Mitutoyo CorporationJP:E02300

Market cap
P/E ratio
Mar 20,
2012
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Cash and deposits-16,24314,46117,70018,04812,92410,7427,2907,64642,71351,51252,40543,87348,729
Notes and accounts receivable - trade, and contract assets-----------19,48320,52321,449
Securities-35,43242,02843,64049,29054,90364,80070,58669,37662,79155,86445,89241,80133,495
Merchandise and finished goods-5,0394,63819,55720,95221,19520,01422,60225,93729,37129,69334,61545,53448,046
Work in process-5,6284,4533,9564,1874,1544,1774,5284,8195,4126,4568,7359,97211,463
Raw materials and supplies-5,0805,8187,0297,5826,4736,6267,8098,5997,9909,73112,81515,65117,801
Other-1332586468829676141,1031,7165,3116,9798,97610,91311,653
Allowance for doubtful accounts--15-15-15-15-15-15-15-15-192-220-252-261-287
Work in process-5,6284,4533,9564,1874,1544,1774,5284,8195,4126,4568,7359,97211,463
Current assets-82,25786,15594,498100,97499,047107,806114,847112,305168,248176,550182,670188,005192,349
Other-1332586468829676141,1031,7165,3116,9798,97610,91311,653
Allowance for doubtful accounts--15-15-15-15-15-15-15-15-192-220-252-261-287
Current assets-82,25786,15594,498100,97499,047107,806114,847112,305168,248176,550182,670188,005192,349
Buildings and structures-35,38838,19741,62043,00546,64346,72946,53051,94656,71967,37570,24177,87380,174
Accumulated depreciation--24,740-25,976-26,942-26,699-26,737-26,938-27,484-28,591-28,503-30,793-31,582-33,749-35,728
Buildings and structures, net-10,64712,22114,67816,30619,90619,79219,04523,35528,21536,58238,65944,12344,446
Machinery, equipment and vehicles-34,47335,30135,76135,76837,67037,57738,22140,31041,79844,22748,43052,95459,380
Accumulated depreciation--31,045-31,756-31,809-31,660-32,094-32,449-33,277-33,909-35,310-36,808-38,873-41,513-45,945
Machinery, equipment and vehicles, net-3,4273,5453,9534,1085,5765,1284,9446,4016,4887,4189,55711,44113,435
Tools, furniture and fixtures-10,85511,08818,46518,36218,59918,81119,25220,14520,52021,72425,17025,93126,350
Accumulated depreciation--10,010-10,254-16,243-15,889-16,072-16,256-16,543-16,966-17,199-18,421-20,522-21,914-22,383
Tools, furniture and fixtures-8458359401,1591,3611,4531,5411,9273,3223,3034,6484,0163,967
Land-7,7577,7577,7767,7727,6947,7308,8378,84811,64512,07312,44813,73115,110
Tools, furniture and fixtures-8458359401,1591,3611,4531,5411,9273,3223,3034,6484,0163,967
Construction in progress-2051,0427053,0327475308184,2296,6072,9463,7523,3782,867
Land-7,7577,7577,7767,7727,6947,7308,8378,84811,64512,07312,44813,73115,110
Other--------9316146068741,8992,995
Construction in progress-2051,0427053,0327475308184,2296,6072,9463,7523,3782,867
Property, plant and equipment-18,27618,55721,02726,13728,87128,15828,90738,04456,89162,92969,93878,58982,821
Property, plant and equipment-18,27618,55721,02726,13728,87128,15828,90738,04456,89162,92969,93878,58982,821
Software-5308136555115225254416271,2571,6367,8986,5135,180
Patent right-2201551076214118322111
Patent right-2201551076214118322111
Goodwill-----461398111098679594
Other-5893603834453022703353179556,9102,1735,67311,573
Intangible assets-1,1221,0258427476195945327202,2238,55510,07912,26717,348
Intangible assets-1,1221,0258427476195945327202,2238,55510,07912,26717,348
Investment securities-7,4628,2248,1215,5119,6478,74010,8109,6809,5657,6659,10211,0078,224
Investments in capital-4141414141414141414141410
Investments in capital-4141414141414141414141410
Deferred tax assets--------2,3163,4153,3415,7235,4713,669
Other-2654304544024223383523491,3281,4102,1791,9272,323
Deferred tax assets--------2,3163,4153,3415,7235,4713,669
Allowance for doubtful accounts--63-63-63-35-35-33-104-33-30-30-30-30-30
Other-2654304544024223383523491,3281,4102,1791,9272,323
Investments and other assets-19,39719,77219,59216,98220,72420,08222,72621,69114,31912,42817,01518,41614,186
Allowance for doubtful accounts--63-63-63-35-35-33-104-33-30-30-30-30-30
