JP Stock MarketDetailed Quotes

4502 Takeda Pharmaceutical

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  • 4069.0
  • +21.0+0.52%
20min DelayMarket Closed Aug 9 15:00 JST
6.47TMarket Cap44.64P/E (Static)

Takeda Pharmaceutical Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
132.67%857.66B
-14.60%472.89B
-14.60%472.89B
-56.32%317.4B
-59.79%333.81B
-44.53%368.61B
-36.72%553.7B
-36.72%553.7B
-3.36%726.61B
31.00%830.07B
-Cash and cash equivalents
154.21%804.27B
-14.19%457.8B
-14.19%457.8B
-57.91%288.36B
-60.15%318.05B
-51.02%316.38B
-37.21%533.53B
-37.21%533.53B
-5.41%685.14B
31.30%798.14B
-Accounts receivable
-4.73%755.43B
6.52%718.68B
6.52%718.68B
1.26%716.23B
-0.60%755.33B
4.04%792.9B
-5.01%674.69B
-5.01%674.69B
-1.15%707.32B
-9.93%759.89B
-Notes receivable
----
----
----
4.62%138.95B
-1.00%134.95B
-1.55%137.11B
----
----
--132.81B
--136.32B
-Other receivables
----
-33.42%227.57B
-33.42%227.57B
----
----
----
55.10%341.78B
55.10%341.78B
----
----
Holding assets for sale
-74.38%3.76B
-38.71%9.34B
-38.71%9.34B
162.55%19.31B
3.09%6.11B
--14.67B
--15.24B
--15.24B
-63.59%7.36B
-70.55%5.93B
Total current assets
25.71%3.11T
6.70%2.56T
6.70%2.56T
-6.44%2.43T
-10.33%2.46T
-3.04%2.47T
-7.54%2.4T
-7.54%2.4T
4.76%2.6T
11.78%2.75T
Non current assets
-Accumulated depreciation
----
-21.13%-1.22T
-21.13%-1.22T
----
----
----
-15.81%-1.01T
-15.81%-1.01T
----
----
Investment properties
22.65%359.49B
21.84%340.78B
21.84%340.78B
-1.98%269.61B
-4.76%313.25B
3.02%293.11B
19.75%279.68B
19.75%279.68B
19.43%275.04B
38.87%328.89B
-Long term equity investment
16.44%5.04T
10.73%4.48T
10.73%4.48T
9.68%4.29T
5.66%4.4T
0.23%4.33T
-2.38%4.04T
-2.38%4.04T
-7.49%3.91T
3.78%4.17T
-Including:Available-for-sale securities
22.65%359.49B
21.84%340.78B
21.84%340.78B
-1.98%269.61B
-4.76%313.25B
3.02%293.11B
19.75%279.68B
19.75%279.68B
19.43%275.04B
38.87%328.89B
Non current note receivables
1.63%381.63B
7.61%393.87B
7.61%393.87B
-11.88%316.69B
-14.83%336.21B
-2.60%375.52B
0.96%366B
0.96%366B
1.89%359.39B
17.63%394.75B
-Goodwill
4.16%10.1T
6.89%9.68T
6.89%9.68T
8.89%9.21T
5.68%9.7T
8.23%9.7T
10.14%9.06T
10.14%9.06T
6.24%8.46T
16.78%9.18T
-Other intangible assets
45.52%3.07T
66.39%2.51T
66.39%2.51T
44.16%1.99T
19.72%2.29T
31.84%2.11T
61.44%1.51T
61.44%1.51T
137.31%1.38T
323.70%1.91T
Regulatory assets
-6.43%772.37B
2.33%697.61B
2.33%697.61B
-4.72%743.08B
-1.56%788.07B
3.95%825.48B
-5.89%681.69B
-5.89%681.69B
3.14%779.87B
-9.78%800.54B
Total assets
-48.01%16.94B
-9.47%29.21B
-9.47%29.21B
