Mitsubishi Corporation logo

Mitsubishi Corporation

MSBHF | OTC
Chart Builder DCF Calculator
$32.23
+$0.10 (+0.33%)
At close: Sep 23, 2026, 3:09 PM ET
$31.90
-$0.33 (-1.02%)
After-hours: Sep 23, 2026, 3:58 PM ET
Fiscal Year
Period Ending
FY 2025
Mar 30, 2025
FY 2024
Mar 30, 2024
FY 2023
Mar 30, 2023
FY 2022
Mar 30, 2022
FY 2021
Mar 30, 2021
FY 2020
Mar 30, 2020
Cash & Equivalents
1.54T 1.25T 1.56T 1.56T 1.32T 1.32T
Short-Term Investments
336.02B 99.5B 137.42B 154.88B 163.28B 458.82B
Long-Term Investments
7.13T 6.32T 7T 6.6T 6.06T 5.84T
Other Long-Term Assets
1.26T 1.58T 214.74B 197.73B 203.26B 162B
Receivables
4.17T 3.74T 3.69T 3.87T 3.09T 2.96T
Inventory
1.88T 1.72T 1.88T 1.87T 1.42T 1.35T
Other Current Assets
693.32B 4.86T 1.71T 1.98T 1.06T 843.68B
Total Current Assets
8.75T 11.68T 9.11T 9.53T 7.1T 6.94T
Property-Plant & Equipment
3.56T 3.15T 4.58T 4.3T 3.98T 3.66T
Goodwill & Intangibles
758.91B 742.89B 1.21T 1.22T 1.25T 1.4T
Total Long-Term Assets
12.74T 11.78T 13.04T 12.38T 11.53T 11.1T
Total Assets
21.5T 23.46T 22.15T 21.91T 18.63T 18.03T
Account Payables
2.88T 2.85T 3.37T 3.38T 2.67T 2.55T
Deferred Revenue
n/a n/a 185.43B 169.83B 53.18B 520.6B
Short-Term Debt
1.34T 1.73T 1.4T 1.6T 1.26T 1.47T
Other Current Liabilities
1.44T 3.37T 1.48T 1.91T 1.15T 600.11B
Total Current Liabilities
5.88T 8.13T 6.69T 7.32T 5.37T 5.35T
Long-Term Debt
3.28T 3.39T 3.49T 4.04T 4.38T 4.29T
Other Long-Term Liabilities
675.06B 601.72B n/a n/a 470.26B n/a
Total Long-Term Liabilities
5.46T 5.23T 6.33T 6.74T 6.73T 6.47T
Total Liabilities
11.34T 13.36T 13.03T 14.05T 12.1T 11.82T
Total Debt
5.34T 5.69T 6.56T 7.24T 7.18T 7.26T
Book Value
10.15T 10.09T 9.12T 7.86T 6.54T 6.22T
Book Value Per Share
2.52K 2.33K 2.08K 1.77K 1.47K 1.35K
Common Stock
204.45B 204.45B 204.45B 204.45B 204.45B 204.45B
Retained Earnings
6.64T 6.45T 6.05T 5.2T 4.42T 4.67T
Comprehensive Income
2.4T 2.35T 1.72T 1.27T 784.69B 415.19B
Shareholders Equity
9.37T 9.04T 8.07T 6.88T 5.61T 5.23T
Total Investments
7.24T 6.44T 7.14T 6.76T 6.22T 5.99T

© 2026 bestshares.com. All rights reserved.