Kawasaki Heavy Industries... (KWHIY)
OTC: KWHIY
· Real-Time Price · USD
30.06
0.77 (2.63%)
At close: Jun 06, 2025, 3:44 PM
Kawasaki Heavy Industries Balance Sheet Statement
Financials in JPY. Fiscal
year is
April - March.
Fiscal Year | 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 | 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 | 129.05B | 127.39B | 102.86B | 84.15B | 102.02B | 85.41B | 91.88B | 138.42B | 88B | 83.04B | 78.5B | 108.51B | 75.25B | 60.59B | 122.05B | 122.17B | 137.33B | 153.19B | 171.69B |
Short-Term Investments | 16.26B | n/a | n/a | 11.02B | 13.75B | 10.71B | 9.28B | 10.74B | 14.58B | 8.73B | 12.57B | 5.96B | n/a | n/a | n/a | 4.54B | n/a | n/a | n/a |
Long-Term Investments | 186.28B | 203.67B | 218.56B | 171.72B | 168.38B | 169.29B | 162.4B | 147.66B | 149.49B | 150.18B | 148.29B | 75.5B | 247.14B | 251.91B | 257.56B | 82.08B | 192.59B | 189.51B | 200.54B |
Other Long-Term Assets | 152.17B | 118.9B | 117.59B | 33.31B | 41.38B | 43.59B | 43.66B | 43.77B | 44.7B | 45.17B | 46.2B | 57.02B | 247.14B | 251.91B | 257.56B | 51.66B | 192.59B | 189.51B | 200.54B |
Receivables | 882.62B | 571.95B | 653.67B | 681.03B | 556.22B | 510.04B | 491.15B | 470.4B | 479.12B | 428.81B | 402.35B | 414.72B | 443.76B | 402.3B | 406.37B | 456.85B | 473.95B | 431.59B | 426.84B |
Inventory | 863.02B | 820.74B | 775.32B | 710.21B | 776.94B | 753.35B | 719.18B | 690.43B | 729.48B | 702.41B | 661.02B | 658.68B | 696.69B | 655.07B | 621.22B | 658.54B | 684.25B | 659.36B | 658.38B |
Other Current Assets | 167.59B | 331.03B | 296.17B | 251.53B | 275.39B | 255.02B | 265.37B | 271.1B | 273.49B | 245.61B | 240.14B | 109.91B | 118.7B | 102.89B | 77.7B | 43.32B | 68.17B | 56.85B | 61.97B |
Total Current Assets | 2,058.5B | 1,851.1B | 1,828B | 1,726.9B | 1,710.6B | 1,603.8B | 1,567.6B | 1,570.3B | 1,570.1B | 1,459.9B | 1,382B | 1,297.8B | 1,334.4B | 1,220.9B | 1,227.3B | 1,285.4B | 1,363.7B | 1,301B | 1,318.9B |
Property-Plant & Equipment | 577.04B | 574.93B | 580.62B | 561.15B | 548.17B | 540.62B | 529.09B | 519.43B | 507.79B | 510.39B | 506.85B | 444.26B | 442.06B | 445.08B | 446.87B | 451.26B | 463.26B | 466.13B | 471.87B |
Goodwill & Intangibles | 71.74B | 70.63B | 70.59B | 69.62B | 68.13B | 68.11B | 68.68B | 66.25B | 62.3B | 61.99B | 61.6B | 61.94B | 22.09B | 22.11B | 22.1B | 22.43B | 22.09B | 22.25B | 21.99B |
Total Long-Term Assets | 987.23B | 968.13B | 987.37B | 953.25B | 952.65B | 952.66B | 913.18B | 887.38B | 866.36B | 871.96B | 864.86B | 724.97B | 711.29B | 719.11B | 726.53B | 677.87B | 677.95B | 677.88B | 694.4B |
Total Assets | 3,045.8B | 2,819.2B | 2,815.4B | 2,680.2B | 2,663.2B | 2,556.5B | 2,480.8B | 2,457.7B | 2,436.4B | 2,331.8B | 2,246.9B | 2,022.7B | 2,045.7B | 1,940B | 1,953.9B | 1,963.3B | 2,041.6B | 1,978.9B | 2,013.3B |
Account Payables | 557.96B | 515.18B | 512.23B | 521.73B | 476.49B | 456.41B | 436.82B | 452.25B | 433.13B | 397.89B | 378.1B | 335.81B | 206.83B | 205.67B | 202.79B | 247.29B | 221.26B | 205.56B | 198.54B |