-62.99%26.85B
-19.45%32.74B
1.94%32.59B
16.34%32.26B
16.34%32.26B
78.70%72.55B
-6.93%40.64B
Liabilities
Current liabilities
Current debt and capital lease obligation
5.25%438.74B
8.14%367.25B
8.14%367.25B
-0.46%370.29B
-51.63%274.84B
47.88%416.86B
66.48%339.6B
66.48%339.6B
202.61%372.02B
164.43%568.23B
-Current debt
5.25%438.74B
8.14%367.25B
8.14%367.25B
-0.46%370.29B
-51.63%274.84B
47.88%416.86B
66.48%339.6B
66.48%339.6B
202.61%372.02B
164.43%568.23B
-accounts payable
6.34%468.88B
4.07%319.96B
4.07%319.96B
26.91%483.67B
8.35%421.08B
3.90%440.92B
3.89%307.45B
3.89%307.45B
8.52%381.11B
15.45%388.62B
-Total tax payable
11.06%5.96T
7.82%5.52T
7.82%5.52T
2.10%5.2T
-0.92%5.43T
-3.79%5.37T
-4.26%5.12T
-4.26%5.12T
-8.39%5.09T
3.13%5.48T
-Other payable
76.41%106.1B
-19.13%51.21B
-19.13%51.21B
-18.08%54.7B
-26.06%59.67B
-28.97%60.14B
-23.35%63.33B
-23.35%63.33B
-16.16%66.77B
-14.41%80.7B
Current provisions
7.08%565.12B
3.16%524.42B
3.16%524.42B
1.96%482.47B
35.67%657.66B
13.52%527.77B
14.62%508.36B
14.62%508.36B
12.27%473.19B
16.78%484.74B
Current liabilities
-1.46%2.47T
-6.80%2.31T
-6.80%2.31T
2.03%2.28T
-1.01%2.37T
15.45%2.5T
15.67%2.48T
15.67%2.48T
23.63%2.24T
24.65%2.39T
Non current liabilities
Non current accrued expenses
16.16%2.09T
17.65%1.99T
17.65%1.99T
11.17%1.84T
7.60%1.89T
5.27%1.8T
6.85%1.69T
6.85%1.69T
10.90%1.66T
20.58%1.76T
Long term provisions
16.44%5.04T
10.73%4.48T
10.73%4.48T
9.68%4.29T
5.66%4.4T
0.23%4.33T
-2.38%4.04T
-2.38%4.04T
-7.49%3.91T
3.78%4.17T
Employee benefits
8.44%148.68B
12.77%143.88B
12.77%143.88B
4.62%138.95B
-1.00%134.95B
-1.55%137.11B
-12.52%127.59B
-12.52%127.59B
-21.79%132.81B
-17.20%136.32B
Regulatory liabilities
----
-7.03%-106.24B
-7.03%-106.24B
----
----
----
-6.98%-99.26B
-6.98%-99.26B
----
----
Total non current liabilities
7.08%8.43T
3.05%7.83T
3.05%7.83T
2.08%7.48T
-0.95%7.8T
1.59%7.87T
1.45%7.6T
1.45%7.6T
-0.52%7.33T
8.84%7.88T
Shareholders'equity
Share capital
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.00%1.68T
0.00%1.68T
0.00%1.68T
0.00%1.68T
-common stock
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.01%1.68T
0.00%1.68T
0.00%1.68T
0.00%1.68T
0.00%1.68T
Additional paid-in capital
1.03%1.76T
1.07%1.75T
1.07%1.75T
1.06%1.73T
0.92%1.71T
2.03%1.74T
1.17%1.73T
1.17%1.73T
0.85%1.71T
0.54%1.7T
Other equity interest
9.52%197.01B
4.98%168.88B
4.98%168.88B
15.87%179.39B
14.51%178.22B
10.10%179.88B
14.01%160.87B
14.01%160.87B
11.91%154.82B
18.05%155.64B
Noncontrolling interests
-12.68%87.69B
-9.42%89.83B
