Wacom Co.,Ltd.JP:6727

Market cap
¥99B
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-21,59615,39416,68714,36514,20519,15716,76321,54132,04321,78920,01631,661
Accounts receivable - trade--------9,52310,80814,02012,08412,900
Merchandise and finished goods-3,7427,1617,7028,2299,6517,62110,8166,75612,21714,69613,4397,583
Work in process-427358400270260163233193193543608367
Raw materials and supplies-1,3141,8112,1151,5981,7531,9362,3471,8892,0955,5307,6805,139
Other-3,8592,2952,2201,8952,5402,6122,4612,2983,6505,7966,3777,074
Prepaid expenses-----------617610
Allowance for doubtful accounts--18-51-41-105-116-32-22-27-32-47-30-45
Accounts receivable - other-----------3,8414,202
Current assets-42,75240,07340,18837,87439,50042,58942,15842,17360,97362,32760,17364,680
Other-3,8592,2952,2201,8952,5402,6122,4612,2983,6505,7966,3777,074
Allowance for doubtful accounts--18-51-41-105-116-32-22-27-32-47-30-45
Current assets-42,75240,07340,18837,87439,50042,58942,15842,17360,97362,32760,17364,680
Buildings and structures-3,7334,0623,3833,5583,0493,0453,1343,1143,1973,3323,3973,503
Accumulated depreciation--2,006-2,098-1,697-1,786-1,598-1,733-1,866-1,984-2,134-2,298-2,452-2,654
Buildings and structures, net-1,7261,9641,6861,7721,4511,3121,2681,1291,0631,035945849
Buildings-----------703674
Machinery, equipment and vehicles-2358901,1041,0648037508041,4421,7892,2872,4462,766
Accumulated depreciation--130-264-398-468-389-435-504-651-853-1,094-1,338-1,590
Machinery, equipment and vehicles, net-1056267075964153143007919361,1931,1081,176
Structures-----------32
Land-1,4481,4571,1911,1831,0631,0631,0631,0631,0631,0631,0631,063
Machinery and equipment-----------1,0351,097
Other-------6,0057,5198,3618,85910,55110,610
Accumulated depreciation--------4,461-5,693-6,486-6,747-7,460-7,983
Other, net-------1,5451,8261,8752,1123,0912,627
Tools, furniture and fixtures-1,1301,2841,0259871,3751,6121,545---1,251877
Property, plant and equipment-4,4105,3324,6084,5384,3034,3014,1764,8094,9375,4036,2085,716
Land-1,4481,4571,1911,1831,0631,0631,0631,0631,0631,0631,0631,063
Property, plant and equipment-4,4105,3324,6084,5384,3034,3014,1764,8094,9375,4036,2085,716
Other-2,3823,2182,1825,2465293942,9761,9951,5321,4501,4971,531
Software---1,8232,8853,7842,5581,578---647670
Other-2,3823,2182,1825,2465293942,9761,9951,5321,4501,4971,531
Intangible assets-2,4083,2225,4428,1314,3132,9512,9761,9951,5321,4501,4971,531
Intangible assets-2,4083,2225,4428,1314,3132,9512,9761,9951,5321,4501,4971,531
Investment securities-2191,6155872411191721671021782341,2571,614
Shares of subsidiaries and associates-----------2,1272,295
Deferred tax assets-------1,3901,3742,7103,1085,3765,256
Deferred tax assets-------1,3901,3742,7103,1085,3765,256
Other-330596654769765734742761909812768823
Other-330596654769765734742761909812768823
Investments and other assets-5552,2321,2191,0232,1341,4622,2422,1793,7394,1537,4027,693
Investments and other assets-5552,2321,2191,0232,1341,4622,2422,1793,7394,1537,4027,693
Non-current assets-7,37210,78611,26913,69310,7508,7149,3938,98310,20811,00615,10614,940
Assets-50,12450,85951,45751,56750,25050,91051,55151,15671,18173,33275,27979,620
Accounts payable - trade-11,3849,4309,2036,1037,4827,1015,3766,62410,88013,11110,63811,478
Short-term borrowings-6006006004,0003,0003,0003,000500--7,0005,000
