Nippon Sanso Corporation (TYNPF)
OTC: TYNPF
· Real-Time Price · USD
39.93
1.83 (4.80%)
At close: Aug 15, 2025, 3:51 PM
38.10
-4.58%
After-hours: Aug 13, 2025, 08:00 PM EDT
Nippon Sanso 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 | 144.53B | 123.73B | 135.13B | 121.54B | 126.1B | 204.37B | 101.02B | 122.42B | 132.22B | 109.53B | 101.02B | 90.54B | 93.7B | 78.64B | 84.17B | 85.25B | 91.06B | 95.67B | 104.34B | 128.82B |
Short-Term Investments | 14.59B | n/a | 15.17B | n/a | 27.22B | 25.29B | 28.88B | 25.3B | 22.48B | 24.55B | 28.88B | 10.28B | 7.31B | 6.81B | 6.11B | 7.33B | 6.71B | 7.33B | 7.82B | 8.63B |
Long-Term Investments | 61.17B | 58.76B | 106.45B | 141.31B | 118.11B | 75.51B | 60.15B | 74.7B | 62.51B | 62.66B | 60.15B | 75.58B | 83.8B | 83.4B | 78.51B | 74.2B | 75.32B | 72.94B | 67.65B | 64.39B |
Other Long-Term Assets | 72.11B | 83.67B | 28.2B | 3.67B | 13.85B | 35.85B | 32.66B | 36.04B | 33.75B | 28.53B | 32.66B | 14.11B | 10.95B | 10.45B | 9.77B | 10.95B | 10.3B | 10.05B | 10.53B | 10.97B |
Receivables | 263.08B | 263.99B | 250.34B | 283.63B | 282.2B | 260.01B | 260.73B | 248.52B | 243.54B | 243.43B | 236.47B | 225.3B | 218.48B | 208.23B | 189.09B | 186.18B | 182.08B | 179.74B | 171.24B | 170.06B |
Inventory | 99.51B | 110.24B | 103.14B | 104.85B | 100.46B | 107.57B | 98.94B | 103.64B | 97.61B | 103.09B | 98.94B | 91.71B | 80.06B | 81.93B | 75.74B | 73.52B | 69.61B | 73.9B | 71.16B | 69.15B |
Other Current Assets | 44.07B | 56.26B | 37.71B | 68.06B | 59.44B | 83.43B | 73.64B | 74.27B | 53.7B | 52.23B | 61.07B | 40B | 30.25B | 29.47B | 25.57B | 28.87B | 26.15B | 25.21B | 24.27B | 25.43B |
Total Current Assets | 565.78B | 554.22B | 541.49B | 578.08B | 568.2B | 655.38B | 497.5B | 548.86B | 527.07B | 508.29B | 497.5B | 447.55B | 422.49B | 398.27B | 374.57B | 373.82B | 368.9B | 374.53B | 371.02B | 393.46B |
Property-Plant & Equipment | 899.31B | 932.56B | 866.68B | 936.4B | 877.4B | 822.4B | 794.58B | 815.11B | 776.15B | 762.27B | 794.58B | 777.22B | 729.66B | 692.4B | 681.52B | 682.95B | 685.73B | 656.62B | 657.07B | 658.2B |
Goodwill & Intangibles | 816.26B | 844.42B | 797.16B | 872.84B | 828.16B | 799.65B | 767.34B | 810.38B | 756.02B | 744.76B | 767.34B | 764.36B | 726.51B | 692.67B | 687.82B | 697.15B | 692.79B | 670.83B | 663.37B | 656.91B |
Total Long-Term Assets | 1,852.4B | 1,919.4B | 1,802B | 1,954.2B | 1,840.9B | 1,736.9B | 1,658.2B | 1,739.7B | 1,631.9B | 1,601.6B | 1,658.2B | 1,635B | 1,554.5B | 1,482.1B | 1,460.9B | 1,468.6B | 1,467.4B | 1,414.9B | 1,403.3B | 1,395.1B |
Total Assets | 2,418.2B | 2,473.6B | 2,343.5B | 2,532.3B | 2,409.1B | 2,392.2B | 2,155.7B | 2,288.6B | 2,158.9B | 2,109.9B | 2,155.7B | 2,082.5B | 1,977B | 1,880.4B | 1,835.5B | 1,842.4B | 1,836.3B | 1,789.5B | 1,774.3B | 1,788.5B |
Account Payables | 133.82B | 127.13B | 121.62B | 132.54B | 136.03B | 117.94B | 120.6B | 125.42B | 128.2B | 120.56B | 124.67B | 114.39B | 115.12B | 107.42B | 95.8B | 93.63B | 96.09B | 90.81B | 82.66B | 82.69B |
