Sumitomo Chemical Price (4005.T)

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Shares Outstanding

1,635,352,000

(0.0047)%

Balance Sheet Summary

Total Assest
Total Liabilities
Total Equity
Total Investments
Total Liabilities And Total Equ...
Total debt
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Balance Sheet

Sumitomo Chemical Company, Limited

Currency: JPY

YEAR 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Assets
Current Assets
Cash And Cash Equivalents 67.06B 40.79B 50.79B 63.58B 77.84B 56.57B 55.30B 61.89B 44.40B 55.24B 110.97B 125.99B 107.41B 60.83B 70.93B 83.75B 68.60B 74.93B 82.79B 112.26B 136.55B 160.87B 231.93B 201.68B 180.65B 360.92B 365.43B 305.84B 217.45B
Short Term Investments 54.35B 54.37B 51.89B 37.99B 1.78B 1.21B 360.00M 79.00M 260.00M 316.00M 2.27B 6.20B 3.83B 36.52B 63.17B 96.07B 102.22B 86.46B 81.95B 111.30B 81.04B 34.20B 6.72B 5.35B 8.95B 12.81B 23.99B 31.24B 0.00
Net Receivables 328.77B 337.39B 326.53B 303.79B 324.02B 349.35B 335.50B 342.51B 359.13B 302.88B 396.45B 405.55B 422.04B 292.18B 380.51B 411.94B 412.01B 402.96B 446.85B 454.14B 413.19B 453.22B 530.57B 549.99B 570.41B 652.62B 720.42B 603.16B 620.02B
Inventory 164.99B 182.16B 189.95B 178.72B 175.70B 185.95B 198.73B 218.98B 210.37B 234.57B 294.82B 0.00 338.16B 335.72B 355.67B 358.15B 382.39B 410.47B 429.45B 439.88B 402.26B 409.38B 446.80B 489.27B 492.39B 511.53B 651.36B 744.47B 709.64B
Other Current Assets 9.92B 10.09B 11.57B 7.67B 5.12B 3.47B 5.86B 11.33B 14.17B 107.58B 142.04B 130.41B 131.72B 112.89B 143.19B 148.44B 136.87B 133.99B 201.48B 143.33B 154.89B 175.24B 38.80B 44.94B 58.51B 46.59B 51.44B 78.17B 128.77B
Total Current Assets 625.08B 624.80B 630.74B 591.75B 584.45B 596.55B 595.74B 634.80B 628.33B 694.59B 946.55B 995.90B 1.00T 838.14B 1.01T 1.10T 1.10T 1.11T 1.24T 1.26T 1.19T 1.23T 1.25T 1.29T 1.31T 1.58T 1.81T 1.76T 1.68T
Non Current Assets
Property, Plant, and Equipment, Net 474.69B 493.49B 475.62B 428.05B 409.70B 400.68B 401.70B 465.62B 481.90B 515.87B 570.32B 623.49B 636.48B 567.82B 581.84B 552.54B 594.88B 640.22B 722.84B 694.44B 642.17B 626.20B 675.75B 735.92B 778.42B 793.50B 823.02B 829.36B 796.53B
Goodwill 0.00 0.00 0.00 0.00 4.96B 12.33B 14.95B 18.69B 11.48B 10.58B 7.31B 6.20B 20.46B 12.95B 94.74B 79.66B 69.32B 79.22B 86.81B 95.25B 82.65B 108.26B 122.85B 126.84B 196.00B 220.30B 244.52B 266.87B 263.76B
Intangible Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 36.60B 63.46B 50.41B 155.01B 105.09B 72.86B 105.89B 108.55B 108.84B 104.62B 249.33B 232.63B 216.66B 466.41B 450.17B 471.11B 404.00B 272.92B
Long Term Investments 168.38B 180.76B 213.35B 228.75B 270.97B 405.15B 342.38B 306.95B 372.85B 377.61B 598.13B 645.66B 619.00B 348.13B 331.35B 304.97B 262.14B 309.70B 368.14B 407.50B 388.28B 412.58B 604.54B 730.39B 851.51B 900.41B 907.74B 862.91B 319.99B
Tax Assets 0.00 0.00 0.00 18.39B 28.56B 15.12B 16.59B 23.17B 19.01B 19.35B 15.88B 10.87B 12.54B 13.33B 14.83B 20.94B 25.74B 21.43B 21.50B 17.70B 13.58B 14.79B 62.15B 70.59B 47.09B 41.41B 49.12B 39.49B 37.07B
Other Non-Current Assets 65.49B 59.11B 56.24B 6.00B 23.75B 25.57B 21.80B 35.06B 35.72B 30.81B 40.18B 6.20B 3.83B 191.78B 192.68B 205.76B 209.94B 206.81B 238.14B 295.76B 242.93B 219.76B 115.96B 0.00 0.00 0.00 0.00 0.00 568.67B
Total Non-Current Assets 708.56B 733.36B 745.21B 719.18B 737.93B 858.85B 797.42B 849.48B 920.97B 954.21B 1.23T 1.33T 1.36T 1.18T 1.37T 1.27T 1.23T 1.36T 1.55T 1.62T 1.47T 1.63T 1.81T 1.88T 2.34T 2.41T 2.50T 2.40T 2.26T
Other Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Total Assets 1.33T

