Mitsui O.S.K. Lines Ltd. (MSLOY)
OTC: MSLOY
· Real-Time Price · USD
14.89
0.02 (0.13%)
At close: Oct 03, 2025, 3:50 PM
14.87
-0.17%
After-hours: Oct 01, 2025, 08:00 PM EDT
Mitsui O.S.K. Lines Balance Sheet Statement
Financials in JPY. Fiscal
year is
April - March.
Fiscal Year | Q1 2026 | 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 | Jun 30, 2025 | 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 | 163.93B | 163.29B | 132.89B | 147.88B | 130.54B | 113.15B | 138.7B | 116.05B | 130.49B | 93.96B | 114.89B | 106.04B | 84.93B | 99.88B | 121.85B | 161.62B | 99.46B | 86.24B | 89.49B | 88.87B | 80.58B |
Short-Term Investments | n/a | n/a | n/a | n/a | n/a | 4.77B | n/a | -139.42B | 500M | 500M | 500M | 500M | 1B | 1B | 500M | 1.5B | 500M | 500M | 500M | 500M | 500M |
Long-Term Investments | 1,640.9B | 1,954B | 1,810B | 1,850.5B | 1,964B | 1,771.1B | 1,680.5B | 1,721.6B | 1,714B | 1,430.4B | 1,382.3B | 1,541.8B | 1,414.5B | 1,076.2B | 962.78B | 798.78B | 553.19B | 458.86B | 395.48B | 363.15B | 346.61B |
Other Long-Term Assets | 246.5B | 99.27B | 279.79B | 180.36B | 108.2B | 157.49B | 107.35B | 208.94B | 106.33B | 314.29B | 335.46B | 347.84B | 119.23B | 110.1B | 102.19B | 88.23B | 184.58B | 176.51B | 169.51B | 176.18B | 182.52B |
Receivables | 141.96B | 146.24B | 148.86B | 148.5B | 134.42B | 132.46B | 124.89B | 118.13B | 116.61B | 122.47B | 129.64B | 149.7B | 136.91B | 108.59B | 123.04B | 113.5B | 107.17B | 86.28B | 78.34B | 83.2B | 73.64B |
Inventory | 53.41B | 56.43B | 60.26B | 57.96B | 60.68B | 56.12B | 58.1B | 60.85B | 51.99B | 50.79B | 57.91B | 58.84B | 63.27B | 46.09B | 38.24B | 33.52B | 32.92B | 29.61B | 25.13B | 23.37B | 26.73B |
Other Current Assets | 211.29B | 204.07B | 173.99B | 165.67B | 157.88B | 132.22B | 185.78B | 172.56B | 161.9B | 144B | 154.28B | 104.83B | 110.05B | 74.35B | 82.93B | 101.18B | 97.91B | 124.37B | 109.85B | 103.86B | 104.51B |
Total Current Assets | 570.59B | 570.02B | 515.99B | 520B | 516.66B | 465.8B | 538.55B | 498.43B | 491.52B | 438.54B | 486.11B | 449.17B | 421.2B | 351.45B | 366.55B | 411.31B | 337.97B | 327B | 303.31B | 299.8B | 285.97B |
Property-Plant & Equipment | 2,597.8B | 2,284.8B | 1,943.5B | 1,843.4B | 1,737.5B | 1,654.5B | 1,554.3B | 1,486B | 1,388.1B | 1,342.2B | 1,279.4B | 1,212.4B | 1,142.5B | 1,111.2B | 1,087.6B | 1,081.2B | 1,107.1B | 1,099.5B | 1,155B | 1,181.1B | 1,189.7B |
Goodwill & Intangibles | 274.95B | 72.2B | 74.15B | 75.22B | 71.74B | 69.2B | 40.4B | 36.6B | 35.81B | 36.74B | 38.31B | 35.93B | 35.9B | 36.62B | 35.15B | 34.16B | 32.95B | 31.36B | 30.26B | 29.74B | 29.02B |
Total Long-Term Assets | 4,760.1B | 4,414.4B | 4,107.4B | 3,953.6B | 3,884.4B | 3,654.8B | 3,385.6B | 3,456.3B | 3,246.1B | 3,125.7B | 3,036.7B | 3,139.3B | 2,713.4B | 2,335.2B | 2,189.8B | 2,004.5B | 1,880B | 1,768.6B | 1,753B | 1,753.6B | 1,750.5B |
Total Assets | 5,330.7B | 4,984.4B | 4,623.4B | 4,473.6B | 4,401B | 4,120.6B | 3,924.2B | 3,954.8B | 3,737.7B | 3,564.2B | 3,522.8B | 3,588.4B | 3,134.6B | 2,686.7B | 2,556.4B | 2,415.9B | 2,217.9B | 2,095.6B | 2,056.3B | 2,053.4B | 2,036.5B |
Account Payables | 103.02B | 106.73B | 116.66B | 112.06B | 120.1B | 112.5B | 113.28B | 119.01B | 107.59B | 99.87B | 121.06B | 123.56B | 125.9B | 96.03B | 84.59B | 81.76B | 77.09B | 73.02B | 63.83B | 60.06B | 56.42B |
Deferred Revenue | n/a | n/a | n/a | 36.54B | 38.87B | 35.64B | 72.73B | 64.68B | 65.1B | 57.78B | 62.07B | 60.36B | 50.98B | 56.68B | 48.55B | 49.26B | 53.26B | 73.15B | 50.99B | 56.39B | 45.52B |