Deferred Revenue | n/a | n/a | n/a | n/a | 14.17B | 122.89B | 106.21B | 118.89B | 118.59B | 101.95B | 106.21B | 85.74B | 76.04B | 66.51B | 64B | 62.69B | 69.92B | 55.9B | 55.5B | 58.44B |
Short-Term Debt | 92.63B | 164.35B | 145.04B | 172.91B | 179.4B | 278.97B | 158.58B | 172.57B | 140.54B | 174.64B | 158.58B | 136.58B | 110.59B | 108.36B | 129.82B | 149.91B | 131.72B | 159.99B | 133.59B | 170.28B |
Other Current Liabilities | 154.76B | 162.25B | 146.62B | 179.8B | 182.59B | 53.86B | 134.45B | 38.48B | 37.83B | 35.87B | 36.04B | 33.97B | 29.84B | 28.56B | 27.8B | 29.54B | 28.29B | 26.71B | 26.05B | 25.06B |
Total Current Liabilities | 395.29B | 453.74B | 433.42B | 485.25B | 498.02B | 576.68B | 425.5B | 458.01B | 425.16B | 433.02B | 425.5B | 370.68B | 331.6B | 310.85B | 317.41B | 335.78B | 326.02B | 333.41B | 297.8B | 336.47B |
Long-Term Debt | 757.94B | 731.69B | 726.94B | 757.91B | 724.04B | 715.47B | 760.03B | 749.87B | 759.48B | 737.96B | 760.03B | 776.78B | 779.75B | 772.23B | 753.61B | 761.25B | 780.89B | 783.78B | 828.98B | 826.85B |
Other Long-Term Liabilities | 84.64B | 250.42B | 80.3B | 257.91B | 207.42B | 20.1B | 27.97B | 20.52B | 161.07B | 162.59B | 171.42B | 164.2B | 154.04B | 146.59B | 141.01B | 141.65B | 138.12B | 135.21B | 131.22B | 128.9B |
Total Long-Term Liabilities | 1,002B | 982.12B | 958.09B | 1,015.8B | 964.95B | 945.98B | 987.18B | 983.06B | 975.8B | 956.45B | 987.18B | 996.74B | 984.29B | 967.06B | 941.76B | 949.34B | 966.38B | 964.88B | 1,006.5B | 1,002.7B |
Total Liabilities | 1,397.3B | 1,435.9B | 1,391.5B | 1,501.1B | 1,463B | 1,522.7B | 1,412.7B | 1,441.1B | 1,401B | 1,389.5B | 1,412.7B | 1,367.4B | 1,315.9B | 1,277.9B | 1,259.2B | 1,285.1B | 1,292.4B | 1,298.3B | 1,304.3B | 1,339.1B |
Total Debt | 850.57B | 896.04B | 871.98B | 930.81B | 936.92B | 994.44B | 918.62B | 922.43B | 900.02B | 912.61B | 918.62B | 913.35B | 890.34B | 880.59B | 883.43B | 911.16B | 912.62B | 943.77B | 962.56B | 997.13B |
Common Stock | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B | 37.34B |
Retained Earnings | 709.07B | 685.24B | 666.34B | 646.25B | 627.54B | 594.16B | 504.57B | 553.78B | 537.87B | 514.02B | 504.57B | 486.31B | 476.59B | 461.72B | 452.47B | 432.02B | 422.84B | 404.41B | 394.13B | 380.56B |
Comprehensive Income | n/a | 235.29B | n/a | 276.63B | 210.6B | 167.09B | 186.43B | 170.76B | 97.72B | 84.8B | 117.25B | 103.06B | 59.12B | 15.84B | -567M | 1.32B | 92.97B | -35.99B | -46.76B | -53.36B |
Shareholders Equity | 980.45B | 997.04B | 919.64B | 999.01B | 914.48B | 838.95B | 710.5B | 813.06B | 724.31B | 687.7B | 710.5B | 681.75B | 628.71B | 570.44B | 544.9B | 526.33B | 513.16B | 461.51B | 440.5B | 420.34B |
Total Investments | 61.17B | 58.76B | 121.62B | 141.31B | 118.11B | 100.8B | 89.03B | 100.01B | 84.99B | 87.21B | 89.03B | 85.86B | 91.11B | 90.2B | 84.62B | 81.53B | 82.03B | 80.27B | 75.47B | 73.02B |