+0%

1.36T

+2%

1.38T

+1%

1.31T

-5%

1.32T

+1%

1.46T

+10%

1.39T

-4%

1.48T

+7%

1.55T

+4%

1.65T

+6%

2.18T

+32%

2.32T

+7%

2.36T

+1%

2.02T

-14%

2.38T

+18%

2.37T

-1%

2.34T

-1%

2.47T

+6%

2.79T

+13%

2.88T

+3%

2.66T

-8%

2.86T

+8%

3.07T

+7%

3.17T

+3%

3.65T

+15%

3.99T

+9%

4.31T

+8%

4.17T

-3%

3.93T

-6%

Liabilities
Current Liabilities
Account Payables 227.21B 242.67B 246.57B 196.38B 194.92B 201.35B 210.88B 270.07B 255.00B 274.88B 265.23B 353.10B 282.66B 151.52B 214.61B 227.99B 227.77B 256.14B 296.07B 258.16B 205.19B 417.72B 486.83B 482.86B 436.07B 522.89B 551.58B 515.87B 543.38B
Short Term Debt 271.92B 277.93B 294.33B 249.79B 204.20B 167.65B 197.55B 213.27B 204.03B 264.64B 204.22B 233.63B 288.20B 318.48B 405.18B 339.11B 370.23B 353.39B 343.01B 286.54B 227.24B 301.56B 289.19B 256.57B 466.53B 250.39B 261.28B 396.90B 585.91B
Tax Payables 8.60B 24.08B 15.78B 13.34B 22.70B 19.67B 15.64B 22.98B 16.77B 24.64B 20.14B 32.07B 18.99B 13.27B 15.60B 15.41B 14.00B 8.40B 18.54B 14.36B 42.22B 21.85B 28.08B 29.72B 32.12B 38.41B 24.52B 31.77B 8.55B
Deferred Revenue 40.40B 57.07B 50.68B 44.40B 53.02B 57.01B 36.30B 46.76B 40.77B 48.85B 45.52B 149.77B 49.75B 42.20B 60.98B 66.61B 63.25B 62.56B 87.38B 100.02B 142.30B 138.85B 175.12B 181.79B 170.75B 201.29B 238.36B 237.54B 0.00
Other Current Liabilities 71.66B 75.43B 55.27B 52.94B 69.65B 82.08B 48.49B 69.62B 57.25B -33,569,000,000.00 177.29B 88.37B 215.69B 184.84B 232.22B 215.69B 230.72B 252.10B 291.60B 310.79B 314.79B 165.60B 224.85B 236.00B 227.62B 279.01B 336.11B 333.83B 305.65B
Total Current Liabilities 579.39B 620.11B 611.95B 512.44B 491.47B 470.74B 472.55B 575.95B 533.04B 530.58B 666.88B 707.17B 805.55B 668.10B 867.61B 798.20B 842.72B 870.03B 949.21B 869.85B 789.43B 906.74B 1.03T 1.01T 1.16T 1.09T 1.17T 1.28T 1.44T
Non Current Liabilities
Long Term Debt 366.87B 337.58B 329.27B 335.33B 326.29B 306.57B 289.77B 271.89B 281.26B 307.04B 374.73B 407.36B 385.68B 435.58B 592.76B 661.74B 637.46B 662.67B 679.92B 633.15B 604.27B 579.26B 558.54B 587.64B 906.16B 1.17T 1.18T 1.16T 977.58B
Deferred Revenue Non Current 0.00 0.00 0.00 38.71B 62.82B 70.09B 57.90B 58.51B 60.17B 46.91B 52.92B 42.75B 43.66B 41.31B 41.84B 39.48B 45.28B 44.51B 51.67B 60.48B 58.04B 54.87B 161.15B 154.30B 159.32B 143.41B 171.31B 163.46B 0.00
Deferred Tax Liabilities Non-Current 0.00 0.00 0.00 4.59B 2.47B 45.79B 16.74B 9.53B 40.57B 58.25B 102.05B 107.55B 89.30B 31.50B 29.11B 39.38B 17.00B 64.23B 84.11B 96.25B 75.49B 92.56B 58.40B 51.17B 79.53B 101.85B 101.30B 101.16B 121.15B
Other Non-Current Liabilities 75.96B 74.59B 62.64B 22.76B 24.56B 26.08B 29.15B 28.33B 28.09B 29.16B 37.58B 29.56B 28.70B 29.13B 31.16B 30.14B 28.31B 38.67B 37.42B 41.97B 177.67B 158.67B 9.43B 21.49B -45,835,000,000.00 3.48B -14,930,000,000.00 -23,058,000,000.00 228.24B
