Sumitomo Electric Industries, Ltd.JP:5802

Market cap
¥1.85T
P/E ratio
42.9x
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-172,637161,797172,697174,686180,034178,918167,225250,600253,668259,581283,425269,744
Notes and accounts receivable - trade-502,000563,599644,834622,944648,411668,616708,617670,337755,258784,647842,794875,933
Notes receivable - trade----------21,35019,71120,956
Contract assets----------30,03032,83836,497
Accounts receivable - trade----------685,153742,099762,519
Inventories-343,766382,634450,276422,976449,070466,437528,789553,586606,343844,837851,224885,017
Other-63,87667,020106,00391,359101,24588,277108,534103,885116,068140,152154,802186,414
Short-term loans receivable-----------134,079240,969
Allowance for doubtful accounts--2,710-4,047-4,253-3,590-2,733-2,616-1,609-1,765-1,966-2,319-2,395-11,390
Other-63,87667,020106,00391,359101,24588,277108,534103,885116,068140,152154,802186,414
Current assets-1,115,7611,203,6191,415,5611,357,1961,426,5531,445,1191,513,6401,577,0271,729,3712,056,9282,162,6882,242,215
Allowance for doubtful accounts--2,710-4,047-4,253-3,590-2,733-2,616-1,609-1,765-1,966-2,319-2,395-11,390
Current assets-1,115,7611,203,6191,415,5611,357,1961,426,5531,445,1191,513,6401,577,0271,729,3712,056,9282,162,6882,242,215
Buildings and structures-533,021574,283622,847620,088644,054666,919690,809711,060748,670786,964830,737873,752
Accumulated depreciation--305,220-323,279-351,031-359,072-377,354-393,688-412,336-428,138-453,679-481,550-511,124-549,954
Buildings and structures, net-227,801251,004271,816261,016266,700273,231278,473282,898294,991305,414319,613323,798
Buildings-----------62,52163,999
Machinery, equipment and vehicles-1,020,6271,108,8241,229,8831,233,1371,314,2971,364,3671,427,6851,471,3041,556,2811,684,7641,792,4001,942,211
Accumulated depreciation--760,019-811,715-891,106-900,749-945,475-987,922-1,022,419-1,058,408-1,134,664-1,240,367-1,346,010-1,481,868
Machinery, equipment and vehicles, net-260,608297,109338,777332,388368,822376,445405,266411,510421,617444,397446,390460,343
Structures-----------8,8368,935
Tools, furniture and fixtures-243,534256,464276,068273,569285,938279,129292,452298,451310,181329,788347,573397,906
Accumulated depreciation--204,217-208,289-225,683-225,549-235,295-228,496-240,358-244,363-257,545-275,242-292,447-336,436
Tools, furniture and fixtures, net-39,31748,17550,38548,02050,64350,63352,09452,90052,63654,54655,12661,470
Machinery and equipment-----------38,45436,451
Leased assets-------11,08070,23281,58599,059119,154137,692
Accumulated depreciation--------3,066-12,815-25,488-39,323-50,709-62,921
Leased assets, net-------8,01455,41156,09759,73668,44574,771
Land-83,32587,61088,43587,51287,90488,46189,22992,96193,80698,63799,932101,934
Construction in progress-38,55838,34338,00648,50546,81351,70552,74765,04862,01264,05473,27375,835
Land-83,32587,61088,43587,51287,90488,46189,22992,96193,80698,63799,932101,934
Other-1,4422,6362,3562,6792,3035,3598,014---10,23110,189
Construction in progress-38,55838,34338,00648,50546,81351,70552,74765,04862,01264,05473,27375,835
Property, plant and equipment-651,051724,877789,775780,120823,185845,834885,823959,805981,1591,026,7841,062,7791,098,151
Software-----------11,05711,377
Other-28,26141,84845,33642,84643,35939,98738,20735,13234,587-246225
Intangible assets-37,04563,30167,23251,73354,31649,11540,69537,90836,23236,06236,68239,831
Intangible assets-37,04563,30167,23251,73354,31649,11540,69537,90836,23236,06236,68239,831
Investment securities-388,834453,520500,289420,759441,040478,761446,559381,963407,406443,896503,791607,105
Shares of subsidiaries and associates-----------502,024534,918
Retirement benefit asset--64,317105,30575,72898,739134,47087,56966,234158,447173,434175,997303,740
Long-term loans receivable-----------17,38815,097
Deferred tax assets-------33,38238,17929,51932,32930,90931,953
Other-87,71327,22029,64140,91146,21949,17147,82242,02840,86938,81040,88543,148
Allowance for doubtful accounts--1,409-1,458-1,362-1,428-2,440-2,134-2,227-1,259-1,089-853-723-746
Allowance for investment loss------------2,295-2,295
Investments and other assets-493,710563,022653,217553,799603,238703,257613,105527,145635,152687,616750,859985,200
Investments and other assets-493,710563,022653,217553,799603,238703,257613,105527,145635,152687,616750,859985,200
Non-current assets-1,181,8061,351,2001,510,2241,385,6521,480,7391,598,2061,539,6231,524,8511,652,5431,750,4621,850,3202,123,182
Assets-2,297,5672,554,8192,925,7852,742,8482,907,2923,017,3033,053,2633,100,2603,381,9143,807,3904,013,0084,365,397
Notes payable - trade-----------55
Notes and accounts payable - trade-300,669329,021367,253349,360378,110367,297379,844361,155397,439444,985445,951479,831