Deferred Revenue | n/a | n/a | n/a | 265.47B | 241.54B | 264.2B | 277.66B | 256.25B | 274.2B | 268.51B | 270.2B | 256.19B | 178.72B | 168.46B | 160.08B | 4.75B | 180.49B | 193.72B | 207.85B |
Short-Term Debt | 747.98B | 638.26B | 539.75B | 453.69B | 572.04B | 470.72B | 409.78B | 340.18B | 412.76B | 363.2B | 324.51B | 116.11B | 178.08B | 177.46B | 138.28B | 171.58B | 183.6B | 181.7B | 191.66B |
Other Current Liabilities | 610.28B | 566.97B | 630.89B | 300.59B | 271.77B | 289.25B | 222.22B | 259.99B | 182.03B | 183.71B | 181.22B | 245.61B | 358.77B | 273.28B | 306.14B | 371.53B | 474.98B | 449.55B | 412.4B |
Total Current Liabilities | 1,916.2B | 1,720.4B | 1,682.9B | 1,541.5B | 1,561.9B | 1,480.6B | 1,346.5B | 1,308.7B | 1,302.1B | 1,213.3B | 1,154B | 987.33B | 1,041.7B | 937.5B | 938.66B | 917.55B | 1,001.7B | 953.52B | 936.2B |
Long-Term Debt | 342.01B | 341.59B | 360.19B | 391.54B | 399.36B | 381.87B | 417.69B | 369.93B | 430.2B | 432.7B | 429.74B | 374.3B | 371.75B | 375.26B | 385.21B | 389.18B | 386.26B | 386.76B | 418.86B |
Other Long-Term Liabilities | 97.23B | 95.3B | 94.51B | 92.59B | 112.67B | 112.28B | 111.36B | 107.11B | 126.83B | 126.86B | 125.27B | 151.11B | 174.76B | 175.05B | 173.8B | 163.11B | 197.03B | 197.35B | 200.66B |
Total Long-Term Liabilities | 439.24B | 436.88B | 454.7B | 484.13B | 512.03B | 494.15B | 529.04B | 552.19B | 557.03B | 559.56B | 555.01B | 536.89B | 546.51B | 550.3B | 559.02B | 562.94B | 583.28B | 584.11B | 619.52B |
Total Liabilities | 2,355.5B | 2,157.3B | 2,137.6B | 2,025.6B | 2,073.9B | 1,974.7B | 1,875.5B | 1,860.8B | 1,859.1B | 1,772.9B | 1,709B | 1,524.2B | 1,588.2B | 1,487.8B | 1,497.7B | 1,480.5B | 1,585B | 1,537.6B | 1,555.7B |
Total Debt | 1,090B | 979.84B | 899.95B | 845.23B | 971.41B | 852.59B | 827.46B | 785.26B | 842.95B | 795.91B | 754.25B | 501.48B | 549.83B | 552.72B | 523.49B | 593.35B | 569.86B | 568.46B | 610.52B |
Common Stock | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B | 104.48B |
Retained Earnings | 432.43B | 413.6B | 415.78B | 405.16B | 353.12B | 346.81B | 379.31B | 380.25B | 365.3B | 341.75B | 323.27B | 285.38B | 270.88B | 271.45B | 276.81B | 306.58B | 311.89B | 299.36B | 314.85B |
Comprehensive Income | 75.44B | 66.43B | 81.15B | 69.05B | 55.81B | 55.16B | 46.11B | 36.85B | 34.45B | 39.6B | 37.65B | 34.92B | 8.91B | 3.67B | 2.74B | 158.89B | -30.75B | -32.76B | -31.58B |
Shareholders Equity | 667.78B | 639.94B | 656.81B | 634.09B | 568.78B | 561.83B | 584.77B | 576.2B | 558.9B | 540.43B | 519.8B | 479.18B | 438.67B | 433.97B | 438.43B | 465.33B | 440.03B | 425.49B | 442.17B |
Total Investments | 202.53B | 203.67B | 218.56B | 171.72B | 168.38B | 169.29B | 162.4B | 147.66B | 149.49B | 150.18B | 148.29B | 81.45B | 247.14B | 251.91B | 257.56B | 86.61B | 192.59B | 189.51B | 200.54B |