Suzuki Motor Corporation

OTC: SZKMY · Real-Time Price · USD
48.39
-0.33 (-0.68%)
At close: Aug 15, 2025, 3:59 PM
48.37
-0.04%
After-hours: Aug 15, 2025, 03:59 PM EDT

Suzuki Motor 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
842.71B 788.49B 930.38B 875.22B 952.84B 812.68B 947.88B 904.93B 958.45B 996B 1,044.1B 1,036.6B 964.32B 1,010.1B 1,062.6B 1,054.2B 1,024.6B 932.83B 917.71B 825.31B
Short-Term Investments
331.25B n/a 212.32B n/a 101.59B 47.21B 53.37B 30B 45.4B 45.43B 161.91B 112.81B 122.31B 100.63B 79.8B 201.1B 201.55B 100.47B 111.59B 105.71B
Long-Term Investments
1,499.6B 1,623B 1,421.9B 1,621.6B 1,403.1B 1,214.4B 1,209.8B 1,389.4B 999.94B 843.45B 723.56B 1,114.5B 917.97B 991.22B 956.93B 456.83B 502.76B 641.95B 587.75B 531.36B
Other Long-Term Assets
3M 68.86B 4M 75.07B 121.82B 224.26B 208.67B 197.76B 118.29B 227.95B 227.82B 219.19B 1.24B 191.71B 186B 186.29B 252.62B 213.58B 211.78B 214B
Receivables
590.3B 508.59B 549.86B 592.32B 558.77B 485.72B 526.13B 502.58B 483.91B 436.54B 457.02B 428.39B 427.21B 390.87B 381.44B 419.2B 444.46B 389.67B 415.01B 384.99B
Inventory
571.47B 631.92B 583.82B 593.51B 591.76B 606.24B 557.34B 518.04B 485.31B 452.54B 440.44B 382.89B 369.45B 333.03B 326.11B 338.65B 355.91B 362.65B 328.56B 345.35B
Other Current Assets
192.95B 514.26B 168.58B 354.89B 232.68B 231.24B 230.34B 245.18B 215.45B 226.6B 218.23B 200.9B 167.93B 162.14B 166.69B 165.48B 132.32B 144.47B 130.23B 159.42B
Total Current Assets
2,528.7B 2,443.3B 2,445B 2,415.9B 2,437.6B 2,183.1B 2,315.1B 2,200.7B 2,188.5B 2,157.1B 2,321.7B 2,161.6B 2,051.2B 1,996.8B 2,016.6B 2,178.6B 2,158.8B 1,930.1B 1,903.1B 1,820.8B
Property-Plant & Equipment
1,723.5B 1,732.8B 1,620.4B 1,689.5B 1,329.8B 1,238.3B 1,235.9B 1,202.1B 1,134.5B 1,100.2B 1,143.3B 1,109.8B 1,038B 1,002.5B 981.42B 979.98B 978.92B 939.47B 939.73B 920.93B
Goodwill & Intangibles
178.16B 159.8B 158.65B 144.62B 7.8B 5B 6.01B 5.24B 3.84B 3.24B 4.75B 4.18B 3.4B 2.77B 2.12B 2.32B 2.35B 1.47B 1.64B 1.89B
Total Long-Term Assets
3,465B 3,584.4B 3,270.5B 3,530.8B 2,948B 2,729.2B 2,713.8B 2,596.7B 2,389.2B 2,220.2B 2,261.4B 2,228.5B 2,103.9B 1,996.4B 1,940.5B 1,826.5B 1,877.6B 1,896.9B 1,852.5B 1,773.9B
Total Assets
5,993.7B 6,027.7B 5,715.5B 5,946.7B 5,385.6B 4,912.3B 5,028.8B 4,797.4B 4,577.7B 4,377.3B 4,583.1B 4,390.1B 4,155.2B 3,993.2B 3,957.1B 4,005.1B 4,036.4B 3,827B 3,755.6B 3,594.7B
Account Payables
422.14B 454.87B 426.86B 418.76B 442.56B 376.35B 433.19B 356.86B 383.15B 318.63B 372.38B 331.02B 302.63B 296.44B 303.05B 350.61B 409.19B 381.56B 356.72B 226.2B
