suzuki motor corporationJP:7269

Market cap
¥3.1T
P/E ratio
15.3x
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-279,009358,851457,513497,187693,952690,418509,717485,8081,024,553964,315958,452952,839
Notes receivable - trade----------783772949
Accounts receivable - trade----------433,222490,513565,011
Securities-559,609612,489685,647279,571338,756256,695189,046118,584201,549122,31445,397101,592
Merchandise and finished goods-183,195200,045227,170190,068234,730253,999238,013245,409246,567214,471313,896437,006
Work in process-30,33429,95231,09434,31140,53748,95454,03347,42046,29866,61961,29052,109
Raw materials and supplies-47,85046,28756,12661,92156,84749,96259,85062,66263,04588,358110,127102,646
Other-119,561132,954123,930124,037133,428135,237131,075155,349132,315167,924215,443232,675
Prepaid expenses-----------599679
Allowance for doubtful accounts--5,887-5,506-4,596-6,188-5,349-5,252-5,120-2,871-4,138-6,790-7,377-7,192
Other-119,561132,954123,930124,037133,428135,237131,075155,349132,315167,924215,443232,675
Current assets-1,560,2181,790,8322,008,7291,632,6301,955,9731,941,0811,622,3171,539,7222,158,7932,051,2192,188,5172,437,638
Allowance for doubtful accounts--5,887-5,506-4,596-6,188-5,349-5,252-5,120-2,871-4,138-6,790-7,377-7,192
Current assets-1,560,2181,790,8322,008,7291,632,6301,955,9731,941,0811,622,3171,539,7222,158,7932,051,2192,188,5172,437,638
Buildings-----------79,43379,177
Buildings and structures, net-123,940127,937143,830146,759154,843160,990185,779186,544202,409219,897232,118252,507
Structures-----------15,98715,952
Machinery, equipment and vehicles, net-173,455194,448277,033260,880267,951199,051252,596241,974270,729317,333312,988333,734
Machinery and equipment-----------67,83066,036
Tools, furnitures and fixtures-20,47636,94145,03144,06224,19556,96276,33768,40261,06578,42795,69489,613
Vehicles-----------678783
Land-211,512238,532259,540255,013261,130280,866299,977304,652317,813337,326386,314413,922
Tools, furnitures and fixtures-20,47636,94145,03144,06224,19556,96276,33768,40261,06578,42795,69489,613
Construction in progress-79,07596,56070,45650,36148,223106,39389,585118,571126,89784,989107,400240,062
Land-211,512238,532259,540255,013261,130280,866299,977304,652317,813337,326386,314413,922
Property, plant and equipment-608,460694,420795,892757,076756,344804,265904,276920,144978,9161,037,9751,134,5161,329,840
Construction in progress-79,07596,56070,45650,36148,223106,39389,585118,571126,89784,989107,400240,062
Property, plant and equipment-608,460694,420795,892757,076756,344804,265904,276920,144978,9161,037,9751,134,5161,329,840
Right to use facilities-----------304269
Intangible assets-10,6187,2436,0654,3682,6832,5562,2881,6042,3513,3963,8397,804
Intangible assets-10,6187,2436,0654,3682,6832,5562,2881,6042,3513,3963,8397,804
Investment securities-216,332287,920364,268244,573335,787543,485635,184662,194704,305852,2691,045,3371,402,059
Shares of subsidiaries and associates-----------487,201598,564
Long-term loans receivable-5287944555497987587115495451,2451,3521,364
Bonds of subsidiaries and associates------------15,000
Retirement benefit asset--15,8621,860504442--4,2618,3667,57019,241
Investments in other securities of subsidiaries and associates-----------14,90415,253
Deferred tax assets-------198,422174,320140,922143,346132,60585,444
Investments in capital-----------1313
Other-56,03956,83456,47348,76443,63125,69239,34241,84346,82557,80864,357102,579
Investments in capital of subsidiaries and associates-----------19,28019,248
Allowance for doubtful accounts--743-757-714-500-399-402-379-445-329-301-314-354
Long-term loans receivable-5287944555497987587115495451,2451,3521,364
Allowance for investment loss----217-280-18-124-193-150-232-174-68-
Long-term loans receivable from subsidiaries and associates-----------13,0666,002
Investments and other assets-308,337381,578442,113307,932400,984715,017873,088878,312896,2981,062,5631,250,8401,610,334
Long-term prepaid expenses-----------543442
Prepaid pension costs-----------31,63830,474
Deferred tax assets-------198,422174,320140,922143,346132,60585,444
Other-56,03956,83456,47348,76443,63125,69239,34241,84346,82557,80864,357102,579
Allowance for doubtful accounts--743-757-714-500-399-402-379-445-329-301-314-354
Allowance for investment loss----217-280-18-124-193-150-232-174-68-
Investments and other assets-308,337381,578442,113307,932400,984715,017873,088878,312896,2981,062,5631,250,8401,610,334
Non-current assets-927,4161,083,2421,244,0711,069,3771,160,0121,521,8391,779,6531,800,0601,877,5662,103,9342,389,1952,947,980
Assets-2,487,6352,874,0743,252,8002,702,0083,115,9853,340,8283,401,9703,339,7834,036,3604,155,1534,577,7135,385,618
Accounts payable - trade-350,472433,819479,950402,624428,063443,916327,373257,996330,522287,724362,913419,898
Electronically recorded obligations - operating----64,05583,07068,32271,53271,86978,66314,91120,24222,659
Short-term borrowings-171,790197,413177,805201,50796,64397,59893,807121,082287,57795,246173,730166,543
Current portion of long-term borrowings-35,29938,748104,14564,982119,95893,15763,84574,515281,27787,019173,319290,237