Investments and other assets-19,39719,77219,59216,98220,72420,08222,72621,69114,31912,42817,01518,41614,186
Non-current assets-38,79539,35441,46143,86650,21348,83452,16560,45573,43283,91197,032109,272114,355
Assets-121,052125,509135,959144,840149,261156,640166,134172,761241,680260,461279,703297,277306,703
Notes and accounts payable - trade-3,5493,5764,8054,7414,0504,8135,4395,1643,8245,9527,4327,8887,166
Short-term borrowings-1,0005,0001,5001,0001,0002,0004,0006586,62211,1915,7964,8516,949
Income taxes payable-4221,6142,5352,5781,3261,8292,4904047321,3951,9971,9971,271
Provision for bonuses-1,0841,0601,0881,0991,0871,1081,1391,1341,3421,4651,5801,6711,763
Provision for bonuses for directors (and other officers)-1621383321355218916172017
Income taxes payable-4221,6142,5352,5781,3261,8292,4904047321,3951,9971,9971,271
Other-9941,0371,4181,4701,5631,5941,8331,97412,34612,69714,65616,82419,150
Current liabilities-14,10616,26615,26114,71412,56916,71418,07113,91924,88432,80131,47833,25136,316
Provision for bonuses-1,0841,0601,0881,0991,0871,1081,1391,1341,3421,4651,5801,6711,763
Provision for bonuses for directors (and other officers)-1621383321355218916172017
Derivative liabilities--------103885---
Other-9941,0371,4181,4701,5631,5941,8331,97412,34612,69714,65616,82419,150
Current liabilities-14,10616,26615,26114,71412,56916,71418,07113,91924,88432,80131,47833,25136,316
Long-term borrowings-4,5002,5006,0006,0006,0004,00014,0004,0044,00310,00011,0009,000
Provision for retirement benefits-6,2456,2226,397----------
Deferred tax liabilities--------11510886739673
Provision for retirement benefits for directors (and other officers)-234277320285328230254191187213234287262
Asset retirement obligations-161616562922148161616161674
Retirement benefit liability---8,0524,7937,5196,9057,9357,0376,5054,9755,9253,80973
Non-current liabilities-10,9959,01612,73310,27910,5148,8395,0188,47811,71310,72018,14617,13211,554
Asset retirement obligations-161616562922148161616161674
Other-1,0857227435407285173291,2328931,4261,8981,9232,073
Non-current liabilities-10,9959,01612,73310,27910,5148,8395,0188,47811,71310,72018,14617,13211,554
Liabilities-25,10125,28227,99524,99323,08325,55323,09022,39736,59743,52149,62450,38347,870
Share capital-391391391391391391391391391391391391391
Legal capital surplus-1,7861,7861,7861,7861,7861,7861,7861,786-----
Capital surplus-1,7861,7861,7861,7861,7861,7861,7861,7861,364---14
Capital surplus-1,7861,7861,7861,7861,7861,7861,7861,7861,364---14
Legal retained earnings-9898989898989898-----
Reserve for tax purpose reduction entry of non-current assets-361337317314303284270259-----
Retained earnings-93,67897,768105,455117,194123,540131,383143,689150,956205,817213,272219,777228,822233,927
Retained earnings-93,67897,768105,455117,194123,540131,383143,689150,956205,817213,272219,777228,822233,927
Treasury shares-------3,220-3,220-3,220-3,220-3,220-3,220-3,220-3,317
Shareholders' equity-95,85599,945107,632119,372125,718130,340142,646149,913204,352210,444216,949225,993231,014
Valuation difference on available-for-sale securities-96282333475460747398450371513534661681
Valuation and translation adjustments-96282333475460747398450-5,937-7834,58012,87719,790
Foreign currency translation adjustment--6,5251,2174,6221,002-2,108-12-3,088-3,965-5,197-1,0315,14711,94816,152
Remeasurements of defined benefit plans----707-533-2,171-1,164-1,763-1,323-1,111-265-1,1012672,956
Valuation and translation adjustments-96282333475460747398450-5,937-7834,58012,87719,790
Net assets93,15095,951100,227107,965119,847126,177131,087143,044150,364205,083216,940230,078246,894258,834
Non-controlling interests----7,6457,2577,9477,8718,1216,6687,2798,5498,0248,029
Net assets93,15095,951100,227107,965119,847126,177131,087143,044150,364205,083216,940230,078246,894258,834
Liabilities and net assets-121,052125,509135,959144,840149,261156,640166,134172,761241,680260,461279,703297,277306,703