Rohto Pharmaceutical Co.Ltd. (RPHCF) Balance Sheet Analysis - Assets, Liabilities & Financial Position - Stocknear

Rohto Pharmaceutical Co.L...

PNK: RPHCF · Real-Time Price · USD
20.09
-6.54 (-24.56%)
At close: Jan 24, 2025, 9:00 PM

Rohto Pharmaceutical Balance Sheet Statement

Financials in JPY. Fiscal year is April - March.
Fiscal Year 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, 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
89.21B 580.26M 515.09M 540.94M 584.78M 591.93M 525.63M 568.91M 582.48M 585.46M 625.15M 525.66M 472.9M 49.2B 47.06B 44.42B
Short-Term Investments
n/a n/a 15.86M n/a 17.01M n/a 14.65M n/a 15.49M n/a n/a n/a 6.42M n/a n/a n/a
Long-Term Investments
n/a 292.09M 270.2M 262.4M 253.19M 228.45M 198.74M 215.99M 231.1M 239.72M 261.08M 248.01M 267.76M n/a n/a n/a
Other Long-Term Assets
49.72B 65.4M 61.23M 60.34M -9.45B 74.67M 71.38M 78.64M -9.43B 89.07M 88.81M 96.1M -25.46M 31.45B 31.84B 31.41B
Receivables
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Inventory
46.66B 343.69M 325.13M 322.53M 309.07M 331.09M 293.37M 294.57M 275.42M 301.81M 291.69M 277.32M 252.71M 33.64B 34.2B 33.21B
Other Current Assets
78.89B 83.82B 79.82B 71.5B 69.23B 73.59B 64.99B 60.43B 57.99B 55.73B 53.23B 45.96B 52.18B 45.67B 48.16B 44.44B
Total Current Assets
214.76B 1.52B 1.39B 1.36B 1.43B 1.48B 1.28B 1.31B 1.35B 1.37B 1.4B 1.22B 1.2B 128.51B 129.41B 122.07B
Property-Plant & Equipment
68.61B 484.69M 457.44M 461.97M 498.15M 516.66M 468.03M 487.31M 516.22M 521.17M 538.29M 465.83M 450.59M 49.45B 48.58B 47.98B
Goodwill & Intangibles
9.22B 9.13B 9.33B 9.47B 9.56B 9.65B 9.81B 9.29B 9.54B 9.32B 7.32B 7.45B 104.52M 5.82B 4.95B 5.02B
Total Long-Term Assets
131.41B 906.88M 851.31M 850.31M 898.96M 893.36M 805.93M 850.36M 906.29M 930.96M 953.92M 877.05M 839.09M 86.71B 85.37B 84.42B
Total Assets
346.18B 2.42B 2.24B 2.21B 2.33B 2.38B 2.09B 2.16B 2.26B 2.3B 2.35B 2.09B 2.04B 215.23B 214.79B 206.49B
Account Payables
16.99B 18.31B 18.61B 20.18B 16.02B 17.8B 17.3B 18.12B 13.66B 15.63B 14.37B 13.54B 9.6B 12.44B 12.44B 12.51B
Deferred Revenue
n/a 40.99M 37.01M 26.65M 38M 40.45M 32.78M 28.93M 25.11M 40.95M 41.58M 20.2M 44.78M 26.81B 29.27B 27.59B
Short-Term Debt
5.3B 4.36B 4.17B 4.16B 4.18B 4.71B 5.85B 8.04B 8.03B 7.45B 5.49B 2.93B 2.31B 2.34B 2.57B 2.46B
Other Current Liabilities
58.15B -27.86B -27.75B -27.64B -25.83B -27.2B -27.36B -29.52B -24.29B 41.99B -23.81B 38.48B 38.42B 35.81B 37.97B 37.29B
Total Current Liabilities
87.09B 592.71M 555.21M 548.27M 603.38M 609.48M 538.43M 576.73M 587.27M 606.16M 671.31M 515.38M 511.05M 53.31B 55.73B 54.05B
Long-Term Debt
5.19B 5.27B 5.82B 6.94B 7.52B 10.99B 11.53B 12.76B 13.35B 12.98B 9.33B 7.11B 5.79B 6.33B 6.67B 5.22B
Other Long-Term Liabilities
2.68B -5.18B -5.73B -6.85B -8.58B -10.85B -11.4B -12.61B -14.73B 4.89B -9.2B -6.99B -6.67B 7.81B 8.08B 7.95B
Total Long-Term Liabilities
12.05B 88.68M 88.27M 95.11M 108.64M 140.56M 129.55M 147.23M 158.58M 155.23M 127.27M 126.67M 114.98M 14.15B 14.75B 13.18B
Total Liabilities
99.14B 681.39M 643.48M 643.38M 712.02M 750.03M 667.98M 723.95M 745.86M 761.39M 798.58M 642.05M 626.03M 67.45B 70.48B 67.22B
Total Debt
10.49B 68.26M 66.88M 76.94M 102.46M 119.72M 120.07M 153.19M 178.44M 177.51M 133.11M 90.53M 76.82M 8.68B 9.25B 7.69B
Common Stock
6.5B 46.09M 43.52M 45.06M 48.96M 49.59M 44.92M 47.9M 53.43M 56.49M 58.43M 58.6M 58.86M 6.5B 6.5B 6.5B
Retained Earnings
209.4B 1.45B 1.32B 1.32B 1.39B 1.37B 1.2B 1.23B 1.33B 1.37B 1.38B 1.33B 1.32B 140.06B 136.68B 132.44B
Comprehensive Income
n/a 202.4M 189.3M 160.37M 140.79M 165.07M 139.2M 110.32M 71.76M 51.68M 50.4M 50.18M 65.42M n/a n/a n/a
Shareholders Equity
246.32B 1.7B 1.56B 1.53B 1.58B 1.58B 1.38B 1.39B 1.46B 1.49B 1.5B 1.45B 1.41B 147.11B 143.64B 138.61B
Total Investments
44.34B 292.09M 286.06M 262.4M 270.2M 228.45M 213.39M 215.99M 246.6M 239.72M 261.08M 248.01M 274.17M 24.59B 24.62B 24.16B