Accounts payable - other-----------8,6899,795
Accrued expenses-155,519171,274181,217183,695191,068215,335297,200279,911228,726201,841232,026263,194
Accrued expenses-155,519171,274181,217183,695191,068215,335297,200279,911228,726201,841232,026263,194
Income taxes payable-21,42046,62821,79729,48631,86340,59834,66122,31032,13855,15544,24267,120
Income taxes payable-21,42046,62821,79729,48631,86340,59834,66122,31032,13855,15544,24267,120
Provision for product warranties-57,65661,44760,30566,03276,995105,106248,199315,835254,076227,559208,282190,053
Advances received-----------20,7559,841
Provision for bonuses for directors (and other officers)-2732782622993727077958313813194
Deposits received-----------291,337271,690
Other-86,662106,356120,926132,790160,030177,234202,963150,830195,397278,360272,547321,244
Provision for product warranties-57,65661,44760,30566,03276,995105,106248,199315,835254,076227,559208,282190,053
Current liabilities-884,6161,056,9331,152,6011,145,9561,188,1211,242,2701,339,6621,225,5061,688,4621,256,5171,487,4361,741,046
Other-86,662106,356120,926132,790160,030177,234202,963150,830195,397278,360272,547321,244
Current liabilities-884,6161,056,9331,152,6011,145,9561,188,1211,242,2701,339,6621,225,5061,688,4621,256,5171,487,4361,741,046
Long-term borrowings-220,392209,166272,717262,797222,870192,943206,250197,064193,413483,333416,787329,401
Provision for retirement benefits-37,903---------22,38422,510
Deferred tax liabilities-------2,8955,1215,8026,6027,1704,114
Provision for retirement benefits for directors (and other officers)-1,3301,2441,2231,1851,1641,1611,1611,16117171616
Product liability provision-3,9354,0623,9383,8353,4434,5294,8904,6464,2173,1923,8884,533
Provision for disaster-17,21416,5968,9233,0561,9761,914436436358336265-
Recycle provision-1,9593,2784,5824,5086,3727,80410,2559,65412,36313,14414,32215,594
Product liability provision-3,9354,0623,9383,8353,4434,5294,8904,6464,2173,1923,8884,533
Asset retirement obligations------------68
Recycle provision-1,9593,2784,5824,5086,3727,80410,2559,65412,36313,14414,32215,594
Other-21,61722,33722,86429,13440,11034,36426,15426,76829,12063,88872,67392,619
Retirement benefit liability--36,91840,79156,34663,09965,22482,81367,20662,08164,44966,53159,894
Non-current liabilities-304,464322,783398,808368,348540,822504,259346,393320,619315,932634,963581,656506,174
Other-21,61722,33722,86429,13440,11034,36426,15426,76829,12063,88872,67392,619
Non-current liabilities-304,464322,783398,808368,348540,822504,259346,393320,619315,932634,963581,656506,174
Liabilities-1,189,0811,379,7171,551,4091,514,3051,728,9431,745,6011,686,0551,546,1262,004,3951,891,4812,069,0922,247,220
Share capital-138,014138,014138,014138,014138,014138,064138,161138,202138,262138,318138,370138,370
Legal capital surplus-----------144,720144,720
Other capital surplus-----------1,5681,611
Capital surplus-144,364144,364144,364144,166144,035143,868143,965146,490143,400143,369138,18069,084
Capital surplus-144,364144,364144,364144,166144,035143,868143,965146,490143,400143,369138,18069,084
Legal retained earnings-----------8,2698,269
Reserve for tax purpose reduction entry of non-current assets-----------12,84112,942
Reserve for promoting open innovation------------412
General reserve-----------458,000552,000
Retained earnings brought forward-----------143,480201,242
Retained earnings-912,3041,008,5551,082,440913,6561,058,5491,247,2421,314,5871,414,6651,519,8261,638,7261,813,2092,030,090
Retained earnings-912,3041,008,5551,082,440913,6561,058,5491,247,2421,314,5871,414,6651,519,8261,638,7261,813,2092,030,090
Treasury shares--86-57-62-191,169-191,051-189,126-113,963-21,775-21,027-20,877-19,396-39,300
Shareholders' equity-1,194,5971,290,8771,364,7571,004,6681,149,5481,340,0471,482,7501,677,5831,780,4621,899,5362,070,3632,198,245
Valuation difference on available-for-sale securities-58,888104,745158,78877,62498,827108,52895,87387,455121,133111,078117,885236,720
Deferred gains or losses on hedges-1,6871316795361,26922-219-269-48488-167-183
Valuation and translation adjustments--47,64235,846117,333-46,970-29,683-42,511-90,260-190,032-92,984-21,3097,653292,768
Foreign currency translation adjustment--108,218-72,898-42,997-115,551-119,236-140,136-164,544-255,266-193,295-112,138-86,74263,953
Remeasurements of defined benefit plans--3,867864-9,580-10,543-10,925-21,369-21,951-20,337-20,337-23,321-7,722
Valuation and translation adjustments--47,64235,846117,333-46,970-29,683-42,511-90,260-190,032-92,984-21,3097,653292,768
Share acquisition rights-84168250188126126115115115414141
Net assets1,111,7571,298,5531,494,3571,701,3901,187,7031,387,0411,595,2271,715,9141,793,6572,031,9642,263,6722,508,6203,138,397
Non-controlling interests---219,048229,816267,049297,564323,309305,990344,371385,403430,561647,342
Net assets1,111,7571,298,5531,494,3571,701,3901,187,7031,387,0411,595,2271,715,9141,793,6572,031,9642,263,6722,508,6203,138,397
Liabilities and net assets-2,487,6352,874,0743,252,8002,702,0083,115,9853,340,8283,401,9703,339,7834,036,3604,155,1534,577,7135,385,618