JP Stock MarketDetailed Quotes

4651 Sanix

Watchlist
  • 279
  • +1+0.36%
20min DelayNoon Break Nov 25 11:30 JST
13.65BMarket Cap4.94P/E (Static)

Sanix Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 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
11.80%5.37B
42.03%6.4B
42.03%6.4B
-23.84%4.85B
-13.07%4.81B
-34.30%3.39B
15.07%4.5B
15.07%4.5B
16.28%6.37B
14.07%5.53B
-Cash and cash equivalents
11.80%5.37B
42.03%6.4B
42.03%6.4B
-23.84%4.85B
-13.07%4.81B
-34.30%3.39B
15.07%4.5B
15.07%4.5B
16.28%6.37B
14.07%5.53B
Receivables
-12.16%3.82B
11.67%5.37B
11.67%5.37B
6.63%4.63B
1.61%4.35B
-3.38%4.54B
-27.06%4.81B
-27.06%4.81B
-27.16%4.35B
-18.71%4.28B
-Accounts receivable
-12.16%3.82B
11.67%5.37B
11.67%5.37B
6.63%4.63B
1.61%4.35B
-3.38%4.54B
-27.06%4.81B
-27.06%4.81B
-27.16%4.35B
-18.71%4.28B
-Gross accounts receivable
-12.16%3.82B
11.67%5.37B
11.67%5.37B
6.63%4.63B
1.61%4.35B
-3.38%4.54B
-27.06%4.81B
-27.06%4.81B
-27.16%4.35B
-18.71%4.28B
Inventory
-13.49%3.33B
-0.56%3.18B
-0.56%3.18B
8.07%3.77B
10.77%3.85B
10.97%3.52B
16.55%3.2B
16.55%3.2B
18.83%3.48B
18.28%3.47B
Other current assets
-8.66%1.28B
7.85%1.26B
7.85%1.26B
18.02%1.36B
37.77%1.4B
5.20%1.4B
-9.85%1.17B
-9.85%1.17B
-20.69%1.15B
-15.92%1.01B
Total current assets
-4.18%13.8B
18.48%16.21B
18.48%16.21B
-4.83%14.61B
0.72%14.4B
-10.53%12.85B
-5.97%13.68B
-5.97%13.68B
-3.01%15.35B
0.29%14.3B
Non current assets
Net PPE
11.75%19.12B
6.40%17.74B
6.40%17.74B
5.21%16.99B
5.22%17.11B
3.92%17.01B
-2.93%16.67B
-2.93%16.67B
-3.78%16.15B
1.49%16.26B
-Gross PP&E
11.75%19.12B
4.41%39.32B
4.41%39.32B
5.21%16.99B
5.22%17.11B
3.92%17.01B
0.83%37.65B
0.83%37.65B
-3.77%16.15B
1.50%16.26B
-Accumulated depreciation
----
-2.83%-21.58B
-2.83%-21.58B
----
----
----
-4.04%-20.98B
-4.04%-20.98B
----
----
Total investment
-7.68%2.9B
65.96%234M
65.96%234M
1.38%3.01B
4.15%3.14B
4.65%3.17B
36.89%141M
36.89%141M
-9.04%2.97B
-5.46%3.01B
-Financial asset investment
----
65.96%234M
65.96%234M
----
----
----
36.89%141M
36.89%141M
----
----
-Including:Available-for-sale securities
----
65.96%234M
65.96%234M
----
----
----
36.89%141M
36.89%141M
----
----
Goodwill and other intangible assets
-31.93%405M
-18.66%484M
-18.66%484M
-4.33%553M
-5.41%595M
-8.31%607M
-15.12%595M
-15.12%595M
-23.24%578M
-17.56%629M
Deferred tax assets-non current
----
-20.77%553M
-20.77%553M
----
----
----
17.91%698M
17.91%698M
----
----
Other non current assets
----
-3.01%1.74B
-3.01%1.74B
----
----
----
-1.81%1.8B
-1.81%1.8B
----
----
Total non current assets
7.58%22.43B
4.27%20.75B
4.27%20.75B
4.35%20.55B
4.72%20.85B
3.62%20.79B
-2.45%19.9B
-2.45%19.9B
-5.31%19.7B
-0.35%19.91B
Total assets
2.77%36.23B
10.06%36.97B
10.06%36.97B
0.33%35.17B
3.05%35.25B
-2.29%33.64B
