Kyocera Corporation (KYOCY)
OTC: KYOCY
· Real-Time Price · USD
13.30
-0.06 (-0.45%)
At close: Aug 21, 2025, 3:52 PM
13.23
-0.50%
After-hours: Aug 21, 2025, 04:00 PM EDT
Kyocera 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 | 444.74B | 391.47B | 386.86B | 418.11B | 424.79B | 381.17B | 394.65B | 399.47B | 373.5B | 335.11B | 378.08B | 384.38B | 414.13B | 388.29B | 431.76B | 392.4B | 386.73B | 365.27B | 387.83B | 382.24B |
Short-Term Investments | 28.64B | 39.48B | 42.4B | 36.66B | 18.61B | 30.11B | 25.22B | 25B | 23.4B | 34.81B | 23.79B | 39.05B | 44.08B | 47.13B | 57.26B | 89.32B | 97.36B | 109.61B | 87.57B | 69.39B |
Long-Term Investments | 1,873.7B | 1,888.5B | 1,460.4B | 1,635.5B | 1,702.6B | 1,681.8B | 1,744.1B | 1,705.9B | 1,544.2B | 1,485.2B | 1,585.9B | 1,624.2B | 1,526.5B | 1,314.8B | 1,462.8B | 1,250.2B | 1,227.2B | 1,101.5B | 975.69B | 1,200.6B |
Other Long-Term Assets | n/a | 129.81B | 418.46B | 144.65B | 89.01B | 91.69B | 62.04B | 61.1B | 83.65B | 85.99B | 78.67B | 54.23B | 59.45B | 44.47B | n/a | 137.51B | 144.33B | 130.17B | 108.16B | 90.07B |
Receivables | 382.58B | 364.21B | 358.75B | 379.03B | 344.82B | 371.45B | 381.38B | 352.63B | 337.45B | 374.74B | 383.71B | 368.69B | 338.72B | 359.82B | 335.14B | 320.12B | 303.83B | 314.3B | 274.28B | 285.96B |
Inventory | 521.81B | 557B | 525.77B | 564.81B | 540.23B | 554.69B | 582.23B | 575.59B | 539.44B | 556.4B | 559.52B | 527.21B | 452.51B | 422.22B | 393.27B | 368.54B | 345.35B | 341.72B | 349.11B | 375.37B |
Other Current Assets | 57.96B | 49.98B | 49.17B | 52.18B | 64.04B | 46.43B | 71.51B | 46.82B | 60.03B | 44.44B | 63.95B | 44.97B | 60.98B | 35.68B | 48.26B | 29.62B | 52.83B | 28.24B | 56.77B | 46.08B |
Total Current Assets | 1,435.7B | 1,402.1B | 1,362.9B | 1,450.8B | 1,439.4B | 1,383.8B | 1,429.8B | 1,399.5B | 1,357.3B | 1,345.5B | 1,390.5B | 1,364.3B | 1,329.1B | 1,253.1B | 1,248B | 1,200B | 1,199.8B | 1,159.1B | 1,155.6B | 1,146.2B |
Property-Plant & Equipment | 733.74B | 735.25B | 743.77B | 769.75B | 748.63B | 699.16B | 698.5B | 681.06B | 650.1B | 619.24B | 622.99B | 603.1B | 552.88B | 521.97B | 506.17B | 497.02B | 477.75B | 449.68B | 443.37B | 431.45B |
Goodwill & Intangibles | 424.29B | 435.97B | 422.83B | 449.39B | 435.05B | 426.25B | 437.52B | 433.62B | 418.94B | 417.09B | 433.6B | 429B | 412.86B | 404.74B | 404.01B | 407.73B | 407.83B | 348.81B | 355.64B | 356.69B |
Total Long-Term Assets | 3,075.6B | 3,189.6B | 3,045.5B | 2,999.3B | 3,026B | 2,943B | 2,985.6B | 2,924.2B | 2,736.6B | 2,646.4B | 2,759.5B | 2,748.7B | 2,588.1B | 2,321.1B | 2,408.9B | 2,329.7B | 2,293.7B | 2,069.9B | 1,923.2B | 2,119.3B |
Total Assets | 4,511.3B | 4,591.7B | 4,408.4B | 4,450.1B | 4,465.4B | 4,326.8B | 4,415.4B | 4,323.7B | 4,093.9B | 3,991.9B | 4,150B | 4,113B | 3,917.3B | 3,574.2B | 3,656.9B | 3,529.7B | 3,493.5B | 3,229.1B | 3,078.8B | 3,265.4B |
Account Payables | 207.03B | 194.96B | 185.52B | 212.66B | 212.13B | 196.66B | 193.49B | 191.79B | 203.86B | 205.01B | 225.85B | 228.23B | 222.96B | 212.69B | 207.56B | 199B | 183.15B | 167.53B | 160.39B | 166.95B |
