Komatsu Ltd.

OTC: KMTUY · Real-Time Price · USD
33.63
-0.55 (-1.61%)
At close: Aug 20, 2025, 3:59 PM

Komatsu 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
385.57B 406.65B 409.54B 471.84B 403.18B 343.46B 317.29B 343.47B 289.98B 334.13B 320.82B 383.54B 315.36B 271.04B 272.83B 234.56B 241.8B 217.06B 234.45B 255.1B
Short-Term Investments
n/a n/a n/a n/a 3.78B 3.2B -810.75B 5.29B 4.49B 2.01B 766M 1.08B 1.31B 2.27B 1.17B 1.21B 1.32B 1.44B 1.4B 2.13B
Long-Term Investments
n/a 1,040.6B 933.84B 987.9B 765.85B 704.64B 881.37B 71.64B 635.99B 60.47B 63.69B 64.99B 58.73B 49.81B 49.86B 49.56B 48.71B 46.69B 46.85B 46.02B
Other Long-Term Assets
1,077.5B n/a n/a n/a -29.87B 857.05B 151.1B 135.38B 53.05B 586.77B 624.87B 577.51B 500.92B 482.29B 459.22B 474.43B 448.18B 435.14B 428.04B 438.06B
Receivables
1,274.2B 1,240.5B 1,159B 1,274.9B 1,263.5B 1,126.8B 1,118B 1,139.7B 1,111.9B 969.75B 1,036.1B 994.94B 954.58B 852.31B 796.83B 787.9B 820.7B 688.85B 669.91B 664.55B
Inventory
1,406.7B 1,565.6B 1,456.7B 1,596.5B 1,438.7B 1,459.7B 1,491.5B 1,394.7B 1,227.2B 1,244B 1,275B 1,174.6B 988.01B 901.35B 849.24B 819.06B 793.85B 821.96B 838.9B 866.72B
Other Current Assets
231.87B 241B 232.81B 244.81B 187.34B 212.43B 243.31B 242.74B 190.75B 193.55B 195.19B 184.44B 144.68B 163.66B 136.79B 139.27B 117.71B 131.32B 131.25B 148.52B
Total Current Assets
3,298.3B 3,453.7B 3,258.1B 3,588.1B 3,314.2B 3,145.6B 3,175.1B 3,125.8B 2,836.6B 2,748.2B 2,832.8B 2,741.6B 2,421.3B 2,190.6B 2,057.5B 1,982B 1,989.3B 1,860.6B 1,876.1B 1,937.3B
Property-Plant & Equipment
981.97B 994.41B 957.38B 1,011.4B 977.29B 949.54B 949.2B 932.01B 897.49B 889.85B 931.41B 916.1B 881.26B 849.59B 838.19B 837.12B 845.3B 819.58B 811.95B 808.76B
Goodwill & Intangibles
415.79B 430.57B 409.32B 450.45B 428.8B 417.27B 398.41B 395.21B 374.35B 372.26B 406.7B 383.54B 356.62B 339.27B 333.72B 337.4B 339.67B 323.35B 321.67B 324.52B
Total Long-Term Assets
2,475.2B 2,465.5B 2,300.5B 2,449.8B 2,322.5B 2,223.9B 2,229B 2,172.3B 2,039.3B 2,035.4B 2,169.8B 2,073.5B 1,926.2B 1,836.8B 1,796B 1,808.4B 1,795.5B 1,732.4B 1,718.4B 1,723.6B
Total Assets
5,773.5B 5,919.2B 5,558.6B 6,037.9B 5,636.7B 5,369.4B 5,404.1B 5,298.1B 4,875.8B 4,783.6B 5,002.5B 4,815.1B 4,347.5B 4,027.4B 3,853.5B 3,790.4B 3,784.8B 3,593B 3,594.5B 3,660.9B
Account Payables
334.93B 315.95B 314.87B 327.07B 320.31B 321.88B 348.67B 367.36B 362.36B 338.08B 356.11B 347.43B 338.97B 287B 268.95B 259.71B 258.32B 217.91B 194.05B 204.26B
