METALART CORPORATIONJP:5644

Market cap
¥9.4B
P/E ratio
10.8x
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-7213,9912,9111,6813,0352,6603,5194,2968,3677,9908,1759,491
Accounts receivable - trade----------5,2246,8654,907
Electronically recorded monetary claims - operating-3,9152,9773,3162,4602,7482,9363,2222,9941,5683,6944,0143,369
Electronically recorded monetary claims - operating-3,9152,9773,3162,4602,7482,9363,2222,9941,5683,6944,0143,369
Accounts receivable - trade----------5,2246,8654,907
Finished goods-330225234240348357414316283474581588
Work in process-8951,0381,1691,2011,3161,2791,2991,3321,1351,5821,8701,881
Raw materials and supplies-1,1031,2591,7821,9302,3672,4532,7252,5512,2853,0653,3693,454
Other-114345846424568841,0356856209859611,920
Advance payments to suppliers-----------11
Current assets-12,69913,51413,25611,36714,22514,88216,53416,19918,60323,01625,83825,614
Accounts receivable - other-264273--------1,2711,184
Other-114345846424568841,0356856209859611,920
Current assets-12,69913,51413,25611,36714,22514,88216,53416,19918,60323,01625,83825,614
Buildings-----------2,1802,890
Buildings and structures, net-2,3192,1852,8012,6892,5883,4253,5243,2933,1813,2023,6254,406
Strucutures-----------314313
Machinery, equipment and vehicles, net-3,7593,2534,6904,6414,4824,4975,8485,3515,3555,7856,9858,055
Machinery and equipment-----------4,4565,686
Tools,furniture end fixtures-230291335352324334355383344457554724
Vehicles-----------2335
Land-2,0572,5882,5942,5532,6092,5742,5722,5082,5662,6182,9532,999
Tools,furniture end fixtures-230291335352324334355383344457554724
Leased assets-12529222215834242
Land-2,0572,5882,5942,5532,6092,5742,5722,5082,5662,6182,9532,999
Construction in progress-3272,2239073214454973454193092,7241,5071,166
Leased assets-12529222215834242
Property, plant and equipment-8,70310,54511,35710,57710,46911,34212,65311,95711,75914,79115,63017,356
Construction in progress-3272,2239073214454973454193092,7241,5071,166
Property, plant and equipment-8,70310,54511,35710,57710,46911,34212,65311,95711,75914,79115,63017,356
Software-----------1723
Other-355140365137565645-121
Intangible assets-486350455843605947323428
Intangible assets-486350455843605947323428
Investment securities-360368482125163172148123156167180278
Shares of subsidiaries and associates-----------3,5113,511
Retirement benefit asset------4726-124145177380
Prepaid pension costs-----------141162
Deferred tax assets-------352370276334316218
Deferred tax assets-------352370276334316218
Other-133164175182184154174185167156152157
Other-133164175182184154174185167156152157
Allowance for doubtful accounts--6-6-9-9-9-9-9-9-9-9-9-9
Allowance for doubtful accounts--6-6-9-9-9-9-9-9-9-9-9-9
Investments and other assets-5265686853714335856916697137948181,025
Investments and other assets-5265686853714335856916697137948181,025
Non-current assets-9,27811,17512,09210,99310,96111,97013,40512,68412,52015,61816,48318,409
Assets-21,97724,68925,34822,36025,18626,72929,94028,88331,12338,63542,32244,024
Accounts payable - trade--6,7967,0371,6872,6032,8313,0412,6782,7143,8115,0643,918
Electronically recorded obligations - operating----3,7664,3214,7565,3584,9674,7166,3176,9415,068
Electronically recorded obligations - operating----3,7664,3214,7565,3584,9674,7166,3176,9415,068
Accounts payable - trade--6,7967,0371,6872,6032,8313,0412,6782,7143,8115,0643,918
Short-term borrowings-3,6003,2723,2723,5723,6023,5723,8783,8323,8003,8002,1403,700
Lease liabilities-981291010522-1-
Accrued expenses-482510549630616680674584585694762733
Accounts payable - other-----------855111
Income taxes payable-211572463-420231218111436665314350
Accrued expenses-482510549630616680674584585694762733
Provision for bonuses-302308307307367376427433457521503479
Income taxes payable-211572463-420231218111436665314350
Provision for bonuses for directors (and other officers)-17206-1312181934333028
Provision for bonuses-302308307307367376427433457521503479
Provision for bonuses for directors (and other officers)-17206-1312181934333028
Other-1,0549076962195101,0917968647242,3291,6702,438
Electronically recorded obligations operating-facilities-----------366229
Current liabilities-11,72612,39112,34310,19012,46213,56014,41513,49113,46818,17417,42816,717
Other-1,0549076962195101,0917968647242,3291,6702,438
Current liabilities-11,72612,39112,34310,19012,46213,56014,41513,49113,46818,17417,42816,717
Long-term borrowings--39232024817611032-60601,7001,200
Lease liabilities-9123021188422132
Provision for retirement benefits-242---------403403
Provision for retirement benefits for directors (and other officers)-816688981151411671441197398110
Provision for retirement benefits for directors (and other officers)-816688981151411671441197398110
Retirement benefit liability--160259472484490536607617644660664
Asset retirement obligations-465731262625252524232323
Other-----1616168168687628
Non-current liabilities-5478498839248548197798598918702,5612,028
Liabilities-12,27213,24113,22611,11413,31614,37915,19414,35014,35819,04519,99018,746
Share capital-2,1432,1432,1432,1432,1432,1432,1432,1432,1432,1432,1432,143
Legal capital surplus-----------1,6411,641
Capital surplus-1,6411,6411,6411,6411,6411,6411,9961,9961,9961,9951,9951,995
Capital surplus-1,6411,6411,6411,6411,6411,6411,9961,9961,9961,9951,9951,995
Legal retained earnings-----------9696
General reserve-----------5,0035,003
Retained earnings brought forward-----------6,6097,131
Retained earnings-5,7907,0487,8537,5308,1628,4699,1749,84811,15213,13915,54817,320
Retained earnings-5,7907,0487,8537,5308,1628,4699,1749,84811,15213,13915,54817,320
Treasury shares--7-8-8-9-9-10-10-211-211-211-376-377
Shareholders' equity-9,56810,82511,63011,30611,93712,24313,30313,77615,08017,06719,31021,082
Valuation difference on available-for-sale securities-1371402223958634531535968138
Valuation and translation adjustments-137184258-59-67107-10-603124986751,328
Foreign currency translation adjustment---18-4-5-447514-502-174666211,061
Remeasurements of defined benefit plans--6140-93-81-30-69-132-22-28-13128
Valuation and translation adjustments-137184258-59-67107-10-603124986751,328
Net assets8,7899,70411,44912,12211,24611,87012,35014,74614,53416,76519,58922,33125,277
Non-controlling interests---235---1,4531,3601,6722,0232,3452,867
Net assets8,7899,70411,44912,12211,24611,87012,35014,74614,53416,76519,58922,33125,277
Liabilities and net assets-21,97724,68925,34822,36025,18626,72929,94028,88331,12338,63542,32244,024