Isuzu Motors Limited (ISUZY)
OTC: ISUZY
· Real-Time Price · USD
12.63
-0.14 (-1.10%)
At close: Jun 06, 2025, 3:59 PM
Isuzu Motors Balance Sheet Statement
Financials in JPY. Fiscal
year is
April - March.
Fiscal Year | 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 | 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 | 448.72B | 384.88B | 362.77B | 393.67B | 382.25B | 383.59B | 371.05B | 374.88B | 386.94B | 356.02B | 353.81B | 383.3B | 463.05B | 404.75B | 331.67B | 262.35B | 322.4B |
Short-Term Investments | 16.38B | 15.91B | -4.26B | -4.41B | -45.62B | -4.22B | -4.33B | -4.49B | -56.46B | -53.14B | -48.27B | -48.32B | -3.36B | -3.42B | -3.2B | -3.17B | -3.13B |
Long-Term Investments | 282.38B | 284.61B | 256.41B | 252.88B | 281.12B | 223.06B | 221.94B | 227.28B | 289.07B | 302.97B | 308.59B | 320.88B | 263.98B | 195.1B | 190.36B | 188.53B | 167.49B |
Other Long-Term Assets | 116.72B | 51.27B | 50.45B | 50.21B | 1.09B | 49.15B | 55.08B | 54.24B | 1.07B | 1.03B | 994M | 957M | 39.39B | 36.14B | 32.21B | 32.56B | 31.57B |
Receivables | 578.85B | 641.1B | 631.57B | 602.38B | 592.77B | 596.11B | 583.22B | 566.7B | 530.82B | 560.55B | 496.76B | 459.12B | 484.01B | 422.53B | 368.33B | 364.2B | 298.78B |
Inventory | 704.94B | 671.76B | 689.42B | 700.76B | 665.76B | 613.45B | 614.04B | 606.02B | 556.58B | 477.68B | 439.26B | 394.95B | 405.86B | 288.26B | 295.98B | 282.75B | 332.08B |
Other Current Assets | 95.27B | 103.92B | 110.91B | 110.31B | 132.61B | 109.11B | 108.41B | 105.38B | 97.19B | 96.5B | 90.22B | 82.22B | 83.46B | 67.8B | 63.8B | 61.74B | 60.7B |
Total Current Assets | 1,844.1B | 1,817.6B | 1,794.7B | 1,807.1B | 1,773.4B | 1,702.3B | 1,676.7B | 1,653B | 1,571.5B | 1,490.7B | 1,380.1B | 1,319.6B | 1,436.4B | 1,183.3B | 1,059.8B | 971.04B | 1,014B |
Property-Plant & Equipment | 908.58B | 975.69B | 955.54B | 939.43B | 933.12B | 935.66B | 922.9B | 930.7B | 928.66B | 918.88B | 900.17B | 899.82B | 897.48B | 767.56B | 768.84B | 764.53B | 763.03B |
Goodwill & Intangibles | 90.22B | 89.58B | 87.7B | 84.42B | 84.72B | 74.68B | 75.04B | 76.53B | 78.11B | 87.41B | 82.5B | 84.92B | 74.77B | 18.96B | 20.67B | 21.86B | 22.16B |
Total Long-Term Assets | 1,397.9B | 1,521.8B | 1,397.1B | 1,379.4B | 1,357.2B | 1,344.5B | 1,338.3B | 1,356B | 1,359.8B | 1,365.4B | 1,337.5B | 1,351.1B | 1,329.7B | 1,061.6B | 1,053.2B | 1,054B | 1,036.3B |
Total Assets | 3,242B | 3,339.3B | 3,191.7B | 3,186.5B | 3,130.6B | 3,046.8B | 3,015B | 3,009B | 2,931.3B | 2,856.1B | 2,717.6B | 2,670.7B | 2,766.1B | 2,245B | 2,113B | 2,025B | 2,050.3B |
Account Payables | 454.11B | 552.12B | 562.85B | 572.61B | 551.73B | 563.69B | 541.81B | 528.68B | 486.78B | 496.7B | 426.7B | 410.26B | 458.51B | 387.92B | 343.51B | 292.22B | 266.61B |
