TOYOTA MOTOR CORP/ Financial Summary

Complete Filing Data

TOYOTA MOTOR CORP/ reported Selling General And Administrative Expense of $4.78 trillion for FY2025.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean TOYOTA MOTOR CORP/ did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010
Net Income *$4.79T$5.07T$2.49T$2.87T$2.28T$2.08T$1.88T$2.49T$1.83T$2.31T$2.17T$1.82T$962.16B$283.56B$408.18B$209.46B
Revenue *$29.93T$30.23T$29.38T$27.60T$28.40T$27.23T$25.69T$22.06T$18.58T$18.99T$18.95T
Selling General And Administrative Expense$4.78T$4.02T$3.59T$2.98T$2.63T$2.98T$2.98T$3.09T$2.87T$2.94T$2.64T$2.60T$2.10T$1.84T$1.91T$2.12T
Other Nonoperating Income Expense$14.71B-$50.84B$45.95B$36.22B$12.52B-$70.13B$2.93B$1.50B-$36.80B$19.25B$30.89B
Operating Income Loss$2.44T$2.47T$2.40T$1.99T$2.85T$2.75T$2.29T$1.32T$355.63B$468.28B$147.52B
Nonoperating Income Expense$111.74B-$182.08B$220.57B$199.45B$129.41B$142.26B$148.97B$82.76B$77.25B$95.01B$143.95B
Net Income Loss Attributable To Noncontrolling Interest$66.15B$102.71B$92.12B$95.88B$121.52B$134.57B$168.53B$121.32B$84.74B$57.30B$34.76B
Interest Expense$32.22B$28.08B$27.59B$29.35B$35.40B$22.87B$19.63B$22.97B$22.92B$29.32B$33.41B
Income Tax Expense Benefit$683.43B$659.94B$504.41B$628.90B$878.27B$893.47B$767.81B$551.69B$262.27B$312.82B$92.66B
Income Loss From Equity Method Investments$271.15B$360.07B$470.08B$362.06B$329.10B$308.55B$318.38B$231.52B$197.70B$215.02B$45.41B
Income Loss From Continuing Operations Before Income Taxes Minority Interest And Income Loss From Equity Method Investments$2.55T$2.29T$2.62T$2.19T$2.98T$2.89T$2.44T$1.40T$432.87B$563.29B$291.47B
Deferred Income Tax Expense Benefit$192.15B-$86.59B-$237.96B-$53.30B$32.89B-$26.89B-$56.28B$160.01B$6.40B$85.71B$25.54B
Comprehensive Income Net Of Tax Including Portion Attributable To Noncontrolling Interest$1.87T$1.94T$2.39T$1.97T$1.52T$3.29T$2.89T$1.93T$341.69B$149.70B$515.07B
Financial Services Revenue$1.96T$1.78T$1.85T$1.62T$1.38T$1.15T$1.07T$1.17T$1.23T
Cost Of Goods And Services Sold$22.60T$21.54T$21.46T$20.92T$19.99T$18.01T$15.80T$15.99T$15.97T

