OPTORUN CO.,LTD.JP:6235Balance sheet

Market cap
¥126.4B
P/E ratio
20.3x
Optran manufactures optical thin-film deposition equipment that coats smartphone lenses, camera modules, and other optical components with anti-reflection and filtering films.
2015/122016/122017/122018/122019/122020/122021/122022/122023/122024/122025/12
Cash and cash equivalents -5,35819,89415,74126,97022,72332,27434,92333,05432,53131,442
Total cash & short-term investments-5,35819,89415,74126,97022,72332,27434,92333,05432,53131,442
Accounts receivable, net-4,1803,3806,8374,2539,7706,0137,9735,4864,9505,503
Total current assets-20,17452,25649,56747,19444,57253,14565,40157,63254,57256,776
Property, plant and equipment, net-1,2622,8632,8432,7643,1944,5278,83511,40714,15213,512
Marketable securities, non-current -442168037953503503503504314,183
Total non-current assets-1,5574,1706,3309,3159,75511,52917,51520,85926,86829,371
Total assets -21,73056,42655,89756,50954,32764,67582,91678,49181,44086,146
Accounts payable-3,4867,3031,6532,7351,7033,2464,7851,2841,0834,239
Short-term debt-3,1628,971553402402400400400400400
Long-term debt, current -266210191876654----
Total current liabilities-9,58032,03825,93519,82613,65517,05728,40019,09714,76619,882
Total non-current liabilities-1,5161,7811,8991,8641,1571,5352,3572,4787,6728,658
Total liabilities -11,09733,81927,83421,69014,81218,59130,75821,57522,43828,540
Retained earnings-8,38812,87118,98125,80130,05334,23538,96441,42244,43844,450
Stockholders' equity9,82310,63422,60728,06334,81939,51546,08452,15956,91659,00257,606