Total Non-Current Liabilities 442.82B 412.17B 391.91B 401.38B 416.15B 448.53B 393.57B 368.26B 410.10B 441.35B 567.28B 587.22B 547.34B 578.83B 694.86B 810.23B 773.34B 854.58B 904.79B 892.34B 781.94B 792.79B 787.52B 814.60B 1.10T 1.42T 1.43T 1.40T 1.33T
Other Liabilities 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Capital Lease Obligations 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -41,310,000,000.00 0.00 -39,484,000,000.00 -45,283,000,000.00 -44,507,000,000.00 -51,668,000,000.00 -60,479,000,000.00 0.00 5.57B 5.57B 4.67B 68.02B 68.02B 85.81B 91.91B 0.00
Total Liabilities 1.02T

+0%

1.03T

+1%

1.00T

-3%

913.82B

-9%

907.61B

-1%

919.27B

+1%

866.12B

-6%

944.21B

+9%

943.14B

0%

971.93B

+3%

1.23T

+27%

1.29T

+5%

1.35T

+5%

1.25T

-8%

1.56T

+25%

1.61T

+3%

1.62T

+0%

1.72T

+7%

1.85T

+8%

1.76T

-5%

1.57T

-11%

1.70T

+8%

1.82T

+7%

1.82T

+0%

2.26T

+24%

2.51T

+11%

2.61T

+4%

2.68T

+3%

2.77T

+4%

Equity
Preferred Stock 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 28.01B 0.00 0.00 0.00 0.00 0.00 922.27B 908.47B 962.79B 1.08T 973.01B 0.00
Common Stock 81.46B 81.46B 81.47B 81.47B 84.75B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 0.00 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.70B 89.81B 89.94B
Retained Earnings 154.71B 171.26B 184.34B 230.45B 239.40B 259.46B 280.04B 299.90B 321.99B 374.17B 445.92B 521.43B 562.23B 481.46B 490.86B 499.29B 485.03B 419.89B 444.67B 477.45B 539.49B 603.91B 738.88B 820.45B 807.96B 854.54B 974.38B 891.55B 578.18B
Accumulated Other Comprehensive Income Loss 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -28,014,000,000.00 94.05B 209.35B 123.16B 85.53B 85.17B 76.43B 13.88B 56.45B 135.27B 198.18B 305.76B
Other Total Stockholders Equity 29.54B 30.03B 30.85B 13.21B 20.82B 102.62B 74.84B 54.74B 94.43B 22.56B 22.29B 19.17B 18.96B -26,792,000,000.00 -5,189,000,000.00 -66,513,000,000.00 -88,491,000,000.00 -41,106,000,000.00 14.88B 14.83B 14.52B 21.58B 13.39B 12.12B 10.81B 18.55B 18.75B -8,349,000,000.00 -8,118,000,000.00
Total Stockholders Equity 265.71B 282.75B 296.66B 325.13B 344.96B 451.78B 444.58B 444.33B 506.12B 569.60B 719.76B 792.54B 768.11B 544.37B 575.37B 522.47B 486.24B 496.50B 643.30B 791.32B 766.87B 820.32B 927.14B 998.70B 922.34B 1.02T 1.22T 1.17T 965.75B
Minority Interest 45.71B 43.13B 75.43B 71.99B 69.81B 84.34B 82.46B 95.73B 100.03B 107.27B 224.46B 237.98B 237.94B 231.26B 246.07B 236.41B 234.67B 250.98B 291.21B 326.90B 323.90B 342.21B 325.07B 353.18B 466.50B 462.89B 483.88B 318.00B 198.61B
Total Equity 311.42B