Deferred Revenue
n/a n/a n/a n/a 69.64B 54.03B 67.04B 60.65B 64.5B 55.16B 53.72B 44.6B 68.34B 42.48B 37.23B 25.84B 26.86B 25.07B 22.32B 22.79B
Short-Term Debt
654.41B 848.79B 717.72B 839.09B 581.82B 630.79B 499.66B 612.49B 489.04B 615.84B 727.22B 689.26B 518.65B 523.96B 450.62B 419.71B 369.78B 399.52B 437.88B 608.74B
Other Current Liabilities
553.11B 624.68B 583.96B 625.97B 419.33B 551.63B 573.59B 559.19B 347.35B 472.69B 479.37B 454.79B 318.11B 337.47B 358.32B 313.56B 232.12B 329.68B 323.41B 314.34B
Total Current Liabilities
1,649.4B 1,808.5B 1,635.9B 1,812.8B 1,526.2B 1,522B 1,441.3B 1,557.8B 1,371.7B 1,443.5B 1,580.5B 1,509B 1,324B 1,206.3B 1,093.5B 1,018.8B 992.87B 961.89B 970B 1,142.1B
Long-Term Debt
496.19B 514.62B 536.76B 589.8B 620.33B 579.12B 655.6B 597.5B 566.7B 548B 443.73B 475.44B 429.38B 400.01B 414.41B 545.12B 541.13B 516.86B 529.32B 440.29B
Other Long-Term Liabilities
232.41B 249B 234.36B 249.48B 240.23B 229.74B 239.82B 229B 214.62B 210.98B 219.49B 212.01B 194.39B 95.41B 184.24B 96.13B 190.12B 177.22B 187.34B 184.39B
Total Long-Term Liabilities
779.31B 815.54B 821.83B 891.68B 912B 857.63B 945.99B 873.42B 826.23B 801.86B 709.8B 732.71B 667.22B 634.63B 646.15B 740.47B 779.95B 738.98B 757.77B 665.58B
Total Liabilities
2,428.7B 2,624B 2,457.8B 2,704.4B 2,438.2B 2,379.7B 2,387.3B 2,431.3B 2,197.9B 2,245.4B 2,290.3B 2,241.7B 1,991.2B 1,840.9B 1,739.6B 1,759.3B 1,772.8B 1,700.9B 1,727.8B 1,807.7B
Total Debt
1,220.7B 1,434.4B 1,324.6B 1,501.9B 1,270.4B 1,273.9B 1,222.5B 1,271.8B 1,116.6B 1,223.1B 1,234.9B 1,226.7B 1,007.8B 979.95B 921.34B 964.82B 965.85B 971.08B 1,020.5B 1,101.3B
Common Stock
70.34B 70.34B 70.34B 70.34B 70.34B 70.34B 70.34B 69.66B 69.66B 69.66B 69.66B 69.22B 69.39B 69.39B 69.39B 69.04B 69.04B 69.04B 69.04B 68.69B
Retained Earnings
49.42B 2,492.3B 2,527.8B 2,435.8B 2,367B 48.87B 48.67B 48.51B 48.51B 48.42B 48.08B 47.99B 47.9B 47.72B 47.63B 47.62B 47.38B 47.38B 47.26B 47.18B
Comprehensive Income
n/a 510.04B 350.17B 621.34B 508.84B 400.64B 459.94B 414.88B 268.46B 230.87B 408.81B 360.02B 170.32B 61.33B 19.72B 20.19B -42.01B -114.9B -125.41B -118.14B
Shareholders Equity
3,173.4B 3,127.4B 2,935.5B 3,159.3B 3,033.6B 2,836.3B 2,865.3B 2,718.9B 2,539.6B 2,407.7B 2,577.2B 2,445.3B 2,232.5B 2,063.8B 1,997.7B 1,931.8B 1,912.3B 1,799.5B 1,777.6B 1,763.5B
Total Investments
95.43B 1,040.6B 933.84B 987.9B 765.85B 79.09B 70.61B 70.14B 66.3B 62.48B 64.45B 63.35B 57.78B 52.08B 49.77B 50.77B 50.03B 48.13B 48.25B 48.14B