Deferred Revenue | n/a | n/a | n/a | n/a | 22.53B | 149.57B | 170.28B | 158.79B | 165.81B | 147.38B | 181.37B | 171.24B | 178.23B | 147.41B | 154.48B | 132.79B | 149.82B | 117.86B | 131.16B | 120.6B |
Short-Term Debt | 44.39B | 9.64B | 9.27B | 10.04B | 9.39B | 9.63B | 9.73B | 79.71B | 29.06B | 108.77B | 78.86B | 79.05B | 79.38B | 38.94B | 39.41B | 39.57B | 40.02B | 37.86B | 38.07B | 41.29B |
Other Current Liabilities | 199.66B | 83.84B | 64.85B | 83.07B | 81.95B | -74.77B | -92.28B | -67.85B | -93.85B | -68.22B | -99B | -69.07B | -92.84B | -62.45B | -88.97B | -61.25B | -86.16B | -61.57B | -50.52B | -63.82B |
Total Current Liabilities | 491.68B | 440.02B | 425.63B | 462.96B | 470.19B | 427.13B | 440.23B | 507.65B | 461.07B | 528.25B | 545.55B | 551.84B | 539.35B | 464.89B | 450.31B | 433.37B | 422.85B | 376.12B | 376.65B | 384.65B |
Long-Term Debt | 202.58B | 202.38B | 201.09B | 201.69B | 199.76B | 199.95B | 199.79B | 119.45B | 107.73B | 16.41B | 16.47B | 17.3B | 17.16B | 56.63B | 57.03B | 57.65B | 57.89B | 50.49B | 50.86B | 50.65B |
Other Long-Term Liabilities | 35.05B | 515.91B | 479.85B | 451.87B | 471.91B | 446.05B | 457.09B | 446.37B | 404.77B | 391.52B | 419.33B | 423.04B | 394.33B | 316.96B | 348.93B | 330.96B | 330.51B | 284.15B | 242.64B | 299.54B |
Total Long-Term Liabilities | 776.39B | 791.15B | 749.02B | 724.84B | 742.33B | 729.01B | 742.16B | 647.62B | 584.02B | 467.2B | 497.18B | 499.94B | 479.64B | 439.13B | 471.34B | 454.6B | 454.51B | 401.54B | 362.59B | 419.35B |
Total Liabilities | 1,268.1B | 1,231.2B | 1,174.7B | 1,187.8B | 1,212.5B | 1,156.1B | 1,182.4B | 1,155.3B | 1,045.1B | 995.45B | 1,042.7B | 1,051.8B | 1,019B | 904.02B | 921.65B | 887.97B | 877.36B | 777.65B | 739.24B | 804B |
Total Debt | 342.38B | 310.48B | 303.47B | 309.43B | 304.19B | 298.31B | 297.78B | 283.82B | 209.8B | 183.03B | 154.7B | 154.42B | 149.26B | 146.32B | 145.45B | 147.11B | 147.82B | 133.88B | 135.4B | 139.28B |
Common Stock | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B | 115.7B |
Retained Earnings | 1,942.5B | 1,920.4B | 1,968.6B | 1,969.4B | 1,967.5B | 1,931.7B | 1,933.2B | 1,913.9B | 1,912.4B | 1,896.3B | 1,889B | 1,863.3B | 1,846.1B | 1,808.5B | 1,794.5B | 1,762B | 1,750.3B | 1,700.6B | 1,692B | 1,680.1B |
Comprehensive Income | n/a | 1,322.8B | 1,148.8B | 1,174.2B | 1,166.8B | 1,121.3B | 1,179.3B | 1,131.2B | 969.8B | 927.8B | 1,045.3B | 1,025.8B | 880.3B | 690.4B | 746.02B | 685.88B | 671.95B | 557.34B | 454.49B | 588.69B |
Shareholders Equity | 3,217.8B | 3,334.7B | 3,208.9B | 3,234.9B | 3,225.6B | 3,144.3B | 3,206.9B | 3,143.3B | 3,023.8B | 2,969.1B | 3,079.3B | 3,034B | 2,871.6B | 2,644B | 2,709.8B | 2,617.1B | 2,591.4B | 2,427.5B | 2,316.2B | 2,438.7B |
Total Investments | 1,770.3B | 1,928B | 1,502.8B | 1,672.1B | 1,721.2B | 1,711.9B | 1,744.1B | 1,705.9B | 1,567.6B | 1,520B | 1,609.7B | 1,624.2B | 1,526.5B | 1,314.8B | 1,420.6B | 1,339.5B | 1,324.5B | 1,211.1B | 1,063.3B | 1,270B |