Semi-Annual Consolidated Balance Sheet

Freund Corporation - Filing #7709352

Concept As at
2019-05-31
As at
2019-02-28
Semi-annual consolidated balance sheet
Balance sheet
Assets
Current assets
Cash and deposits
4,607,087,000 JPY
5,534,431,000 JPY
Other
253,559,000 JPY
239,599,000 JPY
Allowance for doubtful accounts
-8,748,000 JPY
-8,869,000 JPY
Current assets
12,342,038,000 JPY
12,711,184,000 JPY
Non-current assets
Property, plant and equipment
3,857,729,000 JPY
3,769,070,000 JPY
Property, plant and equipment
Buildings and structures
Buildings and structures, net
1,144,664,000 JPY
1,162,954,000 JPY
Land
1,239,395,000 JPY
1,239,674,000 JPY
Other
Other, net
1,473,669,000 JPY
1,366,441,000 JPY
Intangible assets
Other
17,930,000 JPY
16,349,000 JPY
Intangible assets
17,930,000 JPY
16,349,000 JPY
Investments and other assets
1,009,901,000 JPY
951,491,000 JPY
Investments and other assets
Other
803,433,000 JPY
796,334,000 JPY
Allowance for doubtful accounts
-5,400,000 JPY
-5,400,000 JPY
Non-current assets
4,885,561,000 JPY
4,736,911,000 JPY
Assets
17,227,600,000 JPY
17,448,096,000 JPY
Liabilities
Current liabilities
Notes and accounts payable - trade
1,244,367,000 JPY
1,587,769,000 JPY
Income taxes payable
19,608,000 JPY
151,746,000 JPY
Other
631,224,000 JPY
707,653,000 JPY
Current liabilities
4,259,737,000 JPY
3,938,759,000 JPY
Non-current liabilities
Retirement benefit liability
164,862,000 JPY
162,460,000 JPY
Asset retirement obligations
35,170,000 JPY
35,131,000 JPY
Other
44,476,000 JPY
61,092,000 JPY
Non-current liabilities
244,509,000 JPY
258,685,000 JPY
Liabilities
4,504,246,000 JPY
4,197,445,000 JPY
Provision for bonuses
312,570,000 JPY
212,735,000 JPY
Provision for bonuses for directors (and other officers)
8,250,000 JPY
30,000,000 JPY
Net assets
Share capital
1,035,600,000 JPY
1,035,600,000 JPY
Shareholders' equity
Capital surplus
1,289,513,000 JPY
1,289,513,000 JPY
Retained earnings
11,425,241,000 JPY
11,918,177,000 JPY
Treasury shares
-773,363,000 JPY
-773,363,000 JPY
Shareholders' equity
12,976,992,000 JPY
13,469,928,000 JPY
Valuation and translation adjustments
Valuation difference on available-for-sale securities
29,541,000 JPY
35,459,000 JPY
Foreign currency translation adjustment
-293,813,000 JPY
-265,653,000 JPY
Remeasurements of defined benefit plans
10,633,000 JPY
10,917,000 JPY
Valuation and translation adjustments
-253,639,000 JPY
-219,276,000 JPY
Net assets
12,723,353,000 JPY
13,250,651,000 JPY
Liabilities and net assets
17,227,600,000 JPY
17,448,096,000 JPY

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