Accounts payable - trade-----------232,177249,025
Short-term borrowings-167,961215,379213,637162,213179,584186,931248,583307,620310,695482,212601,237385,575
Short-term borrowings-167,961215,379213,637162,213179,584186,931248,583307,620310,695482,212601,237385,575
Commercial papers---------14,0008,0007,000-
Current portion of bonds payable-20,00010,62010,62010,61015,000---10,0009,996-10,000
Accounts payable - other-----------20,72934,136
Income taxes payable-18,22720,89517,03319,27917,79717,93522,84516,49225,00123,11334,01150,227
Accrued expenses-----------31,46839,003
Provision for bonuses for directors (and other officers)-919936901919848916874763717730775892
Other-147,400161,070196,862224,070228,066224,705224,795226,008246,820241,923257,669304,302
Provision for warranties for completed construction-9947817084757061,3431,1961,033947930901621
Current liabilities-657,145740,446809,869771,173824,175803,703880,751915,3201,008,0611,260,0941,399,4071,307,370
Provision for loss on orders received-9751,7442,8554,2474,0644,5762,6142,2492,4421,8501,6951,659
Contract liabilities----------46,35550,16874,263
Other-147,400161,070196,862224,070228,066224,705224,795226,008246,820241,923257,669304,302
Current liabilities-657,145740,446809,869771,173824,175803,703880,751915,3201,008,0611,260,0941,399,4071,307,370
Bonds payable-56,85046,23035,61025,00060,00074,80574,828104,85194,87384,90094,864174,890
Long-term borrowings-238,608258,954288,160256,239253,862226,627213,330173,554205,113222,188195,578164,579
Deferred tax liabilities-------36,69031,29449,99865,06887,895136,103
Lease liabilities--------38,34837,06637,63245,52449,902
Provision for loss on guarantees-----------13,16032,955
Deferred tax liabilities-------36,69031,29449,99865,06887,895136,103
Provision for loss on business------------12,762
Provision for retirement benefits for directors (and other officers)-1,1121,0431,2221,2691,0411,110715771669615572649
Other-12,55915,00816,27617,08817,46317,28314,76936,40444,03937,91832,55534,319
Provision for loss on business------------12,762
Non-current liabilities-395,727434,461469,003410,386454,502449,514396,199418,293481,347494,358502,782626,139
Retirement benefit liability--47,50739,40851,56254,55354,66155,86757,97649,58946,03745,79452,935
Other-12,55915,00816,27617,08817,46317,28314,76936,40444,03937,91832,55534,319
Non-current liabilities-395,727434,461469,003410,386454,502449,514396,199418,293481,347494,358502,782626,139
Liabilities-1,052,8721,174,9071,278,8721,181,5591,278,6771,253,2171,276,9501,333,6131,489,4081,754,4521,902,1891,933,509
Share capital-99,73799,73799,73799,73799,73799,73799,73799,73799,73799,73799,73799,737
Legal capital surplus-----------177,659177,659
Other capital surplus-----------2424
Capital surplus-171,020171,020171,020171,314170,849170,849170,868170,881170,875170,539166,817165,424
Capital surplus-171,020171,020171,020171,314170,849170,849170,868170,881170,875170,539166,817165,424
Legal retained earnings-----------18,32918,329
General reserve-----------365,441365,441
Retained earnings brought forward-----------119,188123,413
Retained earnings-763,159819,179920,850981,4131,074,7701,160,6011,216,2071,251,7781,281,7621,346,2101,383,0461,493,708
Retained earnings-763,159819,179920,850981,4131,074,7701,160,6011,216,2071,251,7781,281,7621,346,2101,383,0461,493,708
Treasury shares--649-659-667-677-20,736-20,749-20,749-20,759-20,769-20,781-20,793-20,803
Shareholders' equity-1,033,2671,089,2771,190,9401,251,7871,324,6201,410,4381,466,0631,501,6371,531,6051,595,7051,628,8071,738,066
Valuation difference on available-for-sale securities-66,68785,170127,41674,62978,72586,25183,43057,78174,86676,687135,032183,971
Deferred gains or losses on hedges--1,254-1,097-8382,134227-230-128-493-1,419-1,366-2,340-2,679
Valuation and translation adjustments-39,218100,331240,246108,752104,202129,01584,82016,94797,201174,083271,072469,596
Foreign currency translation adjustment--26,21524,90288,44427,6806,547238-13,927-42,327-23,65938,82185,258155,338
Remeasurements of defined benefit plans---8,64425,2244,30921,37242,75615,4451,98647,41359,94153,122132,966
Valuation and translation adjustments-39,218100,331240,246108,752104,202129,01584,82016,94797,201174,083271,072469,596
Net assets1,138,9311,244,6951,379,9121,646,9131,561,2891,628,6151,764,0861,776,3131,766,8301,892,5062,052,9382,110,8192,431,888
Non-controlling interests---215,727200,750212,861224,633225,430248,246263,700283,150210,940224,226
Net assets1,138,9311,244,6951,379,9121,646,9131,561,2891,628,6151,764,0861,776,3131,766,8301,892,5062,052,9382,110,8192,431,888
Liabilities and net assets-2,297,5672,554,8192,925,7852,742,8482,907,2923,017,3033,053,2633,100,2603,381,9143,807,3904,013,0084,365,397