-9.42%89.83B
9.41%103.31B
6.44%103.11B
3.43%100.42B
2.69%99.17B
2.69%99.17B
-9.65%94.43B
-15.94%96.87B
Total equity
9.70%16.23T
8.25%15.11T
8.25%15.11T
5.32%14.22T
1.94%14.87T
5.17%14.79T
5.92%13.96T
5.92%13.96T
6.35%13.5T
16.15%14.59T
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 132.67%857.66B-14.60%472.89B-14.60%472.89B-56.32%317.4B-59.79%333.81B-44.53%368.61B-36.72%553.7B-36.72%553.7B-3.36%726.61B31.00%830.07B
-Cash and cash equivalents 154.21%804.27B-14.19%457.8B-14.19%457.8B-57.91%288.36B-60.15%318.05B-51.02%316.38B-37.21%533.53B-37.21%533.53B-5.41%685.14B31.30%798.14B
-Accounts receivable -4.73%755.43B6.52%718.68B6.52%718.68B1.26%716.23B-0.60%755.33B4.04%792.9B-5.01%674.69B-5.01%674.69B-1.15%707.32B-9.93%759.89B
-Notes receivable ------------4.62%138.95B-1.00%134.95B-1.55%137.11B----------132.81B--136.32B
-Other receivables -----33.42%227.57B-33.42%227.57B------------55.10%341.78B55.10%341.78B--------
Holding assets for sale -74.38%3.76B-38.71%9.34B-38.71%9.34B162.55%19.31B3.09%6.11B--14.67B--15.24B--15.24B-63.59%7.36B-70.55%5.93B
Total current assets 25.71%3.11T6.70%2.56T6.70%2.56T-6.44%2.43T-10.33%2.46T-3.04%2.47T-7.54%2.4T-7.54%2.4T4.76%2.6T11.78%2.75T
Non current assets
-Accumulated depreciation -----21.13%-1.22T-21.13%-1.22T-------------15.81%-1.01T-15.81%-1.01T--------
Investment properties 22.65%359.49B21.84%340.78B21.84%340.78B-1.98%269.61B-4.76%313.25B3.02%293.11B19.75%279.68B19.75%279.68B19.43%275.04B38.87%328.89B
-Long term equity investment 16.44%5.04T10.73%4.48T10.73%4.48T9.68%4.29T5.66%4.4T0.23%4.33T-2.38%4.04T-2.38%4.04T-7.49%3.91T3.78%4.17T
-Including:Available-for-sale securities 22.65%359.49B21.84%340.78B21.84%340.78B-1.98%269.61B-4.76%313.25B3.02%293.11B19.75%279.68B19.75%279.68B19.43%275.04B38.87%328.89B
Non current note receivables 1.63%381.63B7.61%393.87B7.61%393.87B-11.88%316.69B-14.83%336.21B-2.60%375.52B0.96%366B0.96%366B1.89%359.39B17.63%394.75B
-Goodwill 4.16%10.1T6.89%9.68T6.89%9.68T8.89%9.21T5.68%9.7T8.23%9.7T10.14%9.06T10.14%9.06T6.24%8.46T16.78%9.18T
-Other intangible assets 45.52%3.07T66.39%2.51T66.39%2.51T44.16%1.99T19.72%2.29T31.84%2.11T61.44%1.51T61.44%1.51T137.31%1.38T323.70%1.91T
Regulatory assets -6.43%772.37B2.33%697.61B2.33%697.61B-4.72%743.08B-1.56%788.07B3.95%825.48B-5.89%681.69B-5.89%681.69B3.14%779.87B-9.78%800.54B
Total assets -48.01%16.94B-9.47%29.21B-9.47%29.21B-62.99%26.85B-19.45%32.74B1.94%32.59B16.34%32.26B16.34%32.26B78.70%72.55B-6.93%40.64B
Liabilities
Current liabilities
