Shin-Etsu Chemical Co. Lt...

OTC: SHECY · Real-Time Price · USD
15.67
0.25 (1.62%)
At close: Aug 15, 2025, 3:58 PM
15.68
0.08%
After-hours: Aug 15, 2025, 04:00 PM EDT

Shin-Etsu Chemical 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
1,708.4B 1,593.6B 1,814.5B 1,684B 590.13B 1,645.8B 1,678.4B 1,429.9B 1,449.6B 1,349B 1,248.2B 1,096.9B 1,112.8B 977.24B 954.94B 897.69B 866.88B 795.07B 826.95B 783.18B
Short-Term Investments
103.24B 4.57B 6.61B 36.52B 1,129.6B 32.4B 41.08B 127.53B 151.03B 174.72B 285.55B 250.99B 323.31B 288.78B 326.22B 262.22B 286.04B 235.07B 266.37B 258.87B
Long-Term Investments
n/a 315.63B 326.83B 365.93B 187.54B 323.38B 350.57B 341.89B 20.08B 158.56B 47.74B 314.65B 249.14B 294.29B 294.08B 25.32B -135.47B 43.92B 12.03B 17.46B
Other Long-Term Assets
233.94B 1M 1M 1M 95.86B -6.49B -6.82B -6.59B 243.22B -6.39B -6.92B -6.51B -1M -2.35B -2.2B -2.18B 368.4B -2.23B -2.23B -2.27B
Receivables
514.7B 554.58B 549.9B 496.53B 474.76B 512.75B 516.78B 487.64B 466.86B 598.81B 607.77B 542.3B 467.69B 457.1B 416.6B 366.45B 337.87B 347.65B 310.77B 313.04B
Inventory
769.97B 713.88B 735.26B 717.75B 720.64B 721.39B 719.68B 695.43B 688.48B 649.55B 571.85B 498.86B 453.66B 401.11B 387.25B 373.49B 365.03B 366.2B 368.92B 357.17B
Other Current Assets
113.31B 112.75B 107.9B 137.48B 121.39B 89.45B 84.65B 106.9B 107.54B 88.81B 71.16B 101.78B 80.54B 76.2B 48.35B 76.68B 59.09B 57.75B 39.83B 54.27B
Total Current Assets
3,209.7B 2,979.4B 3,214.2B 3,072.3B 3,036.5B 3,001.8B 3,040.6B 2,847.4B 2,863.5B 2,860.9B 2,784.5B 2,490.8B 2,438B 2,200.4B 2,133.3B 1,976.5B 1,914.9B 1,801.7B 1,812.8B 1,766.5B
Property-Plant & Equipment
2,065.9B 1,952.7B 2,060B 1,877.8B 1,746.6B 1,762.2B 1,691.4B 1,557.9B 1,518.2B 1,571.3B 1,490.4B 1,356.7B 1,290.2B 1,253.8B 1,238.7B 1,228.2B 1,165.1B 1,165.6B 1,150.4B 1,129.5B
Goodwill & Intangibles
36.91B 38.17B 35.02B 11.63B 10.2B 10.51B 10.34B 10.32B 10.35B 12.44B 11.18B 10.96B 10.54B 10.57B 10.73B 9.35B 8.92B 9.48B 9.6B 9.51B
Total Long-Term Assets
2,426.9B 2,306.6B 2,421.8B 2,255.3B 2,111.5B 2,122B 2,052.3B 1,910.1B 1,866.9B 1,910.6B 1,828B 1,682.3B 1,615.4B 1,558.7B 1,543.5B 1,522.9B 1,465.7B 1,451.8B 1,436.2B 1,413.1B
Total Assets
5,636.6B 5,285.9B 5,636B 5,327.6B 5,148B 5,123.8B 5,092.9B 4,757.6B 4,730.4B 4,771.5B 4,612.5B 4,173.1B 4,053.4B 3,759.1B 3,676.9B 3,499.4B 3,380.6B 3,253.6B 3,249B 3,179.6B
Account Payables
