NEC Corporation (NIPNF)
OTC: NIPNF
· Real-Time Price · USD
31.23
0.00 (0.00%)
At close: Aug 11, 2025, 12:52 PM
NEC 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 30, 2025 | Dec 30, 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 | 584.62B | 480.9B | 483.98B | 509.78B | 476.49B | 382.97B | 403.1B | 477.67B | 419.46B | 405.65B | 436.73B | 425.89B | 430.78B | 413.86B | 483.42B | 562.95B | 523.35B | 367.71B | 371.41B | 405.55B |
Short-Term Investments | n/a | n/a | 11.23B | 15.18B | 15.73B | 18.38B | 20.94B | 16.29B | 15.78B | 16.41B | 18.99B | 18.93B | 17.55B | 9.79B | 8.93B | 9.59B | 9.57B | 6.24B | 5.84B | 5.28B |
Long-Term Investments | 107.24B | 648.43B | 282.51B | 653.46B | 311.02B | 269.98B | 269.45B | 545.35B | 272.38B | 299.08B | 310.28B | 537.61B | 520.79B | 454.07B | 448.75B | 272.97B | 283.74B | 337.07B | 313.72B | 316.85B |
Other Long-Term Assets | 657.18B | 168.92B | 344.65B | n/a | 342.8B | 265.99B | 269.1B | n/a | 258.63B | 222.66B | 227.96B | n/a | n/a | n/a | n/a | 177.18B | 167.55B | 40.52B | 25.31B | 25.06B |
Receivables | 1,252.9B | 560.95B | 500.64B | 912.61B | 829.5B | 560.55B | 590.75B | 506.31B | 799.88B | 573.5B | 557.99B | 481.77B | 722.33B | 496.62B | 505.24B | 465.74B | 975.82B | 874.77B | 792.36B | 696.3B |
Inventory | 184.78B | 296.62B | 293.85B | 299.75B | 242.63B | 367.13B | 329.4B | 323.3B | 267.58B | 355.31B | 323.12B | 308.92B | 246.24B | 301.93B | 255.68B | 234.32B | 185.55B | 251B | 239.99B | 240.14B |
Other Current Assets | 202.66B | 731.81B | 696.07B | 628.1B | 524.49B | 710.78B | 681.17B | 628.34B | 442.42B | 603.43B | 562.17B | 505.73B | 377.68B | 523.21B | 487.82B | 454.64B | 106.6B | 132.1B | 180.66B | 171.01B |
Total Current Assets | 2,225B | 2,070.3B | 1,974.5B | 1,941B | 2,141.8B | 2,021.4B | 2,004.4B | 1,935.6B | 1,995.9B | 1,937.9B | 1,880B | 1,722.3B | 1,836.7B | 1,735.6B | 1,732.2B | 1,717.6B | 1,860.8B | 1,631.8B | 1,590.3B | 1,518.3B |
Property-Plant & Equipment | 580.16B | 564.79B | 556.62B | 572.87B | 510.97B | 595.09B | 592.27B | 593.38B | 563.38B | 541.99B | 534.04B | 540.8B | 540.26B | 539.29B | 542.05B | 544.73B | 553.17B | 553.96B | 553.16B | 565.28B |
Goodwill & Intangibles | 745.78B | 768.55B | 750.19B | 798.27B | 764.05B | 778.82B | 781.49B | 782.45B | 733.82B | 733.92B | 753.69B | 742.1B | 710.68B | 673.04B | 662.23B | 671.59B | 669.39B | 642.39B | 389.26B | 382.31B |
Total Long-Term Assets | 2,090.4B | 2,150.7B | 2,094.8B | 2,183.3B | 2,085.7B | 2,069.5B | 2,073.7B | 2,080.5B | 1,988.1B | 1,951.3B | 1,978B | 1,972B | 1,925B | 1,793.1B | 1,783.5B | 1,801.2B | 1,807.7B | 1,712.1B | 1,435.7B | 1,451.4B |
Total Assets | 4,315.4B | 4,221B | 4,069.4B | 4,124.3B | 4,227.5B | 4,090.9B | 4,078.1B | 4,016.1B | 3,984.1B | 3,889.2B | 3,858B | 3,694.3B | 3,761.7B | 3,528.7B | 3,515.7B | 3,518.9B | 3,668.6B | 3,343.9B | 3,025.9B | 2,969.7B |
Account Payables | 492.83B | 434.67B | 409.05B | 449.98B | 519.76B | 467.09B | 458.29B | 451.35B | 497.63B | 422.84B | 415.48B | 404.15B | 446.79B | 406.68B | 393.94B | 398.56B | 391.11B | 406.62B | 373.06B | 371.23B |
