Toray Industries Inc. (TRYIY)
OTC: TRYIY
· Real-Time Price · USD
13.10
0.11 (0.85%)
At close: Aug 15, 2025, 3:54 PM
13.50
3.05%
Pre-market: Aug 14, 2025, 10:24 AM EDT
Toray Industries 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 | 237.29B | 239.38B | 220.7B | 247.97B | 235.89B | 229.39B | 226.35B | 216.54B | 224B | 214.61B | 226.35B | 247.56B | 229.3B | 200.37B | 198.76B | 233.97B | 236.35B | 229.12B | 231.46B | 231.1B |
Short-Term Investments | 17.23B | n/a | 16.31B | n/a | 12.97B | 39.31B | 17.32B | 40.95B | 30.69B | 16.14B | 17.32B | 14.37B | 7.83B | 6.25B | 7.59B | 6.22B | 6.14B | 5.71B | 8.79B | 15.59B |
Long-Term Investments | 448B | 484.12B | 475.89B | 617.91B | 507.24B | 467.32B | 457.01B | 426.77B | 418.68B | 447.41B | 457.01B | 449.35B | 390.62B | 383.23B | 387.52B | 378.54B | 385.35B | 360.14B | 355.42B | 344.32B |
Other Long-Term Assets | n/a | 27.47B | n/a | 28.08B | 87.63B | 69.93B | 60.12B | 109.89B | 84.79B | 66.75B | 60.12B | 55.73B | 50.42B | 42.84B | 39.83B | 37.52B | 55.33B | 44.02B | 42.93B | 48.34B |
Receivables | 605.97B | 643.77B | 606.4B | 653.22B | 659.6B | 624.11B | 624.86B | 568.51B | 586.11B | 655.07B | 637.92B | 587.05B | 576.87B | 594.13B | 529.86B | 505.5B | 522.26B | 525.5B | 449.69B | 420.4B |
Inventory | 520.5B | 569.72B | 551.36B | 564.71B | 531.96B | 551.4B | 555.34B | 566.89B | 521.6B | 544.35B | 555.34B | 536.88B | 469.32B | 447.67B | 427.43B | 398.61B | 369.11B | 379.6B | 405.95B | 423.83B |
Other Current Assets | 80.99B | 156.16B | 165.06B | 104.01B | 95.19B | 128.5B | 124.04B | 132.07B | 97.57B | 86.35B | 88.36B | 82.96B | 97.75B | 91.87B | 57.16B | 79.67B | 53.32B | 52.89B | 56.08B | 62.63B |
Total Current Assets | 1,462B | 1,609B | 1,559.8B | 1,569.9B | 1,522.6B | 1,533.4B | 1,508B | 1,484B | 1,429.3B | 1,500.4B | 1,508B | 1,454.5B | 1,373.2B | 1,334B | 1,213.2B | 1,217.8B | 1,181B | 1,187.1B | 1,143.2B | 1,138B |
Property-Plant & Equipment | 1,163.5B | 1,183.2B | 1,118.7B | 1,177.5B | 1,131.6B | 1,095.2B | 1,077.2B | 1,102.2B | 1,057B | 1,046.3B | 1,077.2B | 1,074.2B | 1,038.5B | 1,013.2B | 1,029.3B | 1,043.9B | 1,048.8B | 1,012.7B | 1,003.2B | 1,018.9B |
Goodwill & Intangibles | 193.94B | 201.22B | 184.08B | 202.58B | 191.26B | 196.67B | 193.87B | 199.11B | 180.03B | 179.13B | 193.87B | 185.41B | 168.84B | 169.3B | 166.08B | 166.29B | 163.87B | 155.53B | 157.68B | 160.47B |
Total Long-Term Assets | 1,830.6B | 1,896B | 1,806B | 2,026.1B | 1,943.9B | 1,855B | 1,813B | 1,863.4B | 1,764.8B | 1,764.2B | 1,813B | 1,788.1B | 1,670.6B | 1,629B | 1,643.3B | 1,646.8B | 1,667.8B | 1,586B | 1,574B | 1,586.3B |
Total Assets | 3,292.6B | 3,505.1B | 3,365.9B | 3,596B | 3,466.5B | 3,388.4B | 3,320.9B | 3,347.4B | 3,194B | 3,264.6B | 3,320.9B | 3,242.6B | 3,043.9B | 2,963.1B | 2,856.6B | 2,864.6B | 2,848.8B | 2,773.1B | 2,717.1B | 2,724.3B |
Account Payables | 315.9B | 329.89B | 313.55B | 339.55B | 340.26B | 327B | 320.17B | 323.9B | 324.14B | 335.69B | 348.66B | 345.93B | 327.45B | 307.7B | 283B | 276.9B | 282.81B | 260.21B | 234.68B | 243.39B |
