Yamaha Motor Co. Ltd.

OTC: YMHAY · Real-Time Price · USD
14.66
-0.17 (-1.15%)
At close: Aug 15, 2025, 10:42 AM

Yamaha Motor Balance Sheet Statement

Financials in JPY. Fiscal year is January - December.
Fiscal Year 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 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
Cash & Equivalents
359.83B 338.14B 374.73B 347.01B 305.15B 316.09B 331.55B 288.78B 345.84B 334.03B 305.58B 276.41B 318.13B 307.52B 272.68B
Short-Term Investments
n/a 41.07B 49.01B 4.44B 3.1B 2.71B n/a 2.83B 3.35B 3.23B n/a -227.66B 5.96B 5.82B 5.83B
Long-Term Investments
472.8B 515.47B 467.39B 425.54B 320.23B 301.83B 257.05B 364.89B 267.47B 250.93B 221.58B 359.01B 198.29B 200.97B 194.37B
Other Long-Term Assets
39.88B 38.32B 38.63B 39.5B 542.53B 519.28B 454.42B 38.02B 455.34B 439.44B 402.22B 15.93B 400.42B 404.57B 393.41B
Receivables
519.48B 622.17B 622.52B 505.52B n/a n/a n/a 400.13B 400.45B 391.21B 363.7B 301.43B 289.68B 319.75B 336.31B
Inventory
532.59B 571.41B 592.12B 609.5B 592.21B 567.45B 538.35B 525.85B 515.8B 475.75B 466.32B 405.36B 369.44B 352.28B 354.47B
Other Current Assets
103.75B 51.91B 54.03B 94.7B 114.92B 107.16B 104.96B 90.92B 99.14B 79.22B 71.01B 61.5B 55.89B 53.9B 56.25B
Total Current Assets
1,515.6B 1,624.7B 1,692.4B 1,548.6B 1,513.5B 1,499.3B 1,462.6B 1,305.7B 1,361.2B 1,280.2B 1,206.6B 1,044.7B 1,033.1B 1,033.4B 1,019.7B
Property-Plant & Equipment
454.21B 471.56B 453.63B 433.89B 422.06B 412.91B 392.71B 390.98B 390.9B 384.97B 372.07B 354.12B 339.95B 343.09B 343.91B
Goodwill & Intangibles
73.36B 71.62B 61.23B 51.13B 48.68B 44.82B 42.39B 39.64B 37.89B 35.64B 31.82B 28.42B 20.8B 16.73B 14.45B
Total Long-Term Assets
1,119.8B 1,180.8B 1,107.3B 1,023.4B 1,013.3B 977B 889.52B 877.6B 884.13B 860.05B 806.12B 788.21B 761.18B 764.4B 751.77B
Total Assets
2,635.5B 2,805.5B 2,799.7B 2,572B 2,526.8B 2,476.3B 2,352.2B 2,183.3B 2,245.4B 2,140.3B 2,012.7B 1,832.9B 1,794.3B 1,797.8B 1,771.5B
Account Payables
162.61B 161.05B 168.27B 154.16B 164.51B 171.05B 165.99B 148.13B 171.41B 163.44B 162.29B 140.52B 128.25B 130.27B 148.91B
Deferred Revenue
16.05B 26.52B 30.69B 30.64B 80.52B 64.91B 78.94B n/a n/a n/a n/a 51.64B 64.15B 34.58B 41.55B
Short-Term Debt
615.59B 569.92B 586.46B 444.17B 334.16B 452.64B 421.45B 331.11B 337.04B 255.08B 200.65B 142.33B 136.23B 135.68B 121.8B
Other Current Liabilities
280.88B 281.86B 296.27B 218.97B 228.54B 234.11B 249.5B 247.87B 223.79B 228.18B 207.32B 213.53B 177.97B 158.62B 132.2B
Total Current Liabilities
1,075.1B 1,039.4B 1,081.7B 865.16B 782.53B 900.17B 893.84B 752.87B 789.72B 674.22B 625.7B 513.26B 486.13B 485.51B 493.8B
Long-Term Debt
n/a 355.56B 392.71B 405B 432.31B 276.01B 272.73B 271.58B 274.88B 334.14B 335.6B 316.19B 321.76B 348.95B 373.25B
Other Long-Term Liabilities
355.98B 125.67B 121.82B 72.19B 109.71B 109.55B 102.63B 76.39B 112.36B 111.19B 109.76B 27.38B 108.2B 110.63B 108.94B
Total Long-Term Liabilities
362.45B 487.22B 523.93B 524.12B 542.02B 385.56B 375.37B 376.12B 387.24B 445.33B 445.36B 418.98B 429.95B 459.58B 482.2B
Total Liabilities
1,437.6B 1,526.6B 1,605.6B 1,389.3B 1,324.6B 1,285.7B 1,269.2B 1,129B 1,177B 1,119.6B 1,071.1B 932.25B 916.09B 945.09B 975.99B
Total Debt
615.59B 925.48B 979.17B 863.25B 766.47B 728.65B 694.18B 602.69B 611.92B 589.22B 536.25B 458.51B 457.99B 484.63B 495.05B
Common Stock
n/a 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 86.1B 85.97B
Retained Earnings
1,004.7B 1,034.1B 976.59B 1,006.9B 992.11B 972.33B 911.35B 894.05B 852.68B 821.85B 771.5B 761.48B 742.92B 716.44B 665.16B
Comprehensive Income
n/a 114.62B 79.27B 18.16B 49.6B 46.22B -10.37B -23.83B 30.34B 17.85B -26.59B -55.16B -67.64B -64.99B 153.21B
Shareholders Equity
1,138.9B 1,217.9B 1,134.9B 1,123.5B 1,144.4B 1,137.6B 1,033.8B 1,003.1B 1,015.9B 972.56B 897.8B 859.23B 839.17B 815.34B 759.35B
Total Investments
472.8B 515.47B 467.39B 429.99B 323.33B 304.53B 257.05B 112.15B 270.82B 254.16B 221.58B 131.35B 204.25B 206.8B 200.2B