FUJI CORPORATIONJP:6134

Market cap
¥218.8B
P/E ratio
30.2x
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-44,43346,88850,22857,50853,95657,76730,75543,83160,27859,48159,78461,812
Notes and accounts receivable - trade-14,33412,82317,45019,92918,00428,91935,25635,17436,37438,97242,08932,207
Notes receivable - trade----------1,7341,4601,238
Accounts receivable - trade----------37,23840,62930,968
Securities-4,0004,0004,1853,1385,5704,4386,7112631,7577,5794,3382,835
Securities-4,0004,0004,1853,1385,5704,4386,7112631,7577,5794,3382,835
Merchandise and finished goods-4,8794,7546,5616,2317,4637,0639,5028,3999,99614,43416,08412,779
Work in process-13,91713,02614,57015,25514,15815,15321,37822,79520,80424,48427,12428,933
Merchandise and finished goods-4,8794,7546,5616,2317,4637,0639,5028,3999,99614,43416,08412,779
Raw materials and supplies-7,3506,8896,7665,8395,4796,1288,8408,6407,36412,41718,63815,404
Work in process-13,91713,02614,57015,25514,15815,15321,37822,79520,80424,48427,12428,933
Other-3,2642,0873,9273,4843,8884,5406,1177,6907,3698,7058,7977,601
Raw materials and supplies-7,3506,8896,7665,8395,4796,1288,8408,6407,36412,41718,63815,404
Allowance for doubtful accounts--239-29-65-63-20-32-34-27-86-96-106-139
Other-3,2642,0873,9273,4843,8884,5406,1177,6907,3698,7058,7977,601
Current assets-94,09192,982106,779114,173111,544127,332118,528126,770143,859165,978176,750161,436
Allowance for doubtful accounts--239-29-65-63-20-32-34-27-86-96-106-139
Current assets-94,09192,982106,779114,173111,544127,332118,528126,770143,859165,978176,750161,436
Buildings and structures-20,33022,71823,94223,67724,10024,42926,12731,09031,57633,89634,80137,112
Accumulated depreciation and impairment--11,979-12,618-13,519-14,996-15,415-15,389-16,407-17,109-18,193-19,712-20,286-20,905
Buildings and structures, net-8,35010,10010,4238,6808,6859,0399,71913,98113,38314,18314,51516,207
Buildings-----------8,3067,801
Machinery, equipment and vehicles-13,80014,59815,39515,30915,82415,43616,11018,11219,27721,54022,41524,705
Accumulated depreciation and impairment--10,191-10,614-11,320-11,251-11,709-11,737-12,343-13,055-14,705-16,339-16,805-17,970
Machinery, equipment and vehicles, net-3,6083,9844,0754,0574,1153,6993,7665,0574,5715,2015,6096,735
Structures-----------1,6131,458
Tools, furniture and fixtures-6,0476,6646,9447,0947,3797,4728,3108,8799,28410,36111,08911,714
Accumulated depreciation and impairment--5,271-5,803-6,118-6,310-6,496-6,519-7,240-7,758-8,145-9,094-9,833-10,407
Tools, furniture and fixtures-7758618257838839531,0691,1201,1391,2671,2561,306
Machinery and equipment-----------4,7835,780
Land-3,9834,0454,0833,9424,0764,0505,1075,1715,1935,3645,6925,763
Vehicles-----------4150
Construction in progress-856364333281091,2025,46590533201,1973,685
Tools, furniture and fixtures-7758618257838839531,0691,1201,1391,2671,2561,306
Property, plant and equipment-17,57419,35519,44117,79317,87018,94425,12825,42124,34226,33728,27133,697
Land-3,9834,0454,0833,9424,0764,0505,1075,1715,1935,3645,6925,763
Construction in progress-856364333281091,2025,46590533201,1973,685
Property, plant and equipment-17,57419,35519,44117,79317,87018,94425,12825,42124,34226,33728,27133,697
Goodwill-------13,79612,84411,89311,64210,5709,417
Software-5,6735,7355,3135,8416,4306,3036,0897,0908,1308,9859,16010,088
Software-5,6735,7355,3135,8416,4306,3036,0897,0908,1308,9859,16010,088
Other-1818182132265,6075,0544,8275,1814,5394,077
Intangible assets-5,6925,7545,3315,8626,4626,33025,49224,99024,85125,80924,26923,584
Other-1818182132265,6075,0544,8275,1814,5394,077
Intangible assets-5,6925,7545,3315,8626,4626,33025,49224,99024,85125,80924,26923,584
Investment securities-13,15217,22421,67218,41422,05732,57224,03019,38428,50920,43319,84825,923
Shares of subsidiaries and associates-----------26,67626,524