-3.91%33.59B
-3.91%33.59B
-4.31%35.05B
-0.08%34.21B
Liabilities
Current liabilities
Financial liabilities
11.48%6.04B
11.45%6.2B
11.45%6.2B
-12.11%5.24B
-11.18%5.42B
-49.18%5.28B
-50.53%5.56B
-50.53%5.56B
-11.27%5.96B
-9.71%6.1B
-Current debt and capital lease obligation
11.48%6.04B
11.45%6.2B
11.45%6.2B
-12.11%5.24B
-11.18%5.42B
-49.18%5.28B
-50.53%5.56B
-50.53%5.56B
-11.27%5.96B
-9.71%6.1B
-Including:Current debt
11.48%6.04B
12.81%5.68B
12.81%5.68B
-12.11%5.24B
-11.18%5.42B
-49.18%5.28B
-53.12%5.03B
-53.12%5.03B
-11.27%5.96B
-9.71%6.1B
-Including:Current capital Lease obligation
----
-1.51%522M
-1.51%522M
----
----
----
3.92%530M
3.92%530M
----
----
Payables
-10.60%6.27B
11.47%7.65B
11.47%7.65B
-7.28%6.72B
10.89%7.02B
-2.24%6.1B
0.67%6.86B
0.67%6.86B
-17.17%7.25B
-0.22%6.33B
-accounts payable
-27.39%1.56B
-20.10%1.97B
-20.10%1.97B
-41.23%2.13B
-35.68%2.14B
-44.00%1.8B
-27.73%2.46B
-27.73%2.46B
-23.24%3.62B
21.34%3.33B
-Total tax payable
-31.50%261M
6.80%1.18B
6.80%1.18B
66.87%272M
39.05%381M
-4.69%122M
148.42%1.1B
148.42%1.1B
-12.83%163M
-38.15%274M
-Other payable
-0.82%4.46B
36.62%4.5B
36.62%4.5B
24.68%4.32B
65.06%4.49B
44.19%4.18B
11.20%3.3B
11.20%3.3B
-9.95%3.47B
-13.67%2.72B
Current provisions
145.45%27M
18.18%13M
18.18%13M
78.57%25M
22.22%11M
28.57%9M
37.50%11M
37.50%11M
-6.67%14M
12.50%9M
Pension and other retirement benefit plans
8.99%303M
7.60%283M
7.60%283M
7.75%139M
7.75%278M
0.25%404M
-3.66%263M
-3.66%263M
-3.73%129M
-5.84%258M
Accrued and deferred income
----
-2.07%2.64B
-2.07%2.64B
----
----
----
-4.02%2.7B
-4.02%2.7B
----
----
Other current liabilities
-13.88%4.11B
24.21%1.22B
24.21%1.22B
2.63%4.64B
17.41%4.77B
17.31%4.71B
74.91%983M
74.91%983M
0.76%4.52B
0.40%4.06B
Current liabilities
-4.25%16.75B
9.94%18.01B
9.94%18.01B
-6.21%16.77B
4.39%17.49B
-21.62%16.51B
-24.57%16.38B
-24.57%16.38B
-11.10%17.88B
-3.84%16.76B
Non current liabilities
Non current financial liabilities
-14.05%4.46B
-19.04%5.52B
-19.04%5.52B
-18.17%5.25B
-23.17%5.19B
94.07%5.63B
69.52%6.81B
69.52%6.81B
100.78%6.41B
105.29%6.75B
-Long term debt and capital lease obligation
-14.05%4.46B
-19.04%5.52B
-19.04%5.52B
-18.17%5.25B
-23.17%5.19B
94.07%5.63B
69.52%6.81B
69.52%6.81B
100.78%6.41B
105.29%6.75B
-Including:Long term debt
-14.05%4.46B
-19.51%4.81B
-19.51%4.81B
-18.17%5.25B
-23.17%5.19B
94.07%5.63B
99.27%5.97B
99.27%5.97B
100.78%6.41B
105.29%6.75B
-Including:Long term capital lease obligation
----
-15.70%709M
-15.70%709M
----
----
----
-17.71%841M
-17.71%841M
----
----
Long term provisions
9.45%602M
10.33%577M
10.33%577M
-32.37%560M
-30.29%550M
-29.88%535M
-28.55%523M
-28.55%523M
17.45%828M
13.53%789M
Long term pension and other post-retirement benefit plans
4.87%2.26B
