BANDAI NAMCO Inc. (NCBDY)
OTC: NCBDY
· Real-Time Price · USD
19.54
0.78 (4.16%)
At close: Aug 15, 2025, 12:19 PM
BANDAI NAMCO 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 | 388.46B | 395.36B | 351.72B | 294.06B | 321.87B | 228.41B | 243.52B | 216.13B | 280.23B | 236.89B | 255.65B | 242.83B | 279.4B | 218.62B | 206.4B | 177.46B | 204.33B | 181.06B | 190.95B | 177.49B |
Short-Term Investments | n/a | n/a | n/a | n/a | 10.72B | n/a | 9.05B | n/a | -596M | n/a | 15.79B | n/a | -525M | n/a | 619M | n/a | -407M | -42.82B | -43.76B | -46.57B |
Long-Term Investments | 207.67B | 211.5B | 193.48B | 111.8B | 116.13B | 172.04B | 149.66B | 146.37B | 141.3B | 136.8B | 128.66B | 119.83B | 113.79B | 118.47B | 165.75B | 124.92B | 121.61B | 137.72B | 127.22B | 116.4B |
Other Long-Term Assets | -1M | 1M | n/a | 62.48B | 28.3B | 43.65B | 199.34B | 196.05B | 21.2B | 185.07B | 176.5B | 167.51B | 19.05B | 154.73B | 190.85B | 159.82B | 18.29B | 137.72B | 127.22B | 116.4B |
Receivables | 124B | 156.63B | 149.9B | 142.74B | 117.11B | 137.72B | 139.65B | 105.1B | 97.92B | 132.88B | 123.31B | 96.59B | 120.74B | 114.32B | 102.06B | 80.99B | 90.13B | 113.07B | 88.01B | 75.73B |
Inventory | 128.71B | 137.21B | 148.18B | 141.12B | 140.6B | 159.62B | 175.26B | 164.72B | 152.22B | 155.23B | 155.81B | 144.06B | 124.25B | 130.2B | 127.23B | 119.48B | 106.89B | 104.66B | 94.99B | 90.08B |
Other Current Assets | 63.77B | 62.44B | 54.68B | 61.51B | 63.04B | 66.8B | 65.55B | 66.21B | 62.27B | 56.82B | 60.78B | 53.84B | 52.82B | 45.45B | 45.87B | 54.88B | 53.87B | 50.49B | 52.49B | 54.16B |
Total Current Assets | 704.94B | 751.64B | 704.48B | 639.43B | 642.62B | 592.55B | 623.98B | 552.15B | 592.64B | 581.82B | 595.55B | 537.32B | 577.21B | 508.59B | 481.55B | 432.8B | 455.21B | 449.29B | 426.44B | 397.46B |
Property-Plant & Equipment | 139.13B | 133.22B | 129B | 126.22B | 118.64B | 118.53B | 114.39B | 110.79B | 107.46B | 104.49B | 102.97B | 101.4B | 92.45B | 91.81B | 91.88B | 90.77B | 88.34B | 99.16B | 99.2B | 97.92B |
Goodwill & Intangibles | 31.23B | 31.23B | 32.23B | 33.39B | 32.18B | 32.64B | 37.05B | 37.19B | 36.18B | 35.96B | 35.11B | 34.86B | 34.43B | 33.3B | 32.95B | 32.66B | 33.01B | 32.55B | 30.69B | 30.72B |
Total Long-Term Assets | 397.69B | 375.95B | 354.71B | 333.89B | 329.22B | 366.87B | 350.78B | 344.03B | 333.72B | 325.51B | 314.58B | 303.77B | 285.44B | 279.84B | 315.68B | 283.25B | 277.57B | 269.43B | 257.12B | 245.04B |
Total Assets | 1,102.6B | 1,127.6B | 1,059.2B | 973.32B | 971.84B | 959.42B | 974.76B | 896.18B | 926.36B | 907.33B | 910.14B | 841.09B | 862.65B | 788.43B | 797.23B | 716.05B | 732.78B | 718.72B | 683.56B | 642.51B |
Account Payables | 98.07B | 107.44B | 125.52B | 112.18B | 99.25B | 95.99B | 111.87B | 90.79B | 99.24B | 106.25B | 112.97B | 91.41B | 99.81B | 89.59B | 87.01B | 75.6B | 82.47B | 80.76B | 77.83B | 63.05B |