Short-Term Debt | 710.96B | 246.95B | 251.16B | 219.07B | 306.61B | 368.6B | 381.48B | 520.5B | 499.37B | 449.35B | 366.96B | 476.92B | 436.75B | 223.87B | 219.16B | 331.33B | 188.18B | 224.68B | 276.14B | 270.7B | 294.07B |
Other Current Liabilities | 169.92B | 154.81B | 141.95B | 78.39B | 139.09B | 120.87B | 47.99B | 84.06B | 95.28B | 49.68B | 81.17B | 93.93B | 104.06B | 27.32B | 67.09B | 67.62B | 74.99B | 41.55B | 38.12B | 42.26B | 46.5B |
Total Current Liabilities | 991.71B | 523.34B | 516.14B | 472.84B | 561.56B | 647.34B | 620.73B | 764.28B | 742.37B | 669.18B | 605.17B | 730.79B | 700.76B | 414B | 395.61B | 505.24B | 363.44B | 417.57B | 431.57B | 433.72B | 445.91B |
Long-Term Debt | 1,453.4B | 1,458B | 1,269.3B | 1,091.1B | 1,021.2B | 862.68B | 811.13B | 722.61B | 699.19B | 684.3B | 729.74B | 715.54B | 712.46B | 764.6B | 790.43B | 721.85B | 834.64B | 786.21B | 780.86B | 791.01B | 771.04B |
Other Long-Term Liabilities | 182.5B | 85.7B | 185.09B | 30.8B | n/a | 91.22B | 44.09B | 137.21B | 130.65B | 132.56B | 133.86B | 131.79B | 125.15B | 49.83B | 58.73B | 64.15B | 61.57B | 66.06B | 70.26B | 72.02B | 76.16B |
Total Long-Term Liabilities | 1,781.1B | 1,736.9B | 1,503B | 1,321.8B | 1,272.4B | 1,103.5B | 1,011.4B | 1,016.2B | 979.95B | 957.45B | 999.64B | 978.09B | 968.36B | 937.84B | 975.39B | 913.26B | 1,026.9B | 978.84B | 968.59B | 987.01B | 975.89B |
Total Liabilities | 2,772.8B | 2,260.2B | 2,019.1B | 1,794.6B | 1,834B | 1,750.9B | 1,632.1B | 1,780.4B | 1,722.3B | 1,626.6B | 1,604.8B | 1,708.9B | 1,669.1B | 1,351.8B | 1,371B | 1,418.5B | 1,390.3B | 1,396.4B | 1,400.2B | 1,420.7B | 1,421.8B |
Total Debt | 2,309.6B | 1,815.4B | 1,569.1B | 1,369.6B | 1,327.8B | 1,292.1B | 1,222.5B | 1,261.4B | 1,216.1B | 1,151.2B | 1,107.7B | 1,203.6B | 1,160.2B | 999.27B | 1,027.2B | 1,071.1B | 1,041B | 1,024.9B | 1,072.1B | 1,077.1B | 1,080.8B |
Book Value | 2,557.9B | 2,724.2B | 2,604.2B | 2,679B | 2,567.1B | 2,369.7B | 2,292.1B | 2,174.3B | 2,015.3B | 1,937.6B | 1,918B | 1,879.6B | 1,465.4B | 1,334.9B | 1,185.4B | 997.35B | 827.62B | 699.15B | 656.15B | 632.66B | 614.65B |
Book Value Per Share | 3.7K | 3.88K | 3.62K | 3.7K | 3.53K | 3.27K | 3.17K | 3K | 2.79K | 2.68K | 2.65K | 2.6K | 2.03K | 1.85K | 1.65K | 1.39K | 1.15K | 973.59 | 914.42 | 881.69 | 856.58 |
Common Stock | 66.57B | 66.56B | 66.33B | 66.33B | 66.02B | 66B | 65.76B | 65.76B | 65.59B | 65.59B | 65.59B | 65.59B | 65.4B | 65.4B | 65.4B | 65.4B | 65.4B | 65.4B | 65.4B | 65.4B | 65.4B |
Retained Earnings | 1,995.1B | 2,005.1B | 1,947.8B | 1,891.8B | 1,752.4B | 1,685.1B | 1,641.3B | 1,628.3B | 1,568.7B | 1,571.6B | 1,499.3B | 1,485.4B | 1,169.8B | 1,091.3B | 870.03B | 693.89B | 523.62B | 435.59B | 410.05B | 377.7B | 352.94B |
Comprehensive Income | 444.82B | 568.48B | 500.57B | 587.23B | 614.56B | 485.99B | n/a | 466.73B | 368.87B | 289.28B | 342.77B | 310.48B | 214.22B | 97.88B | 82.77B | 72.74B | 76.4B | 39.3B | 20.62B | 30.14B | 37.17B |
Shareholders Equity | 2,521.9B | 2,686.7B | 2,587.5B | 2,662.5B | 2,550B | 2,354.2B | 2,277.7B | 2,160.8B | 2,002.6B | 1,925.9B | 1,906.1B | 1,859.9B | 1,447.3B | 1,275.3B | 1,059.9B | 873.03B | 705.2B | 579.13B | 534.71B | 511.8B | 493.91B |
Total Investments | 1,640.9B | 1,954B | 1,810B | 1,850.5B | 1,964B | 1,775.9B | 1,555.5B | 1,582.2B | 1,490B | 1,430.9B | 1,382.8B | 1,542.3B | 1,216.7B | 978.85B | 867.12B | 707.92B | 553.69B | 459.36B | 395.98B | 363.65B | 347.11B |