5.36%2.22B
5.36%2.22B
6.59%2.18B
6.94%2.16B
7.09%2.13B
7.17%2.11B
7.17%2.11B
5.89%2.05B
5.82%2.02B
Other non current liabilities
17.16%3.05B
2.19%1.73B
2.19%1.73B
-1.16%2.48B
-2.99%2.6B
-3.50%2.67B
-5.32%1.69B
-5.32%1.69B
-12.24%2.51B
-0.15%2.68B
Total non current liabilities
-1.20%10.37B
-9.82%10.04B
-9.82%10.04B
-11.25%10.47B
-14.25%10.5B
30.22%10.97B
30.93%11.14B
30.93%11.14B
35.73%11.8B
42.75%12.24B
Total liabilities
-3.11%27.12B
1.94%28.05B
1.94%28.05B
-8.21%27.24B
-3.48%27.99B
-6.81%27.48B
-8.95%27.52B
-8.95%27.52B
3.03%29.68B
11.52%28.99B
Shareholders'equity
Share capital
-70.05%4.21B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
-common stock
-70.05%4.21B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
0.00%14.04B
Additional paid-in capital
----
----
----
----
----
----
----
----
--0
----
Retained earnings
210.80%6.14B
40.47%-3.97B
40.47%-3.97B
33.88%-4.86B
26.68%-5.54B
15.61%-6.6B
16.62%-6.67B
16.62%-6.67B
-51.46%-7.35B
-71.20%-7.56B
Less: Treasury stock
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
0.00%1.48B
Other reserves
4.42%236M
96.10%302M
96.10%302M
42.18%209M
20.21%226M
1.61%189M
8.45%154M
8.45%154M
50.00%147M
189.23%188M
Total stockholders'equity
25.53%9.1B
47.06%8.89B
47.06%8.89B
47.63%7.91B
39.55%7.25B
24.86%6.15B
28.46%6.05B
28.46%6.05B
-31.37%5.36B
-36.77%5.19B
Noncontrolling interests
-15.79%16M
-10.00%18M
-10.00%18M
-5.00%19M
-9.52%19M
-9.52%19M
-9.09%20M
-9.09%20M
-13.04%20M
-12.50%21M
Total equity
25.42%9.11B
46.87%8.91B
46.87%8.91B
47.43%7.93B
39.36%7.27B
24.72%6.17B
28.29%6.07B
28.29%6.07B
-31.32%5.38B
-36.70%5.21B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Sep 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 11.80%5.37B42.03%6.4B42.03%6.4B-23.84%4.85B-13.07%4.81B-34.30%3.39B15.07%4.5B15.07%4.5B16.28%6.37B14.07%5.53B
-Cash and cash equivalents 11.80%5.37B42.03%6.4B42.03%6.4B-23.84%4.85B-13.07%4.81B-34.30%3.39B15.07%4.5B15.07%4.5B16.28%6.37B14.07%5.53B
Receivables -12.16%3.82B11.67%5.37B11.67%5.37B6.63%4.63B1.61%4.35B-3.38%4.54B-27.06%4.81B-27.06%4.81B-27.16%4.35B-18.71%4.28B
-Accounts receivable -12.16%3.82B11.67%5.37B11.67%5.37B6.63%4.63B1.61%4.35B-3.38%4.54B-27.06%4.81B-27.06%4.81B-27.16%4.35B-18.71%4.28B
-Gross accounts receivable -12.16%3.82B11.67%5.37B11.67%5.37B6.63%4.63B1.61%4.35B-3.38%4.54B-27.06%4.81B-27.06%4.81B-27.16%4.35B-18.71%4.28B
Inventory -13.49%3.33B-0.56%3.18B-0.56%3.18B8.07%3.77B10.77%3.85B10.97%3.52B16.55%3.2B16.55%3.2B18.83%3.48B18.28%3.47B
Other current assets -8.66%1.28B7.85%1.26B7.85%1.26B18.02%1.36B37.77%1.4B5.20%1.4B-9.85%1.17B-9.85%1.17B-20.69%1.15B-15.92%1.01B
Total current assets -4.18%13.8B18.48%16.21B18.48%16.21B-4.83%14.61B0.72%14.4B-10.53%12.85B-5.97%13.68B-5.97%13.68B-3.01%15.35B0.29%14.3B