184.37B 170.86B 174.75B 142.27B 161.36B 162.26B 161.79B 163.27B 185.01B 200.1B 199.79B 177.83B 177.68B 149.69B 143.29B 130.85B 125.41B 114.74B 104.48B 113.63B
Deferred Revenue
n/a n/a n/a n/a 73.14B 4.7B 75.96B 3.74B 248.15B 45.94B 81.31B 68B 229.05B 42.88B 61.45B 33.88B 185.24B 25.09B 44.16B 21.22B
Short-Term Debt
9.39B 10.95B 11.48B 8.45B 10.39B 6.91B 9.78B 11.18B 11B 14.2B 13.49B 13.33B 13.46B 8.53B 8.9B 11.67B 11.77B 10.79B 9.83B 8.34B
Other Current Liabilities
168.55B 302.83B 254.85B 319.82B 160.36B 308.58B 263.86B 278.81B 154.16B 241.62B 243.76B 223.71B 131.51B 185.26B 182.84B 177.21B 114.42B 162.8B 171.03B 180.7B
Total Current Liabilities
537.09B 484.64B 516.36B 470.55B 520.39B 482.45B 506.67B 457B 507.81B 497.2B 533.79B 479.25B 477.76B 381.94B 392.26B 350.18B 363.25B 309.63B 325.67B 320.63B
Long-Term Debt
7.45B 8.11B 8.36B 14.25B 13.91B 18.69B 18.41B 18.61B 18.81B 18.97B 18.7B 17.66B 16.94B 19.37B 19.45B 17.19B 15.99B 14.27B 14.12B 15.41B
Other Long-Term Liabilities
62.66B 219.95B 225.12B 207.09B 47.88B 196B 192.76B 179.93B 140.63B 168.68B 158.51B 143.26B 21.21B 128.92B 124.89B 122.22B 18.01B 114.9B 115.97B 114.24B
Total Long-Term Liabilities
261.93B 228.05B 233.48B 221.34B 203.5B 214.69B 211.18B 198.54B 196.38B 187.65B 177.22B 160.92B 146.45B 148.3B 144.33B 139.41B 130.74B 129.17B 130.1B 129.64B
Total Liabilities
799.02B 712.7B 749.84B 691.88B 723.9B 697.15B 717.85B 655.53B 704.19B 684.85B 711.01B 640.16B 624.21B 530.24B 536.59B 489.58B 493.99B 438.8B 455.76B 450.27B
Total Debt
16.84B 19.06B 19.84B 22.7B 41.19B 25.6B 28.2B 29.79B 29.81B 33.17B 32.19B 31B 30.4B 27.9B 28.35B 28.86B 27.75B 25.05B 23.95B 23.75B
Common Stock
119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B 119.42B
Retained Earnings
3,755.3B 3,654.6B 3,714.3B 3,564.5B 3,520.4B 3,504.2B 3,499.8B 3,352.3B 3,310.2B 3,282.8B 3,281.5B 3,073.3B 2,993B 2,846B 2,776.2B 2,651B 2,616.1B 2,535.7B 2,508.3B 2,437.3B
Comprehensive Income
n/a 530.41B n/a 689.42B 519.38B 635.79B 559B 360.25B 339.15B 528.37B 408.48B 210.98B 103.46B 62.2B 51.36B 45.34B -36.69B -25.11B -15.78B -17.24B
Shareholders Equity
4,662.5B 4,400.7B 4,700.6B 4,457B 4,262.8B 4,263.2B 4,227.8B 3,940.5B 3,874.2B 3,938.1B 3,772.2B 3,417.2B 3,329.3B 3,140.5B 3,059.3B 2,932.5B 2,815.2B 2,745B 2,724.6B 2,660.9B
Total Investments
134.63B 320.21B 332.65B 402.44B 1,317.1B 355.78B 357.39B 348.48B 171.11B 333.28B 333.28B 321.16B 161.34B 296.64B 296.29B 287.54B 150.57B 278.99B 278.4B 276.34B