Deferred Revenue | n/a | 32.53B | 155.86B | 180.91B | 183.88B | 179.68B | 140.14B | 152.63B | 160.1B | 157.2B | 119.29B | 131.69B | 140.48B | 101.84B | 71.38B | 82.19B | 87.83B |
Short-Term Debt | 250.05B | 204.59B | 186.19B | 125.97B | 151.2B | 117.88B | 148.27B | 139.88B | 171.26B | 139.16B | 151.06B | 119.79B | 353.03B | 52.91B | 56.64B | 68.06B | 101.27B |
Other Current Liabilities | 196.54B | 113.66B | 125.71B | 145.76B | 138.96B | 136.67B | 122.03B | 136.73B | 130.85B | 129.15B | 104.14B | 113.53B | 112.48B | 98.8B | 76.56B | 74.07B | 72.89B |
Total Current Liabilities | 1,071.1B | 1,083.1B | 1,004.9B | 994.07B | 991.62B | 968.83B | 934.45B | 937.32B | 919.12B | 898.2B | 785.87B | 757.19B | 1,040B | 623.97B | 537.56B | 504.42B | 513.36B |
Long-Term Debt | 309.93B | 319.27B | 347.19B | 361.85B | 359.64B | 365.04B | 391.39B | 398.68B | 365.17B | 366.65B | 402.67B | 408.18B | 242.68B | 243.21B | 231.21B | 218.81B | 238.81B |
Other Long-Term Liabilities | 175.31B | 134.03B | 74.76B | 31.14B | 30.51B | 28.31B | 25.88B | 27.07B | 24.73B | 25.86B | 23.23B | 69.67B | 65.59B | 64.68B | 61.23B | 18.31B | 17.75B |
Total Long-Term Liabilities | 511.27B | 597.16B | 554.06B | 568.98B | 564.58B | 567.72B | 595.83B | 604.65B | 566.79B | 563.52B | 592.65B | 598.47B | 429.89B | 415.99B | 410.79B | 398.39B | 419.19B |
Total Liabilities | 1,582.4B | 1,680.3B | 1,558.9B | 1,563.1B | 1,556.2B | 1,536.5B | 1,530.3B | 1,542B | 1,485.9B | 1,461.7B | 1,378.5B | 1,355.7B | 1,469.9B | 1,040B | 948.34B | 902.81B | 932.55B |
Total Debt | 594.04B | 556.82B | 564.53B | 519.91B | 542.31B | 513.14B | 568.97B | 568.01B | 565.68B | 530.48B | 576.59B | 551.18B | 618.89B | 316.56B | 308.34B | 308.16B | 361.65B |
Common Stock | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B | 40.64B |
Retained Earnings | 1,086.6B | 1,132.2B | 1,115.2B | 1,077.3B | 1,034.3B | 1,021.8B | 994.9B | 970.02B | 933.09B | 928.37B | 906.92B | 895.94B | 871.23B | 849.67B | 931.79B | 908.96B | 900.94B |
Comprehensive Income | 318.17B | 213.72B | 176.78B | 180.64B | 164.54B | 123.32B | 122.99B | 139.03B | 132.44B | 101.82B | 74.8B | 72.72B | 70.54B | 29.15B | 118.55B | 112.4B | 104.61B |
Shareholders Equity | 1,486.2B | 1,460.7B | 1,424.6B | 1,422.7B | 1,362.2B | 1,308.5B | 1,281.3B | 1,271.6B | 1,229.5B | 1,194.1B | 1,145.6B | 1,132.5B | 1,107.7B | 1,021.8B | 983.15B | 954.15B | 938.26B |
Total Investments | 298.76B | 300.52B | 252.15B | 248.48B | 235.5B | 218.84B | 217.61B | 222.79B | 232.61B | 249.83B | 260.32B | 272.56B | 260.61B | 191.68B | 187.16B | 185.36B | 164.36B |