Deferred Revenue | n/a | n/a | n/a | n/a | 27.73B | n/a | 25.72B | 15.19B | 52.67B | 18.91B | 26.64B | 15.28B | 49.55B | 18.33B | n/a | n/a | -1.55B | 2.92B | 2.05B | 1.66B |
Short-Term Debt | n/a | n/a | n/a | n/a | 23.19B | n/a | 11.13B | 10.92B | 10.77B | 11.39B | 11.02B | 10.99B | 10.81B | 11.01B | n/a | n/a | n/a | 20.86B | 45.42B | 35.74B |
Other Current Liabilities | 139.82B | 164.49B | 115.4B | 124.48B | 92.63B | 135.08B | 108.81B | 97.69B | 84.64B | 102.07B | 89.07B | 91.63B | 83.19B | 84.88B | 98.78B | 77.8B | 91.8B | 81.34B | 64.02B | 77.36B |
Total Current Liabilities | 278.61B | 271.93B | 276.89B | 236.65B | 244.12B | 231.07B | 257.53B | 214.59B | 247.32B | 238.62B | 239.69B | 209.31B | 243.36B | 203.8B | 185.78B | 153.41B | 175.92B | 185.87B | 189.32B | 177.81B |
Long-Term Debt | n/a | n/a | n/a | 22.91B | n/a | n/a | n/a | n/a | n/a | n/a | 10.2B | 10.19B | 10.24B | 10.26B | 20.22B | 20.2B | 20.23B | 20.18B | n/a | n/a |
Other Long-Term Liabilities | 30.61B | 30.27B | 28.33B | 4.85B | 27.7B | 28.66B | 28.4B | 28.43B | 26.71B | 27.64B | 27.52B | 27.45B | 19.11B | 26.23B | 29.11B | 26.91B | 17.48B | 24.54B | 24.19B | 22.7B |
Total Long-Term Liabilities | 30.81B | 30.27B | 28.33B | 27.76B | 27.89B | 28.66B | 28.4B | 28.43B | 26.91B | 27.64B | 37.73B | 37.65B | 35.06B | 36.5B | 49.34B | 47.11B | 45.43B | 44.73B | 24.19B | 22.7B |
Total Liabilities | 309.42B | 302.2B | 305.22B | 264.41B | 272.01B | 259.73B | 285.93B | 243.01B | 274.23B | 266.26B | 277.42B | 246.95B | 278.42B | 240.3B | 235.12B | 200.51B | 221.35B | 230.59B | 213.51B | 200.51B |
Total Debt | n/a | n/a | n/a | 22.91B | 12.36B | 25.53B | 11.13B | 10.92B | 10.77B | 11.39B | 21.22B | 21.19B | 21.05B | 21.27B | 20.22B | 20.2B | 20.23B | 41.04B | 45.42B | 35.74B |
Common Stock | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B | 10B |
Retained Earnings | 668.8B | 668.2B | 627.42B | 580.75B | 579.42B | 538.32B | 536.7B | 506.31B | 523.92B | 518.02B | 506.08B | 477.8B | 482.15B | 451.1B | 434.2B | 415.59B | 414.49B | 416.11B | 401.81B | 383.27B |
Comprehensive Income | n/a | 112.44B | n/a | 83.8B | 80.09B | 103.69B | 94.59B | 89.79B | 71.15B | 65.83B | 69.58B | 59.67B | 45.43B | 42.09B | 72.98B | 45.34B | 58.33B | 12.84B | 8.72B | -661M |
Shareholders Equity | 792.85B | 824.91B | 753.57B | 708.58B | 699.52B | 699.26B | 688.53B | 652.88B | 651.85B | 640.63B | 632.44B | 593.89B | 584B | 547.73B | 561.72B | 515.13B | 510.52B | 487.27B | 468.85B | 440.67B |
Total Investments | 173.35B | 211.5B | 136.94B | 111.8B | 116.13B | 172.04B | 149.66B | 146.37B | 140.71B | 136.8B | 128.66B | 119.83B | 113.26B | 118.47B | 165.75B | 124.92B | 121.21B | 94.9B | 83.46B | 69.83B |