+0%

325.88B

+5%

372.09B

+14%

397.11B

+7%

414.77B

+4%

536.12B

+29%

527.04B

-2%

540.07B

+2%

606.15B

+12%

676.87B

+12%

944.22B

+39%

1.03T

+9%

1.01T

-2%

775.63B

-23%

821.44B

+6%

758.89B

-8%

720.90B

-5%

747.48B

+4%

934.51B

+25%

1.12T

+20%

1.09T

-2%

1.16T

+7%

1.25T

+8%

1.35T

+8%

1.39T

+3%

1.48T

+7%

1.70T

+15%

1.49T

-13%

1.16T

-22%

Total Liabilities And Total Equity 1.33T

+0%

1.36T

+2%

1.38T

+1%

1.31T

-5%

1.32T

+1%

1.46T

+10%

1.39T

-4%

1.48T

+7%

1.55T

+4%

1.65T

+6%

2.18T

+32%

2.32T

+7%

2.36T

+1%

2.02T

-14%

2.38T

+18%

2.37T

-1%

2.34T

-1%

2.47T

+6%

2.79T

+13%

2.88T

+3%

2.66T

-8%

2.86T

+8%

3.07T

+7%

3.17T

+3%

3.65T

+15%

3.99T

+9%

4.31T

+8%

4.17T

-3%

3.93T

-6%

Additional Metrics
Total Investments 222.73B

+0%

235.13B

+6%

265.25B

+13%

266.74B

+1%

272.74B

+2%

406.36B

+49%

342.74B

-16%

307.03B

-10%

373.11B

+22%

377.92B

+1%

600.40B

+59%

651.86B

+9%

622.83B

-4%

384.65B

-38%

394.51B

+3%

401.05B

+2%

364.36B

-9%

396.17B

+9%

450.09B

+14%

518.80B

+15%

469.32B

-10%

446.77B

-5%

611.26B

+37%

622.44B

+2%

752.70B

+21%

772.63B

+3%

764.87B

-1%

716.10B

-6%

319.99B

-55%

Total Debt 638.79B

+0%

615.52B

-4%

623.60B

+1%

585.12B

-6%

530.50B

-9%

474.22B

-11%

487.32B

+3%

485.16B

0%

485.30B

+0%

470.66B

-3%

578.58B

+23%

640.99B

+11%

673.88B

+5%

795.37B

+18%

997.94B

+25%

1.04T

+4%

1.05T

+1%

1.06T

+1%

1.07T

+1%

980.17B

-9%

831.51B

-15%

875.25B

+5%

842.16B

-4%

839.53B

0%

1.30T

+55%

1.35T

+4%

1.35T

0%

1.46T

+8%

1.56T

+7%

Net Debt 571.73B 574.72B 572.81B 521.54B 452.66B 417.65B 432.02B 423.27B 440.90B 415.41B 467.61B 515.00B 566.47B 734.54B 927.01B 956.59B 984.37B 985.64B 991.81B 867.92B 694.95B 714.39B 610.23B 637.85B 1.12T 990.15B 985.04B 1.16T 1.35T
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