Non current assets
Net PPE 11.75%19.12B6.40%17.74B6.40%17.74B5.21%16.99B5.22%17.11B3.92%17.01B-2.93%16.67B-2.93%16.67B-3.78%16.15B1.49%16.26B
-Gross PP&E 11.75%19.12B4.41%39.32B4.41%39.32B5.21%16.99B5.22%17.11B3.92%17.01B0.83%37.65B0.83%37.65B-3.77%16.15B1.50%16.26B
-Accumulated depreciation -----2.83%-21.58B-2.83%-21.58B-------------4.04%-20.98B-4.04%-20.98B--------
Total investment -7.68%2.9B65.96%234M65.96%234M1.38%3.01B4.15%3.14B4.65%3.17B36.89%141M36.89%141M-9.04%2.97B-5.46%3.01B
-Financial asset investment ----65.96%234M65.96%234M------------36.89%141M36.89%141M--------
-Including:Available-for-sale securities ----65.96%234M65.96%234M------------36.89%141M36.89%141M--------
Goodwill and other intangible assets -31.93%405M-18.66%484M-18.66%484M-4.33%553M-5.41%595M-8.31%607M-15.12%595M-15.12%595M-23.24%578M-17.56%629M
Deferred tax assets-non current -----20.77%553M-20.77%553M------------17.91%698M17.91%698M--------
Other non current assets -----3.01%1.74B-3.01%1.74B-------------1.81%1.8B-1.81%1.8B--------
Total non current assets 7.58%22.43B4.27%20.75B4.27%20.75B4.35%20.55B4.72%20.85B3.62%20.79B-2.45%19.9B-2.45%19.9B-5.31%19.7B-0.35%19.91B
Total assets 2.77%36.23B10.06%36.97B10.06%36.97B0.33%35.17B3.05%35.25B-2.29%33.64B-3.91%33.59B-3.91%33.59B-4.31%35.05B-0.08%34.21B
Liabilities
Current liabilities
Financial liabilities 11.48%6.04B11.45%6.2B11.45%6.2B-12.11%5.24B-11.18%5.42B-49.18%5.28B-50.53%5.56B-50.53%5.56B-11.27%5.96B-9.71%6.1B
-Current debt and capital lease obligation 11.48%6.04B11.45%6.2B11.45%6.2B-12.11%5.24B-11.18%5.42B-49.18%5.28B-50.53%5.56B-50.53%5.56B-11.27%5.96B-9.71%6.1B
-Including:Current debt 11.48%6.04B12.81%5.68B12.81%5.68B-12.11%5.24B-11.18%5.42B-49.18%5.28B-53.12%5.03B-53.12%5.03B-11.27%5.96B-9.71%6.1B
-Including:Current capital Lease obligation -----1.51%522M-1.51%522M------------3.92%530M3.92%530M--------
Payables -10.60%6.27B11.47%7.65B11.47%7.65B-7.28%6.72B10.89%7.02B-2.24%6.1B0.67%6.86B0.67%6.86B-17.17%7.25B-0.22%6.33B
-accounts payable -27.39%1.56B-20.10%1.97B-20.10%1.97B-41.23%2.13B-35.68%2.14B-44.00%1.8B-27.73%2.46B-27.73%2.46B-23.24%3.62B21.34%3.33B
-Total tax payable -31.50%261M6.80%1.18B6.80%1.18B66.87%272M39.05%381M-4.69%122M148.42%1.1B148.42%1.1B-12.83%163M-38.15%274M
-Other payable -0.82%4.46B36.62%4.5B36.62%4.5B24.68%4.32B65.06%4.49B44.19%4.18B11.20%3.3B11.20%3.3B-9.95%3.47B-13.67%2.72B
Current provisions 145.45%27M18.18%13M18.18%13M78.57%25M22.22%11M28.57%9M37.50%11M37.50%11M-6.67%14M12.50%9M
Pension and other retirement benefit plans 8.99%303M7.60%283M7.60%283M7.75%139M7.75%278M0.25%404M-3.66%263M-3.66%263M-3.73%129M-5.84%258M
Accrued and deferred income -----2.07%2.64B-2.07%2.64B-------------4.02%2.7B-4.02%2.7B--------