Current portion of long-term borrowings--------2,0004,000--2,000
Accounts payable - other-----------2,1684,710
Accrued expenses--1,9952,6052,8843,319-----1,0171,123
Income taxes payable-2,2041,9296142721453234354003,9842,46276622
Income taxes payable-2,2041,9296142721453234354003,9842,46276622
Contract liabilities----------439554792
Contract liabilities----------439554792
Provision for bonuses-8754845469429371,0371,1351,0724,1401,4501,2061,383
Deposits received-----------4990
Provision for bonuses for directors (and other officers)-1685959102493336111541852
Provision for bonuses-8754845469429371,0371,1351,0724,1401,4501,2061,383
Provision for product warranties--------423444410267205
Provision for bonuses for directors (and other officers)-1685959102493336111541852
Provision for information security measures-----------104-
Provision for product warranties--------423444410267205
Valuation reserve for inventory purchase commitments-----------2,0482,007
Provision for information security measures-----------104-
Provision for business restructuring-----------187363
Valuation reserve for inventory purchase commitments-----------2,0482,007
Other-3,9303,7372,2532,2685,8195,2434,6745,1396,0477,7737,2535,887
Other-3,9303,7372,2532,2685,8195,2434,6745,1396,0477,7737,2535,887
Current liabilities-19,59616,23915,88016,47917,38416,75214,65315,77029,60625,70630,04133,899
Current liabilities-19,59616,23915,88016,47917,38416,75214,65315,77029,60625,70630,04133,899
Long-term borrowings----2,00010,00010,00010,0006,0002,0002,0002,0007,000
Provision for retirement benefits-611---------1,0701,117
Retirement benefit liability--7688138699248098528989341,0231,0791,099
Asset retirement obligations-78151153154231235251251263295298311
Other-4674755454163494453675026908071,3721,342
Non-current liabilities-1,3161,8201,7183,99211,50911,48911,4707,6513,8874,1244,7489,753
Liabilities-20,91318,06017,59820,47028,89328,24126,12323,42133,49329,82934,78943,651
Share capital-4,2034,2034,2034,2034,2034,2034,2034,2034,2034,2034,2034,203
Legal capital surplus-----------4,0454,045
Capital surplus-7,5737,5647,5517,5136,0996,0996,1016,1016,1046,1134,0454,045
Capital surplus-7,5737,5647,5517,5136,0996,0996,1016,1016,1046,1134,0454,045
Legal retained earnings-----------2222
Retained earnings brought forward-----------29,74722,531
Retained earnings-18,35421,71122,31921,62913,13414,52217,39920,34229,43137,29932,34129,708
Retained earnings-18,35421,71122,31921,62913,13414,52217,39920,34229,43137,29932,34129,708
Treasury shares--204-1,539-1,455-2,576-1,900-1,900-1,876-1,876-1,865-4,846-1,176-4,576
Shareholders' equity-29,92631,93932,61830,77021,53622,92425,82828,77137,87342,77039,41333,380
Valuation difference on available-for-sale securities-24416274020-2-50--257-9
Valuation and translation adjustments--8107121,060188-306-281-402-1,036-1847331,0772,588
Foreign currency translation adjustment--8343241,069175-295-285-406-1,042-1837531,3342,577
Remeasurements of defined benefit plans---28-36-27-144612-1-20-119
Valuation and translation adjustments--8107121,060188-306-281-402-1,036-1847331,0772,588
Net assets18,91829,21232,79933,85931,09621,35722,66825,42827,73537,68943,50340,49035,968
Liabilities and net assets-50,12450,85951,45751,56750,25050,91051,55151,15671,18173,33275,27979,620