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010FY2009
Stockholders Equity *$20.06T$19.35T$18.74T$17.51T$16.75T$16.79T$14.47T$12.15T$10.55T$10.33T$10.93T$10.60T
Assets$93.60T$90.11T$74.30T$67.69T$62.27T$53.97T$53.42T$50.31T$48.75T$47.43T$47.73T$41.44T$35.48T$30.65T$29.82T$30.35T
Cash And Cash Equivalents At Carrying Value$4.19T$3.57T$3.05T$3.00T$2.94T$2.28T$2.04T$1.72T$1.68T$2.08T$1.87T$2.44T
Accumulated Other Comprehensive Income Loss Net Of Tax-$1.17T-$916.65B$435.70B$640.92B$610.77B$1.48T$528.16B-$356.12B-$1.18T-$1.14T-$846.84B-$1.11T
Repayments Of Long Term Debt$4.42T$4.44T$4.45T$3.85T$4.18T$3.46T$2.99T$2.68T$2.87T$2.49T$2.94T
Noncontrolling Interests Period Increase Decrease From Equity Transaction And Other-$28.94B-$2.12B-$1.66B$13.35B$5.71B$6.68B$3.51B$5.64B-$2.56B$7.49B-$4.86B
Minority Interest Decrease From Distributions To Noncontrolling Interest Holders$54.95B$69.37B$63.76B$63.94B$73.13B$69.30B$63.07B$45.64B$37.36B$27.66B$10.73B
Gain Loss On Sale Of Property Plant Equipment-$56.91B-$35.90B-$35.29B-$30.67B-$33.33B-$31.63B-$28.66B-$32.22B-$33.53B-$36.21B-$46.94B
Dividends Common Stock Cash$618.80B$636.12B$620.70B$634.48B$704.73B$554.93B$396.03B$190.01B$156.79B$141.12B$172.48B
Property Plant And Equipment Net$10.60T$10.69T$10.27T$10.20T$9.74T$9.30T$7.64T$6.85T$6.24T$6.31T$6.71T
Cash And Cash Equivalents Period Increase Decrease$57.19B$55.65B$654.87B$243.39B$322.87B$39.10B-$401.51B$214.96B-$578.53B
Liabilities$56.72T$54.87T$45.04T$40.53T$37.98T$32.63T$32.76T$30.39T$30.08T$29.34T$30.08T$26.22T
Treasury Stock Value$3.09T$2.61T$2.06T$1.61T$1.60T$1.23T$1.12T$1.13T$1.14T$1.26T
Retained Earnings Accumulated Deficit$23.43T$21.99T$19.47T$17.60T$16.79T$15.59T$14.12T$12.69T$11.92T$11.84T
Property Subject To Or Available For Operating Lease Gross$5.93T$6.14T$5.93T$5.97T$5.65T$5.20T$3.71T$3.04T$2.58T$2.49T
Property Plant And Equipment Gross$24.46T$24.84T$24.04T$23.65T$22.78T$22.36T$19.76T$18.22T$16.85T$16.61T
Prepaid Expense And Other Assets Current$1.24T$805.96B$833.79B$796.30B$1.33T$805.39B$672.01B$527.03B$516.38B$517.45B
Pension And Other Postretirement Defined Benefit Plans Liabilities Noncurrent$978.63B$963.41B$931.18B$905.07B$904.91B$880.29B$767.62B$766.11B$708.40B$668.02B
Other Liabilities Noncurrent$821.52B$615.60B$533.56B$521.88B$491.89B$457.85B$411.43B$308.08B$143.35B$179.78B
Other Liabilities Current$1.44T$1.34T$1.25T$1.21T$1.10T$1.13T$933.57B$941.92B$984.33B$870.72B
Other Assets Noncurrent$1.52T$1.28T$1.22T$1.16T$730.27B$926.39B$736.39B$569.82B$460.85B$661.83B
Minority Interest$677.06B$718.99B$694.12B$668.26B$861.47B$859.20B$749.84B$624.82B$516.22B$587.65B

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010
Proceeds From Sale Of Property Plant And Equipment$48.75B$65.44B$71.82B$41.24B$42.15B$41.55B$39.19B$39.19B$36.63B$51.34B$52.47B
Proceeds From Sale Of Finance Receivables$25.78B$24.39B$33.11B$42.04B$48.15B$23.91B$34.81B$39.85B$54.00B$69.58B$8.39B
Proceeds From Sale Of Equipment On Lease$1.39T$1.39T$1.21T$1.24T$1.11T$803.42B$744.34B$533.44B$431.31B$486.70B$465.09B
Proceeds From Repayments Of Short Term Debt$291.62B$164.28B$347.74B$273.04B-$10.90B-$288.72B$467.98B$201.26B$311.65B$162.26B-$335.36B
Proceeds From Maturities Prepayments And Calls Of Marketable Securities And Security Investments$1.22T$1.56T$2.25T$1.64T$3.31T$2.57T$2.78T$2.63T$2.69T$3.53T$1.03T
Proceeds From Marketable Securities And Security Investments$1.15T$1.13T$275.57B$260.04B$108.71B$113.35B$538.89B$35.18B$162.16B$189.04B$77.03B
Proceeds From Issuance Of Long Term Debt$5.69T$5.00T$4.79T$4.60T$4.85T$5.03T$3.89T$3.19T$2.39T$2.93T$3.18T
Proceeds From Collection Of Finance Receivables$15.64T$14.83T$14.01T$12.89T$13.07T$12.43T$10.99T$9.06T$8.01T$7.93T$7.51T
Payments To Acquire Property Plant And Equipment$1.41T$1.45T$1.29T$1.22T$1.28T$1.15T$970.02B$854.56B$723.54B$629.33B$604.54B
Payments To Acquire Marketable Securities And Security Investments$2.41T$1.84T$3.05T$2.52T$2.20T$3.19T$4.74T$3.41T$3.17T$4.42T$2.41T
Payments To Acquire Finance Receivables$16.90T$15.88T$15.06T$13.64T$13.55T$13.13T$11.95T$10.00T$8.33T$8.44T$7.81T
Payments To Acquire Equipment On Lease$2.19T$2.29T$2.31T$2.32T$2.78T$2.21T$1.71T$1.12T$808.55B$1.06T$833.07B
Payments Of Dividends Common Stock$618.80B$636.12B$620.70B$634.48B$704.73B$554.93B$396.03B$190.01B$156.79B$141.12B$172.48B
Payments For Proceeds From Other Investing Activities-$290.87B$246.81B-$197.68B-$571.89B$1.06T$113.39B$94.43B-$3.40B-$209.97B-$177.61B$337.45B
Net Cash Provided By Used In Operating Activities$3.59T$3.77T$4.22T$3.57T$4.46T$3.69T$3.65T$2.45T$1.45T$2.02T$2.56T
Net Cash Provided By Used In Investing Activities-$3.15T-$2.70T-$3.66T-$2.97T-$3.18T-$3.81T-$4.34T-$3.03T-$1.44T-$2.12T-$2.85T
Net Cash Provided By Used In Financing Activities$397.14B-$540.84B-$449.14B-$375.17B-$423.57B$306.05B$919.48B$477.24B-$355.35B$434.33B-$277.98B
Increase Decrease In Other Operating Liabilities$40.40B$351.12B$211.45B$480.09B$368.92B$494.25B$277.66B$280.08B$316.37B$239.32B$213.34B
Increase Decrease In Other Operating Assets$447.60B$102.47B$149.46B-$2.14B$200.67B$43.36B$77.65B$47.03B$180.53B-$38.31B-$97.49B
Increase Decrease In Inventories$114.10B$166.90B$171.15B$246.33B$68.91B$171.00B$110.82B-$50.48B$344.92B-$51.81B-$56.06B
Increase Decrease In Accrued Income Taxes Payable-$101.74B-$141.33B$238.75B-$121.03B-$5.52B-$246.04B$438.53B$22.13B$20.94B-$40.63B$102.21B
Increase Decrease In Accounts Payable-$76.41B$94.89B$46.65B$145.96B$120.38B$150.06B$65.31B-$209.28B$756.36B-$406.21B$649.21B
Increase Decrease In Accounts And Notes Receivable-$248.90B$246.85B$105.44B$264.78B$25.18B$69.48B$121.93B$168.26B$585.46B-$421.42B$576.71B
Depreciation Depletion And Amortization$1.61T$1.79T$1.73T$1.61T$1.63T$1.41T$1.25T$1.11T$1.07T$1.18T$1.41T
Increase Decrease In Other Net-$136.81B-$159.75B-$423.74B-$290.20B-$297.29B-$79.76B-$201.86B-$364.86B-$111.16B-$183.38B-$226.56B
Effect Of Exchange Rate On Cash And Cash Equivalents-$43.59B-$13.49B-$199.87B$65.08B$93.61B$137.85B-$55.94B-$127.03B-$8.90B

