Rakuten Group Inc.

OTC: RKUNF · Real-Time Price · USD
5.64
0.44 (8.46%)
At close: Aug 15, 2025, 12:35 PM
5.20
-7.79%
After-hours: Aug 13, 2025, 08:00 PM EDT

Rakuten Balance Sheet Statement

Financials in JPY. Fiscal year is January - December.
Fiscal Year 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
Cash & Equivalents
5,942.2B 5,369.1B 5,127.7B 4,704.8B 5,005.5B 4,504.2B 4,694.4B 4,571.2B 4,396.6B 4,333B 4,410.3B 3,841.7B 3,698.6B 3,230.3B
Short-Term Investments
205.01B 1,431.6B 110.77B -272.92B -246.5B -6,580.4B 93.44B -6,022.2B -5,702B 1,150.6B -45.06B -38.65B -34.65B -38.91B
Long-Term Investments
15,320.2B 15,145B 5,628.2B 6,929.3B 6,851.4B 12,635B 4,853.7B 12,024.8B 11,311.4B 10,843B 4,876B 4,970.3B 4,516.2B 4,393.6B
Other Long-Term Assets
n/a 448.82B 171.23B 409.56B 366.53B -6,039.4B 1,723B -5,485.3B -5,226.8B -4,883.9B 260.42B 252.91B 248.62B 252.67B
Receivables
3,352.4B n/a 3,683.8B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Inventory
n/a -10,468.3B n/a -2,470.1B -2,539.6B -2,017.1B -1,494.6B -299.02B -279.57B -270.62B -3,070.8B -225.57B -212.6B -219.51B
Other Current Assets
n/a 7,276.2B 5,397B 6,977.2B 6,816.5B 6,698.5B 6,647.8B 6,116.8B 5,800.5B 5,450.2B 5,225.1B 4,527.4B 4,317.6B 4,056.5B
Total Current Assets
21,412B 5,707.1B 14,319.3B 11,682B 11,822B 11,202.8B 11,342.1B 10,688B 10,197.1B 9,783.3B 9,635.4B 8,369.1B 8,016.3B 7,286.8B
Property-Plant & Equipment
1,236.3B 1,257B 1,267.8B 1,270.2B 1,280.9B 1,285.9B 1,262.1B 1,201.3B 1,162.7B 1,097.7B 975.36B 866.49B 855.13B 775.27B
Goodwill & Intangibles
1,115.2B 1,073.9B 1,024.2B 1,044.8B 1,025.9B 969.06B 974.37B 1,024.7B 984.23B 889.13B 859B 831.75B 711.76B 662.88B
Total Long-Term Assets
11,294.5B 18,144B 8,306.3B 9,959B 9,826B 9,146.8B 9,095.1B 9,057.9B 8,508.2B 8,202.5B 7,195.9B 7,070.5B 6,481.4B 6,208.3B
Total Assets
24,828.3B 23,851.1B 22,625.6B 21,641B 21,648B 20,349.5B 20,437.3B 19,745.9B 18,705.3B 17,985.7B 16,831.2B 15,439.6B 14,497.7B 13,495.2B
Account Payables
367.61B 425.7B 419.88B 384.07B 343.01B 396.65B 450.56B 341.42B 351.77B 356.67B 392.45B 284.22B 268.41B 289.34B
Deferred Revenue
n/a -5,097.7B 30.14B -4,813.3B -4,874.8B -4,975.4B -703.44B -4,908.5B -4,310.6B -3,960.1B -1,389.9B -2,795.2B -2,662.4B -2,574.1B
Short-Term Debt
n/a n/a 677.85B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Liabilities
22,642.3B 18.98B 15,825B 21.75B 18B 12.71B 18.14B 7.37B 9.57B 8.34B 13.5B 5.11B 7.62B 6.52B
Total Current Liabilities
23,028.6B 444.68B 16,952.9B 405.82B 361.01B 409.36B 468.7B 348.79B 361.34B 365.01B 405.95B 289.33B 276.03B 295.86B
Long-Term Debt
5,437.3B 5,097.7B 4,795.2B n/a 4,874.8B n/a n/a n/a 4,310.6B 3,960.1B 3,402.9B 2,795.2B 2,662.4B 2,574.1B
Other Long-Term Liabilities
17,872.6B -4,431.7B -213.84B 618.7B -4,269.1B 598.72B 19,092.8B 583.89B -3,752.6B -3,369.1B -2,821.9B -2,238.9B -2,124.5B -1,998.8B
Total Long-Term Liabilities
23,313.9B 22,294.6B 4,584.9B 20,104B 20,114.7B 19,160.8B 19,097.5B 18,385.4B 17,297B 16,566.5B 15,308B 14,009B 13,054.6B 12,316.4B
Total Liabilities
23,700.2B 22,739.2B 21,537.9B 20,509.8B 20,475.7B 19,570.1B 19,566.2B 18,734.1B 17,658.3B 16,931.5B 15,713.9B 14,298.3B 13,330.6B 12,612.3B
Total Debt
5,437.3B 5,097.7B 4,861.3B 4,813.3B 4,874.8B 4,975.4B 4,912.8B 4,908.5B 4,310.6B 3,960.1B 3,402.9B 2,795.2B 2,662.4B 2,574.1B
Common Stock
450.14B 447.84B 446.77B 445.89B 444.94B 295B 294.06B 293.37B 292.62B 290.61B 289.67B 288.92B 287.91B 286.64B
Retained Earnings
-731.15B -685.34B -643.99B -507.28B -438.72B -370.91B -253.96B -132.66B -51.22B 43.57B 142.67B 190.73B 219.11B 259.49B
Comprehensive Income
n/a 545.84B 492.27B 538.4B 515.12B 440.76B 419.84B 505.41B 462.85B 382.08B 349.4B 329.13B 11.34B 594.32B
Shareholders Equity
860.04B 852.58B 836.57B 975.81B 1,018.1B 721.69B 813.73B 984.21B 1,019.9B 1,030.7B 1,093.7B 1,119.3B 1,144.6B 861.15B
Total Investments
15,525.2B 15,145B 5,739B 6,656.4B 6,604.9B 6,054.6B 6,069.8B 6,002.6B 5,609.4B 5,597.7B 4,830.9B 4,931.6B 4,481.5B 4,354.7B