Asahi Group Ltd. (ASBRF)
OTC: ASBRF
· Real-Time Price · USD
12.31
0.06 (0.49%)
At close: Oct 03, 2025, 2:42 PM
11.80
-4.14%
Pre-market: Oct 03, 2025, 09:51 AM EDT
Asahi Balance Sheet Statement
Financials in JPY. Fiscal
year is
January - December.
Fiscal Year | 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 | Jun 30, 2025 | 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 |
Cash & Equivalents | 57.59B | 68.92B | 83.96B | 46.2B | 58.54B | 66.41B | 59.95B | 94.81B | 58.75B | 42.48B | 37.44B | 44.35B | 50.79B | 45.5B | 52.74B | 54.28B | 55.95B | 52.24B |
Short-Term Investments | 10.56B | n/a | n/a | n/a | 12.93B | n/a | 10.47B | 9.39B | 10.65B | 9.43B | 10.03B | 12.1B | 8.78B | 12.06B | 7.12B | 7.88B | 6.89B | 5.59B |
Long-Term Investments | 248.5B | 222.18B | 214.7B | 204B | 240.12B | 230.98B | 162.25B | 148.5B | 141.03B | 127.09B | 122.47B | 129.21B | 137.21B | 128.56B | 125.82B | 141.14B | 138.1B | 166.39B |
Other Long-Term Assets | 3M | 39.71B | 41.47B | 52.72B | 59.74B | 4M | 56.15B | 51.12B | 53.05B | 51.61B | 52.8B | 54.22B | 49.17B | 58.08B | 49.17B | 45.83B | 46.9B | 47.52B |
Receivables | 426.39B | 419.94B | 440.33B | 423.01B | 452.2B | 441.94B | 465.63B | 444.88B | 425.7B | 388.42B | 415.68B | 408.62B | 404.1B | 355.49B | 395.97B | 332.04B | 341.17B | 307.5B |
Inventory | 303.08B | 285.32B | 271.43B | 281.71B | 296.29B | 280.56B | 267.32B | 279.73B | 285.03B | 260.33B | 234.97B | 241.97B | 241.85B | 230.85B | 200.83B | 209.82B | 214.79B | 201.15B |
Other Current Assets | 50.83B | 68.49B | 62.16B | 75.24B | 48.3B | 57B | 43.59B | 58.55B | 63.14B | 60.16B | 49.45B | 64.3B | 65.81B | 73.43B | 50.63B | 78.6B | 78.69B | 71.53B |
Total Current Assets | 848.45B | 842.66B | 857.89B | 826.17B | 868.26B | 845.91B | 846.95B | 877.97B | 832.63B | 751.38B | 737.53B | 759.23B | 762.56B | 705.27B | 700.18B | 674.74B | 690.6B | 632.41B |
Property-Plant & Equipment | 943.78B | 917.18B | 935.44B | 902.02B | 946.06B | 914.73B | 888.07B | 863.17B | 873.02B | 837.22B | 834.72B | 821.68B | 828B | 817.91B | 818.4B | 801.89B | 818.86B | 816.55B |
Goodwill & Intangibles | 3,350.4B | 3,247.3B | 3,353.9B | 3,313.5B | 3,588.9B | 3,355.3B | 3,283.9B | 3,280.7B | 3,302.7B | 3,084.7B | 23.08B | 3,093B | 3,100.6B | 3,030.1B | 2,819.6B | 2,767.8B | 2,838.8B | 2,818.5B |
Total Long-Term Assets | 4,583.8B | 4,426.3B | 4,545.5B | 4,472.3B | 4,834.8B | 4,554.1B | 4,439B | 4,404.4B | 4,432.8B | 4,157.5B | 4,092.8B | 4,147.3B | 4,164.4B | 4,078.6B | 3,847.6B | 3,787.6B | 3,875.6B | 3,876.9B |
Total Assets | 5,432.3B | 5,269B | 5,403.4B | 5,298.4B | 5,703.1B | 5,400B | 5,285.9B | 5,282.4B | 5,265.5B | 4,908.9B | 4,830.3B | 4,906.5B | 4,927B | 4,783.8B | 4,547.7B | 4,462.4B | 4,566.2B | 4,509.3B |
Account Payables | 653.05B | 598.19B | 720.87B | 631.63B | 688.25B | 631.18B | 714.78B | 659.7B | 620.17B | 540.92B | 591.87B | 559.91B | 574.62B | 506.82B | 531.57B | 482.12B | 490.68B | 436.95B |
Deferred Revenue | n/a | n/a | n/a | n/a | n/a | 19.96B | 26.26B | 156.81B | 154.8B | 127.16B | 180.99B | 188.82B | 173.57B | 159.45B | 161.68B | 165.72B | 154.95B | 134.28B |