Deferred tax assets-------7691,5518261,9661,7381,029
Investments in capital-----------11
Retirement benefit asset---------1,8902,3622,5004,504
Investments in capital of subsidiaries and associates-----------1,9511,951
Other-570602484586382443416386390421787761
Prepaid pension costs-----------2,7092,861
Investments and other assets-13,73117,84922,33719,12722,52933,78225,21621,32231,61825,18424,87532,219
Other-570602484586382443416386390421787761
Investments and other assets-13,73117,84922,33719,12722,52933,78225,21621,32231,61825,18424,87532,219
Non-current assets-36,99842,95947,11142,78446,86259,05775,83771,73380,81177,33177,41689,501
Assets-131,089135,942153,890156,958158,406185,762194,366198,504224,671243,310254,167250,937
Accounts payable - trade-----------6,8504,263
Notes and accounts payable - trade-2,5543,4344,6764,4275,2506,5357,2739,05011,02512,4639,0846,110
Accounts payable - other-----------700248
Income taxes payable-169493,5448531,6915,1883,4181,9804,8615,9603,825589
Income taxes payable-169493,5448531,6915,1883,4181,9804,8615,9603,825589
Provision for product warranties-7676818948688451,1091,0731,0739558121,016632
Accrued expenses-----------3,3163,200
Other-4,4884,7075,7465,6936,1959,30611,3989,50810,43813,80113,64311,074
Provision for product warranties-7676818948688451,1091,0731,0739558121,016632
Current liabilities-10,75010,37215,46111,84214,01422,13923,16428,83927,27933,03727,56918,406
Other-4,4884,7075,7465,6936,1959,30611,3989,50810,43813,80113,64311,074
Current liabilities-10,75010,37215,46111,84214,01422,13923,16428,83927,27933,03727,56918,406
Deferred tax liabilities-------1,7201,3302,5171,0599703,623
Other------22465562104174254
Retirement benefit liability--2,9032991,106859766577338254326348374
Non-current liabilities-4,6004,7753,38413,04613,44412,2109,5781,7252,8341,4901,4934,252
Other------22465562104174254
Non-current liabilities-4,6004,7753,38413,04613,44412,2109,5781,7252,8341,4901,4934,252
Liabilities-15,35115,14718,84524,88827,45834,34932,74230,56430,11434,52729,06222,659
Share capital-5,8785,8785,8785,8785,8785,8785,8785,8785,8785,8785,8785,878
Legal capital surplus-----------5,4135,413
Other capital surplus-----------1,6611,672
Capital surplus-5,4135,4135,4135,4135,4135,9245,9245,9247,0347,0777,0997,109
Capital surplus-5,4135,4135,4135,4135,4135,9245,9245,9247,0347,0777,0997,109
Legal retained earnings-----------1,4501,450
General reserve-----------54,90054,900
Retained earnings brought forward-----------112,668112,291
Retained earnings-101,912103,038111,562115,475119,790134,183146,928157,781170,381185,301198,521201,332
Retained earnings-101,912103,038111,562115,475119,790134,183146,928157,781170,381185,301198,521201,332
Treasury shares--48-50-51-1,907-10,054-7,779-7,781-7,781-1,670-1,657-1,625-11,029
Shareholders' equity-113,156114,281122,802124,860121,028138,207150,951161,803181,624196,600209,873203,291
Valuation difference on available-for-sale securities-2,8765,1808,1055,5517,73911,6888,8675,1849,7797,1627,67211,759
Valuation and translation adjustments-2,0696,51312,0227,0409,71512,99510,4825,79112,63112,06515,11424,871
Deferred gains or losses on hedges-------111542551-1
Foreign currency translation adjustment--8071,1473,5522,1481,8921,3431,7219612,0664,7667,58512,035
Remeasurements of defined benefit plans--185364-65983-35-117-36974280-1451,079
Valuation and translation adjustments-2,0696,51312,0227,0409,71512,99510,4825,79112,63112,06515,11424,871
Net assets110,583115,738120,794135,044132,069130,947151,412161,624167,939194,556208,782225,104228,278
Non-controlling interests---219168203208190343300117116114
Net assets110,583115,738120,794135,044132,069130,947151,412161,624167,939194,556208,782225,104228,278
Liabilities and net assets-131,089135,942153,890156,958158,406185,762194,366198,504224,671243,310254,167250,937