Deferred Revenue | n/a | n/a | n/a | n/a | 12.76B | 12.73B | 30.84B | 21.97B | 20.15B | 19.99B | 30.84B | 28.25B | 28.68B | 22.97B | 27.78B | 28.25B | 24.83B | 24.35B | 25.5B | 22.82B |
Short-Term Debt | 367.09B | 404.67B | 374.47B | 384.67B | 379.85B | 429.99B | 435.02B | 415.46B | 376.99B | 364.75B | 345.87B | 303.91B | 279.4B | 306.26B | 224.9B | 263.12B | 278.68B | 326.84B | 329.12B | 302.72B |
Other Current Liabilities | 123.77B | 158.76B | 123.3B | 136.82B | 134.63B | 122.32B | 68.36B | 97.03B | 94.91B | 96.17B | 98.14B | 93.45B | 91.97B | 91.38B | 86.44B | 80.02B | 84.42B | 84.36B | 85.85B | 73.35B |
Total Current Liabilities | 857.53B | 904.43B | 843.38B | 873.09B | 865.73B | 889.62B | 834.25B | 869.24B | 826.21B | 826.52B | 834.25B | 782.64B | 741.05B | 741.77B | 632.82B | 659.29B | 681.38B | 705.55B | 685.42B | 652.47B |
Long-Term Debt | 432.47B | 477.47B | 470.38B | 544.91B | 530.56B | 530B | 511.34B | 519.07B | 534.12B | 624.71B | 626.07B | 651.67B | 618.64B | 597.89B | 640.7B | 657.95B | 654.61B | 648.38B | 650.21B | 685.18B |
Other Long-Term Liabilities | 98.76B | 176.72B | 104.81B | 203.26B | 195.59B | 178.19B | 286.32B | 84.16B | 71.18B | 65.27B | 64.75B | 62.02B | 14.25B | 14.11B | 56.07B | 54.42B | 53.02B | 45.58B | 41.03B | 45.1B |
Total Long-Term Liabilities | 614.5B | 686.77B | 684.18B | 777.36B | 754.42B | 736B | 826.56B | 730.57B | 732.02B | 823B | 826.56B | 844.23B | 803.18B | 786.21B | 831.43B | 849.61B | 845.19B | 834.07B | 834.52B | 868.08B |
Total Liabilities | 1,472B | 1,591.2B | 1,527.6B | 1,650.4B | 1,620.2B | 1,625.6B | 1,660.8B | 1,599.8B | 1,558.2B | 1,649.5B | 1,660.8B | 1,626.9B | 1,544.2B | 1,528B | 1,464.2B | 1,508.9B | 1,526.6B | 1,539.6B | 1,519.9B | 1,520.5B |
Total Debt | 842.66B | 925.82B | 888.95B | 970.8B | 949.68B | 998.11B | 1,014.6B | 974.73B | 950.09B | 1,029.2B | 1,014.6B | 993.39B | 935.66B | 941.25B | 904.5B | 961.97B | 973.93B | 1,015.7B | 1,022.2B | 1,025.8B |
Common Stock | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B | 147.87B |
Retained Earnings | 1,170.5B | 1,147.5B | 1,117.4B | 1,081.5B | 1,068.4B | 1,072.8B | 1,027.1B | 1,047B | 1,037.1B | 1,032.2B | 1,027.1B | 1,005.7B | 978.98B | 978.58B | 960.68B | 925.75B | 899.99B | 872.51B | 854.06B | 858.79B |
Comprehensive Income | n/a | 417.57B | n/a | 500.35B | 418.07B | 333.46B | 376.1B | 347B | 248.73B | 235.22B | 285.94B | 263.05B | 177.85B | 117.36B | 96.59B | 95.66B | 248.38B | 30.26B | 14.45B | 12.22B |
Shareholders Equity | 1,709B | 1,799.7B | 1,726.8B | 1,831.6B | 1,736B | 1,655.9B | 1,562B | 1,643.3B | 1,535B | 1,516.5B | 1,562B | 1,517.6B | 1,405.6B | 1,344.6B | 1,305.4B | 1,269.9B | 1,237.9B | 1,150.7B | 1,116.5B | 1,120.6B |
Total Investments | 371.37B | 484.12B | 394.54B | 617.91B | 507.24B | 467.32B | 474.33B | 467.71B | 449.38B | 463.55B | 474.33B | 463.71B | 398.44B | 389.49B | 395.11B | 384.76B | 391.48B | 365.85B | 364.21B | 359.91B |