Deferred Revenue | n/a | n/a | 362.31B | 395.38B | 389.91B | 621.32B | 655.3B | 632.42B | 629.2B | 578.62B | 618.54B | 580.33B | 599.29B | 497.09B | 524.69B | 513.41B | 250.01B | 228.53B | 199.18B | 214.72B |
Short-Term Debt | 233.89B | 208.99B | 134.27B | 75.1B | 84.67B | 194.94B | 133.39B | 152.48B | 130.87B | 291.56B | 238.96B | 164.8B | 186.77B | 270.56B | 279.69B | 93.89B | 51.51B | 176.9B | 65.93B | 95.29B |
Other Current Liabilities | 604.19B | 495.14B | 317.71B | 539.85B | 169.73B | 147.92B | 364.39B | 343.62B | 161.23B | 148.92B | 140.4B | 164.73B | 152.54B | 323.45B | 327.42B | 138.39B | 213.3B | 121.23B | 123.55B | 146.89B |
Total Current Liabilities | 1,633.4B | 1,397.1B | 1,285.8B | 1,299.8B | 1,469.4B | 1,394.2B | 1,344.5B | 1,348.1B | 1,365.5B | 1,392.9B | 1,352.9B | 1,256.6B | 1,334B | 1,278.2B | 1,280.4B | 1,108.2B | 1,197.5B | 1,156.9B | 999.89B | 1,032.8B |
Long-Term Debt | 255.84B | 258.47B | 304.52B | 284.4B | 298.28B | 304.48B | 334.44B | 295.83B | 320.79B | 325.23B | 288.44B | 246.76B | 257.9B | 261.16B | 265.3B | 452.97B | 488.74B | 492.5B | 416.65B | 409.72B |
Other Long-Term Liabilities | 230.49B | 244.17B | 240.89B | 254.99B | 220.09B | 280.98B | 285.23B | 287B | 275.26B | 270.4B | 277.54B | 275.91B | 279.97B | 290.74B | 290.45B | 293.07B | 305.35B | 323.41B | 310.3B | 306.06B |
Total Long-Term Liabilities | 610.44B | 664.7B | 702.62B | 708.84B | 668.64B | 699.89B | 737.7B | 707.38B | 705.82B | 697.38B | 661.88B | 625.79B | 641.11B | 659.61B | 664.15B | 856.92B | 909.22B | 931.29B | 829.15B | 824.62B |
Total Liabilities | 2,243.9B | 2,061.8B | 1,995.5B | 2,008.7B | 2,138B | 2,094.1B | 2,082.2B | 2,055.4B | 2,071.3B | 2,090.3B | 2,014.8B | 1,882.3B | 1,975.1B | 1,937.8B | 1,944.6B | 1,965.1B | 2,106.7B | 2,088.2B | 1,829B | 1,857.5B |
Total Debt | 666.36B | 684.76B | 647.41B | 359.5B | 548.64B | 668.25B | 641.79B | 626.46B | 608.48B | 764.71B | 669.38B | 564.59B | 597.38B | 688.9B | 701.57B | 706.88B | 702.86B | 833.62B | 630.97B | 663.1B |
Common Stock | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 427.83B | 397.2B |
Retained Earnings | 1,023.9B | 920.32B | 880.91B | 861.61B | 883.45B | 767.97B | 762.85B | 742.55B | 764.6B | 676.47B | 668.98B | 651.15B | 678.65B | 562.31B | 564.36B | 551.24B | 564.66B | 469.59B | 436.98B | 420.97B |
Comprehensive Income | 484.26B | 500.68B | 457.39B | 514.39B | 467.98B | 369.74B | 373.1B | 362.92B | 297.94B | 277.7B | 303.37B | 287.76B | 239.84B | 174.12B | 154.91B | 154.06B | 148.27B | -16.52B | -40.17B | -40.8B |
Shareholders Equity | 1,952B | 1,986B | 1,903.2B | 1,940.4B | 1,915.6B | 1,698.6B | 1,696.8B | 1,666.8B | 1,623.8B | 1,518.5B | 1,557.8B | 1,532.3B | 1,513.5B | 1,331.2B | 1,314.2B | 1,299.9B | 1,308.2B | 1,049.4B | 993.19B | 912.34B |
Total Investments | 107.24B | 648.43B | 282.51B | 653.46B | 311.02B | 288.36B | 290.39B | 296.4B | 288.16B | 315.48B | 329.27B | 328.66B | 313.01B | 282.79B | 279.55B | 282.56B | 283.74B | 337.07B | 313.72B | 316.85B |