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010FY2009
Common Stock Shares Issued3.26B3.26B3.26B3.26B3.34B3.42B3.45B3.45B3.45B3.45B3.45B3.45B
Earnings Per Share Diluted$729.50$645.11$832.78$599.22$735.36$687.66$574.92$303.78$90.20$130.16$66.79
Earnings Per Share Basic$735.61$650.55$842.00$605.47$741.36$688.02$575.30$303.82$90.21$130.17$66.79
Common Stock Dividends Per Share Declared$220.00$210.00$210.00$200.00$165.00$90.00$50.00$50.00$45.00

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010
Land$1.43T$1.44T$1.43T$1.36T$1.35T$1.32T$1.36T$1.40T$1.38T$1.35T$1.35T$1.31T$1.30T$1.24T$1.24T
Unrealized Gain Loss On Securities-$20.08B-$339.47B-$846.0M-$7.07B-$9.27B-$2.58B-$6.20B-$2.10B-$53.83B-$7.92B-$2.49B
Provision For Doubtful Accounts And Credit Losses$142.98B$80.07B$76.07B$98.67B$159.27B$78.97B$49.72B$27.37B$9.62B$4.14B$100.78B
Pension And Other Postretirement Benefit Expense Less Contributions$15.70B$31.65B$4.29B$23.25B$8.83B-$3.16B$20.65B-$20.43B$16.71B-$23.41B$1.25B
Investment Income Interest And Dividend$232.87B$225.50B$179.54B$158.98B$157.86B$147.12B$115.41B$98.67B$99.87B$90.77B$78.22B
Foreign Currency Transaction Gain Loss Before Tax-$79.02B$12.40B$22.66B$33.60B-$5.57B$88.14B$50.26B$5.55B$37.11B$14.31B$68.25B
Costs And Expenses$27.49T$27.76T$26.98T$25.60T$25.55T$24.48T$23.40T$20.74T$18.23T$18.53T$18.80T
Financial Services Costs$1.29T$1.19T$1.15T$925.31B$812.89B$630.43B$592.65B$629.54B$712.30B
Time Deposits Current$828.22B$1.13T$901.24B$1.08T$1.03T$149.32B$180.21B$106.70B$80.30B$203.87B
Short Term Borrowings$5.29T$5.34T$5.15T$4.95T$4.70T$5.05T$4.83T$4.09T$3.45T$3.18T

Most recent annual filing with the SEC: June 18, 2025

Data sourced from SEC EDGAR public filings as of August 5, 2026.