.6B | 1,295.5B | 1,242.3B | 1,150.9B | 1,101.1B | 1,090.1B | 1,027.1B |
Total Investments | 305.76B | 312.21B | 314.05B | 281.53B | 277.03B | 276.17B | 263.67B | 251.12B | 244.7B | 258.39B | 281.81B | 271.78B | 261.1B | 258.87B | 250.98B | 244.75B | 239.2B | 219.47B | 222.36B | 222.03B |