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SMC Corporation

SMCAY | OTC
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$21.46
+$0.07 (+0.33%)
Sep 22, 2026, 2:02 PM ET · Market open
Fiscal Year
Period Ending
FY 2026
Mar 30, 2026
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
Cash & Equivalents
666.75B 655.78B 511.26B 603.57B 684.83B 629.29B
Short-Term Investments
48.04B 29.77B 33M 19.93B 12.22B 11.26B
Long-Term Investments
122.24B 173.11B 344.81B 216.4B 220.06B 206.5B
Other Long-Term Assets
39.86B -1M 2M 36.65B -2M 21.38B
Receivables
235.38B 207.97B 216.64B 228.11B 211.04B 174.18B
Inventory
508.89B 489.66B 519.56B 418.6B 303.54B 248.75B
Other Current Assets
51.75B 38.66B 60.5B 53.64B 46.77B 33.47B
Total Current Assets
1.51T 1.42T 1.31T 1.32T 1.26T 1.1T
Property-Plant & Equipment
620.69B 478.72B 413.56B 327B 270.58B 198.54B
Goodwill & Intangibles
16.21B 16.11B 17.33B 16.59B 15.18B 11.39B
Total Long-Term Assets
811.05B 678.92B 786.57B 604.09B 511.54B 442.92B
Total Assets
2.32T 2.1T 2.09T 1.93T 1.77T 1.54T
Account Payables
31.96B 46.9B 58.82B 73.64B 62.1B 44.09B
Deferred Revenue
n/a n/a n/a 47.58B 50.13B 33.08B
Short-Term Debt
5.11B 5.04B 7.34B 7.14B 6.99B 1.47B
Other Current Liabilities
67.6B 65.48B 63.96B 55.35B 44.83B 36.35B
Total Current Liabilities
146.3B 135.64B 164.6B 188.85B 169.4B 118.04B
Long-Term Debt
n/a n/a 5.73B 5.05B 4.56B 9.32B
Other Long-Term Liabilities
24.19B 16.77B 16.35B 7.48B 7.37B 8.12B
Total Long-Term Liabilities
51.14B 36.82B 44.09B 36.77B 41.28B 41.84B
Total Liabilities
197.44B 172.46B 208.69B 225.62B 210.68B 159.89B
Total Debt
5.11B 5.04B 13.07B 12.19B 11.54B 10.79B
Book Value
2.12T 1.93T 1.89T 1.7T 1.56T 1.38T
Book Value Per Share
1.68K 1.71K 1.46K 1.31K 1.18K 1.04K
Common Stock
61.27B 61.01B 61.01B 61.01B 61.01B 61.01B
Retained Earnings
1.72T 1.81T 1.72T 1.6T 1.43T 1.28T
Comprehensive Income
310.22B 1.36B 225.68B 132.15B 100.14B 219.93M
Shareholders Equity
2.12T 1.93T 1.88T 1.7T 1.56T 1.38T
Total Investments
170.28B 202.88B 344.84B 236.32B 232.28B 217.76B

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