Other current liabilities -13.88%4.11B24.21%1.22B24.21%1.22B2.63%4.64B17.41%4.77B17.31%4.71B74.91%983M74.91%983M0.76%4.52B0.40%4.06B
Current liabilities -4.25%16.75B9.94%18.01B9.94%18.01B-6.21%16.77B4.39%17.49B-21.62%16.51B-24.57%16.38B-24.57%16.38B-11.10%17.88B-3.84%16.76B
Non current liabilities
Non current financial liabilities -14.05%4.46B-19.04%5.52B-19.04%5.52B-18.17%5.25B-23.17%5.19B94.07%5.63B69.52%6.81B69.52%6.81B100.78%6.41B105.29%6.75B
-Long term debt and capital lease obligation -14.05%4.46B-19.04%5.52B-19.04%5.52B-18.17%5.25B-23.17%5.19B94.07%5.63B69.52%6.81B69.52%6.81B100.78%6.41B105.29%6.75B
-Including:Long term debt -14.05%4.46B-19.51%4.81B-19.51%4.81B-18.17%5.25B-23.17%5.19B94.07%5.63B99.27%5.97B99.27%5.97B100.78%6.41B105.29%6.75B
-Including:Long term capital lease obligation -----15.70%709M-15.70%709M-------------17.71%841M-17.71%841M--------
Long term provisions 9.45%602M10.33%577M10.33%577M-32.37%560M-30.29%550M-29.88%535M-28.55%523M-28.55%523M17.45%828M13.53%789M
Long term pension and other post-retirement benefit plans 4.87%2.26B5.36%2.22B5.36%2.22B6.59%2.18B6.94%2.16B7.09%2.13B7.17%2.11B7.17%2.11B5.89%2.05B5.82%2.02B
Other non current liabilities 17.16%3.05B2.19%1.73B2.19%1.73B-1.16%2.48B-2.99%2.6B-3.50%2.67B-5.32%1.69B-5.32%1.69B-12.24%2.51B-0.15%2.68B
Total non current liabilities -1.20%10.37B-9.82%10.04B-9.82%10.04B-11.25%10.47B-14.25%10.5B30.22%10.97B30.93%11.14B30.93%11.14B35.73%11.8B42.75%12.24B
Total liabilities -3.11%27.12B1.94%28.05B1.94%28.05B-8.21%27.24B-3.48%27.99B-6.81%27.48B-8.95%27.52B-8.95%27.52B3.03%29.68B11.52%28.99B
Shareholders'equity
Share capital -70.05%4.21B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B
-common stock -70.05%4.21B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B0.00%14.04B
Additional paid-in capital ----------------------------------0----
Retained earnings 210.80%6.14B40.47%-3.97B40.47%-3.97B33.88%-4.86B26.68%-5.54B15.61%-6.6B16.62%-6.67B16.62%-6.67B-51.46%-7.35B-71.20%-7.56B
Less: Treasury stock 0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B0.00%1.48B
Other reserves 4.42%236M96.10%302M96.10%302M42.18%209M20.21%226M1.61%189M8.45%154M8.45%154M50.00%147M189.23%188M
Total stockholders'equity 25.53%9.1B47.06%8.89B47.06%8.89B47.63%7.91B39.55%7.25B24.86%6.15B28.46%6.05B28.46%6.05B-31.37%5.36B-36.77%5.19B
Noncontrolling interests -15.79%16M-10.00%18M-10.00%18M-5.00%19M-9.52%19M-9.52%19M-9.09%20M-9.09%20M-13.04%20M-12.50%21M
Total equity 25.42%9.11B46.87%8.91B46.87%8.91B47.43%7.93B39.36%7.27B24.72%6.17B28.29%6.07B28.29%6.07B-31.32%5.38B-36.70%5.21B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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