Meito Sangyo Co., Ltd.JP:2207

Market cap
¥32.4B
P/E ratio
Mar 31,
2012
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and deposits-2,8212,2531,8152,7106,9424,6052,5943,2454,4454,8784,2516,362
Notes receivable - trade----------865874
Accounts receivable - trade----------4,6045,2226,044
Securities-7851,199649702501199-1,3001,5015,6493,000250
Merchandise and finished goods-8807399589431,0221,0571,1551,0181,1641,2561,3171,756
Work in process-354355393446435402471487455443539674
Raw materials and supplies-7098028298241,0109401,1409411,0631,1901,4341,507
Other-2377343363371,0688295551,211331
Allowance for doubtful accounts--20-19-21-22-14-22-17-39-14-9-2-2
Current assets-9,8689,6098,77510,03914,45612,27111,41711,44913,05518,15417,03316,998
Buildings, net-----------8,4328,642
Buildings and structures-11,02111,09811,12910,94911,10911,19417,99317,39416,97115,73817,51418,371
Accumulated depreciation--5,967-6,335-6,640-6,757-6,961-7,164-7,726-7,262-7,437-7,773-8,256-8,781
Buildings and structures, net-5,0544,7624,4894,1914,1474,03010,26710,1319,5337,9659,2579,590
Structures, net-----------638741
Machinery, equipment and vehicles-14,96415,24215,37515,50915,99615,88921,27221,72922,54919,68919,85220,591
Accumulated depreciation--11,111-11,784-12,126-12,579-12,752-12,533-13,280-12,848-13,714-14,573-15,112-15,488
Machinery, equipment and vehicles, net-3,8523,4583,2492,9293,2443,3567,9918,8818,8355,1154,7395,103
Machinery and equipment, net-----------3,7134,412
Tools, furniture and fixtures-8108328508628849131,0701,0651,0821,0821,1281,219
Accumulated depreciation--745-749-760-753-754-782-855-880-908-936-981-1,025
Tools, furniture and fixtures, net-648290109130130214184174145147194
Vehicles, net-----------715
Land-3,1133,1793,1793,1805,0795,0805,0804,3544,3513,8563,8563,850
Tools, furniture and fixtures, net-648290109130130214184174145147194
Construction in progress-3442112851786,24381514621549902104
Land-3,1133,1793,1793,1805,0795,0805,0804,3544,3513,8563,8563,850
Property, plant and equipment-12,12011,52611,01910,69512,77918,84124,37023,69823,11017,13218,90318,843
Construction in progress-3442112851786,24381514621549902104
Property, plant and equipment-12,12011,52611,01910,69512,77918,84124,37023,69823,11017,13218,90318,843
Intangible assets-817266686978130988985831,628
Goodwill------------1,515
Other-----------83112
Intangible assets-817266686978130988985831,628
Investment securities-23,37425,36131,99730,75933,04236,46536,06931,50137,74035,33733,81543,793
Shares of subsidiaries and associates-----------1662,965
Long-term loans receivable-302421161187654910
Long-term loans receivable-302421161187654910
Deferred tax assets-------73211445
Other-156164168301284154133190168177454476
Allowance for doubtful accounts--73-73-78-76-76-28-28-28-29-28-28-28
Investments and other assets-23,77925,47932,11031,00333,26436,60236,18831,70137,89635,49534,25544,256
Non-current assets-35,98137,07743,19741,76746,11355,52260,68955,49961,09652,71353,24264,727
Assets-45,85046,68751,97251,80760,57067,79372,10766,94974,15270,86770,27681,726
Notes and accounts payable - trade-1,8722,0782,0932,2612,4552,5342,3092,0512,2992,3663,1383,067
Notes payable - trade-----------294261
Accounts payable - trade-----------1,9321,865
Short-term borrowings-580500250150-15010050240501003,070
Short-term borrowings-580500250150-15010050240501003,070
Current portion of long-term borrowings-91491436917414886832835813765765765
Current portion of long-term borrowings-91491436917414886832835813765765765
Accounts payable - other-1771131662422822,9241733256485171,187919
Accounts payable - other-1771131662422822,9241733256485171,187919
Accrued expenses-1,4941,5041,5491,7121,6561,9192,0021,9292,0652,1572,3912,548
Accrued expenses-1,4941,5041,5491,7121,6561,9192,0021,9292,0652,1572,3912,548
Income taxes payable-2753424213226326521941,56814232
Income taxes payable-2753424213226326521941,56814232
Provision for noncurrent assets removal cost-------210----31
Provision for noncurrent assets removal cost-------210----31
Other-167181161227351283388254273207270364
Other-167181161227351283388254273207270364
Current liabilities-5,2425,3064,6335,0215,0348,1666,0475,5046,5467,6327,86810,998
Current liabilities-5,2425,3064,6335,0215,0348,1666,0475,5046,5467,6327,86810,998
Long-term borrowings-1,9221,0076374625,8145,72712,83411,99511,37510,6109,8449,079
Deferred tax liabilities-------5,9184,7636,6224,5064,6787,536
Provision for retirement benefits-2,139---------2,7002,610
Provision for retirement benefits for directors (and other officers)-1614161957101214172145
Provision for noncurrent assets removal cost-----210210---6192100
Other-365292318223430437366567484427380228
Retirement benefit liability--2,2672,4452,8382,9172,9802,9662,8312,8342,8972,7522,668
Non-current liabilities-7,2297,1258,6378,11514,51515,61022,09620,17021,33118,52117,77019,658
Other-365292318223430437366567484427380228
Non-current liabilities-7,2297,1258,6378,11514,51515,61022,09620,17021,33118,52117,77019,658
Liabilities-12,47112,43213,27113,13619,55023,77628,14425,67427,87826,15325,63930,657
Share capital-1,3131,3131,3131,3131,3131,3131,3131,3131,3131,3131,3131,323
Legal capital surplus-----------7686
Capital surplus-767676767676767676767686
Capital surplus-767676767676767676767686
Legal retained earnings-----------328328
Reserve for dividends-----------720720
Reserve for tax purpose reduction entry of non-current assets-----------1,7071,675
General reserve-----------22,70022,700
Retained earnings brought forward-----------1,9951,569
Retained earnings-33,66233,06432,79033,14926,02026,34726,56926,83927,49128,68928,93127,788
Retained earnings-33,66233,06432,79033,14926,02026,34726,56926,83927,49128,68928,93127,788
Treasury shares--8,544-8,546-8,541-8,414-704-705-706-707-707-708-687-688
Shareholders' equity-26,50725,90725,63826,12426,70627,03127,25227,52228,17329,37029,63328,509
Valuation difference on available-for-sale securities-6,6408,07713,01112,65614,31716,98716,68313,63818,06015,34914,92822,484
Valuation and translation adjustments-6,6408,09212,92512,42914,31316,98516,71013,75218,10115,34315,00322,559
Remeasurements of defined benefit plans--14-86-226-4-22711341-67474
Valuation and translation adjustments-6,6408,09212,92512,42914,31316,98516,71013,75218,10115,34315,00322,559
Net assets31,17233,37834,25438,70138,67041,01944,01643,96241,27446,27444,71344,63751,068
Liabilities and net assets-45,85046,68751,97251,80760,57067,79372,10766,94974,15270,86770,27681,726