Deferred Revenue
n/a n/a n/a n/a 67.12B 246.13B 261.08B 250.01B 484.68B 275.93B 282.61B 268.77B 484.69B 264.94B 256.03B 269.15B 515.02B 219.62B 234.27B 254.65B
Short-Term Debt
297.83B 266.41B 247.59B 238.24B 456.78B 454.7B 451.68B 457.39B 347.05B 346.67B 323.18B 311.08B 190.82B 303.06B 310.46B 365.72B 568.85B 506.42B 509.98B 508.98B
Other Current Liabilities
829.79B 822.21B 779.64B 845.34B 511.3B 718.72B 779.58B 745.64B 525.08B 730.83B 796.27B 764.25B 561.08B 669.11B 687.86B 682.61B 481.61B 650.43B 649.86B 649.63B
Total Current Liabilities
1,602.6B 1,543.5B 1,521.4B 1,502.3B 1,741B 1,549.8B 1,664.5B 1,559.9B 1,487.4B 1,396.1B 1,491.8B 1,406.4B 1,256.5B 1,268.6B 1,301.4B 1,398.9B 1,688.5B 1,538.4B 1,516.6B 1,384.8B
Long-Term Debt
427.46B 486.83B 509.55B 534.24B 329.4B 324.28B 315.54B 306.65B 416.79B 407.54B 420.92B 421.98B 483.33B 429.98B 426.9B 398.21B 201.97B 278.89B 282.84B 312.65B
Other Long-Term Liabilities
183.98B 296.77B 183.41B 276.64B 172.66B 183.21B 181.18B 174.62B 79.85B 156.24B 158.99B 153.8B 70.49B 146.16B 144.71B 145.52B 29.12B 113.06B 113.14B 110.43B
Total Long-Term Liabilities
703.03B 783.6B 772.63B 810.88B 506.17B 507.49B 496.71B 481.27B 581.66B 563.78B 579.91B 575.78B 634.97B 576.14B 571.61B 543.74B 315.94B 391.94B 395.99B 423.08B
Total Liabilities
2,305.6B 2,327.1B 2,294.1B 2,313.2B 2,247.2B 2,057.3B 2,161.2B 2,041.2B 2,069.1B 1,959.9B 2,071.7B 1,982.1B 1,891.5B 1,844.7B 1,873B 1,942.7B 2,004.4B 1,930.4B 1,912.5B 1,807.9B
Total Debt
725.3B 753.24B 757.14B 772.48B 786.18B 778.98B 767.22B 764.05B 763.84B 754.21B 744.1B 733.06B 674.16B 733.04B 737.36B 763.93B 770.83B 785.3B 792.82B 821.63B
Common Stock
138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.37B 138.32B 138.32B 138.32B 138.32B 138.26B 138.26B 138.26B 138.26B 138.2B
Retained Earnings
2,619.7B 2,485.1B 2,426.5B 2,323.2B 2,030.1B 1,960.5B 1,918.3B 1,856B 1,813.2B 1,775.5B 1,731.5B 1,674.7B 1,638.7B 1,614.2B 1,600.8B 1,585B 1,519.8B 1,486.7B 1,445.7B 1,393.1B
Comprehensive Income
n/a 330.26B n/a 413.49B 292.81B 144.94B 202.6B 159.85B 7.7B -27.39B 81.39B 51.71B -21.27B -83.55B -116.22B -121.63B 260.63B -162.35B -164.37B -173.11B
Shareholders Equity
2,970.7B 2,973.6B 2,777.4B 2,900.7B 2,491.1B 2,275.2B 2,358.2B 2,267.9B 2,078.1B 2,009B 2,073.8B 1,987.2B 1,878.3B 1,791.4B 1,745.4B 1,724.1B 1,687.6B 1,584.9B 1,541.9B 1,482.9B
Total Investments
1,460.1B 1,623B 1,383.3B 1,621.6B 1,504.7B 1,261.6B 1,263.2B 1,191.6B 1,045.3B 888.88B 885.47B 895.34B 852.27B 799.51B 770.92B 657.93B 704.3B 742.42B 699.34B 637.06B