Short-Term Debt | 625.43B | 752.74B | 451.13B | 317.72B | 270.47B | 571.17B | 389.85B | 362.89B | 498B | 470.52B | 367.27B | 308.79B | 342.48B | 507B | 423.65B | 483.35B | 517.1B | 649.63B |
Other Current Liabilities | 238.46B | 238.23B | 338.31B | 303.49B | 254.49B | 227.41B | 266.06B | 147.85B | 137.17B | 107.79B | 125.82B | 141.9B | 132.84B | 107.59B | 125.99B | 114.66B | 114.67B | 93.08B |
Total Current Liabilities | 1,546.7B | 1,589.2B | 1,510.3B | 1,252.8B | 1,244.5B | 1,449.7B | 1,397B | 1,327.3B | 1,410.1B | 1,246.4B | 1,265.9B | 1,199.4B | 1,223.5B | 1,280.9B | 1,242.9B | 1,245.9B | 1,277.4B | 1,313.9B |
Long-Term Debt | 822.35B | 752.4B | 828.05B | 1,071.4B | 1,207.2B | 1,014.7B | 1,021B | 1,150.5B | 1,073.1B | 1,176.4B | 1,130B | 1,237.7B | 1,257.5B | 1,176.2B | 1,172.6B | 1,175.7B | 1,205.8B | 1,155.1B |
Other Long-Term Liabilities | 156.25B | 380.38B | 152.41B | 390.6B | 164.51B | 404.07B | 402.23B | 237.92B | 241.04B | 223.19B | 5.78B | 6.09B | 230.94B | 6.39B | 6.33B | 6.34B | 6.49B | 5.65B |
Total Long-Term Liabilities | 1,209.7B | 1,132.8B | 1,219B | 1,462B | 1,623.3B | 1,418.7B | 1,423.2B | 1,548.2B | 1,476.5B | 1,551.9B | 1,501.5B | 1,616.4B | 1,637.6B | 1,553.6B | 1,545.7B | 1,546.3B | 1,582.1B | 1,538.2B |
Total Liabilities | 2,756.4B | 2,721.9B | 2,729.4B | 2,714.8B | 2,867.7B | 2,868.5B | 2,820.1B | 2,875.4B | 2,886.6B | 2,798.3B | 2,767.4B | 2,815.9B | 2,861.1B | 2,834.5B | 2,788.6B | 2,792.2B | 2,859.5B | 2,852.2B |
Total Debt | 1,447.8B | 1,505.1B | 1,279.2B | 1,389.1B | 1,477.7B | 1,585.8B | 1,410.8B | 1,513.4B | 1,571.1B | 1,646.9B | 1,497.3B | 1,546.4B | 1,599.9B | 1,683.2B | 1,596.2B | 1,659.1B | 1,722.9B | 1,804.7B |
Book Value | 2,675.8B | 2,547.1B | 2,674.1B | 2,583.6B | 2,835.4B | 2,531.5B | 2,465.8B | 2,406.9B | 2,378.8B | 2,110.6B | 2,062.9B | 2,090.7B | 2,065.9B | 1,949.4B | 1,759.1B | 1,670.2B | 1,706.7B | 1,657.1B |
Book Value Per Share | 1.78K | 1.69K | 1.77K | 1.7K | 1.87K | 5K | 4.87K | 4.75K | 4.69K | 4.17K | 4.07K | 4.13K | 4.08K | 3.85K | 3.47K | 3.3K | 3.37K | 3.27K |
Common Stock | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B | 220.04B |
Retained Earnings | 1,437.2B | 1,400.1B | 1,418.7B | 1,356.6B | 1,327B | 1,273.9B | 1,282.4B | 1,240.8B | 1,202.1B | 1,156.3B | 1,165.5B | 1,124.1B | 1,094.4B | 1,041.6B | 1,064.6B | 1,038.8B | 1,020.9B | 974.76B |
Comprehensive Income | 883.38B | 791.98B | 899.1B | 840.76B | 1,122.3B | 871.93B | 797.39B | 780.71B | 792.59B | 571.35B | 514.53B | 583.74B | 588.67B | 524.75B | 311.61B | 248.6B | 303.17B | 380.81B |
Shareholders Equity | 2,671.8B | 2,543.1B | 2,668.8B | 2,578.4B | 2,830.1B | 2,526.6B | 2,460.5B | 2,402.3B | 2,375.4B | 2,108.4B | 2,060.7B | 2,088.4B | 2,063.7B | 1,947.2B | 1,757.1B | 1,668.2B | 1,704.9B | 1,655.6B |
Total Investments | 248.5B | 222.18B | 214.7B | 204B | 240.12B | 230.98B | 162.25B | 157.9B | 151.67B | 136.52B | 132.5B | 141.3B | 145.99B | 140.62B | 132.94B | 149.02B | 145B | 171.97B |