Current debt and capital lease obligation 5.25%438.74B8.14%367.25B8.14%367.25B-0.46%370.29B-51.63%274.84B47.88%416.86B66.48%339.6B66.48%339.6B202.61%372.02B164.43%568.23B
-Current debt 5.25%438.74B8.14%367.25B8.14%367.25B-0.46%370.29B-51.63%274.84B47.88%416.86B66.48%339.6B66.48%339.6B202.61%372.02B164.43%568.23B
-accounts payable 6.34%468.88B4.07%319.96B4.07%319.96B26.91%483.67B8.35%421.08B3.90%440.92B3.89%307.45B3.89%307.45B8.52%381.11B15.45%388.62B
-Total tax payable 11.06%5.96T7.82%5.52T7.82%5.52T2.10%5.2T-0.92%5.43T-3.79%5.37T-4.26%5.12T-4.26%5.12T-8.39%5.09T3.13%5.48T
-Other payable 76.41%106.1B-19.13%51.21B-19.13%51.21B-18.08%54.7B-26.06%59.67B-28.97%60.14B-23.35%63.33B-23.35%63.33B-16.16%66.77B-14.41%80.7B
Current provisions 7.08%565.12B3.16%524.42B3.16%524.42B1.96%482.47B35.67%657.66B13.52%527.77B14.62%508.36B14.62%508.36B12.27%473.19B16.78%484.74B
Current liabilities -1.46%2.47T-6.80%2.31T-6.80%2.31T2.03%2.28T-1.01%2.37T15.45%2.5T15.67%2.48T15.67%2.48T23.63%2.24T24.65%2.39T
Non current liabilities
Non current accrued expenses 16.16%2.09T17.65%1.99T17.65%1.99T11.17%1.84T7.60%1.89T5.27%1.8T6.85%1.69T6.85%1.69T10.90%1.66T20.58%1.76T
Long term provisions 16.44%5.04T10.73%4.48T10.73%4.48T9.68%4.29T5.66%4.4T0.23%4.33T-2.38%4.04T-2.38%4.04T-7.49%3.91T3.78%4.17T
Employee benefits 8.44%148.68B12.77%143.88B12.77%143.88B4.62%138.95B-1.00%134.95B-1.55%137.11B-12.52%127.59B-12.52%127.59B-21.79%132.81B-17.20%136.32B
Regulatory liabilities -----7.03%-106.24B-7.03%-106.24B-------------6.98%-99.26B-6.98%-99.26B--------
Total non current liabilities 7.08%8.43T3.05%7.83T3.05%7.83T2.08%7.48T-0.95%7.8T1.59%7.87T1.45%7.6T1.45%7.6T-0.52%7.33T8.84%7.88T
Shareholders'equity
Share capital 0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.00%1.68T0.00%1.68T0.00%1.68T0.00%1.68T
-common stock 0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.01%1.68T0.00%1.68T0.00%1.68T0.00%1.68T0.00%1.68T
Additional paid-in capital 1.03%1.76T1.07%1.75T1.07%1.75T1.06%1.73T0.92%1.71T2.03%1.74T1.17%1.73T1.17%1.73T0.85%1.71T0.54%1.7T
Other equity interest 9.52%197.01B4.98%168.88B4.98%168.88B15.87%179.39B14.51%178.22B10.10%179.88B14.01%160.87B14.01%160.87B11.91%154.82B18.05%155.64B
Noncontrolling interests -12.68%87.69B-9.42%89.83B-9.42%89.83B9.41%103.31B6.44%103.11B3.43%100.42B2.69%99.17B2.69%99.17B-9.65%94.43B-15.94%96.87B
Total equity 9.70%16.23T8.25%15.11T8.25%15.11T5.32%14.22T1.94%14.87T5.17%14.79T5.92%13.96T5.92%13.96T6.35%13.5T16.15%14.59T

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