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SUMITOMO RUBBER INDUSTRIES
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5-Years Summary of Consolidated Financial Data
 
<J-GAAP>
  2012 2013 2014 2015 2016
Net sales (Millions of yen) 710,247780,609837,647848,663804,964
Ordinary income (Millions of
yen)
67,35174,58287,96878,89470,994
Net income/loss (Millions of
yen)
35,45144,79453,20655,83449,937
Net asset (Millions of yen) 271,102358,844446,960453,768461,688
Total asset (Millions of yen) 737,528867,464973,587936,154899,646
Net asset per share (yen) 930.741,257.251,575.821,615.811,646.37
Net income/lossper share (yen) 135.14170.75202.82212.85190.37
Net income-diluted per share
(yen)
-----
Shareholders' equity ratio (%) 33.138.042.545.348.0
ROE (%) 16.015.614.313.311.7
Cash flows from operating
activities (Millions of yen)
76,64377,012108,94186,995128,190
Cash flows from investing
activities (Millions of yen)
-62,167-68,274-71,584-32,991-42,144
Cash flows from financing
activities (Millions of yen)
-15,835-5,824-32,507-50,554-71,055
Cash and cash equivalents at
end of fiscal year (Millions of
yen)
32,87642,00453,58453,52166,457
Employees 23,50726,77330,22433,18533,792
 
<IFRS>
  2015 2016 2017 2018
Revenue (Millions of yen) 798,483756,696877,866894,243
Business profit (Millions of yen) 78,85374,91666,97560,681
Business Profit ratio (%) 9.99.97.66.8
Operating profit (Millions of yen) 89,17373,28467,44957,155
Profit attributable to
owners of parent (Millions of
yen)
71,97641,36446,97936,246
Basic profit per share (yen) 274.38157.69180.45137.81
Profit to equity attributable to
owners of parent ratio (%)
17.59.710.67.9
Total assets (Millions of yen) 932,432897,6341,018,2661,002,383
Total equity (Millions of yen) 451,837459,541490,886472,807
Total equity attributable to
owners of parent (Millions of
yen)
422,287429,316459,907457,927
Ratio of equity attributable to
owners of parent (%)
45.347.845.245.7
ROE (%) 17.59.710.67.9
ROA (%)
(Business profit ÷ Total assets)
8.48.27.06.0
D/E Ratio 0.60.50.60.6
Cash flows from operating
activities (Millions of yen)
86,864128,19076,10982,820
Cash flows from investing
activities (Millions of yen)
-30,672-42,144-100,724-65,494
Cash flows from financing
activities (Millions of yen)
-52,707-71,05521,706-2,122
Cash and cash equivalents at
end of fiscal year (Millions of
yen)
53,55666,49264,52874,526
※"Business profit" is "Sales revenue" subtracted by "Cost of sales" and
  "Selling, general and administrative expenses."
 
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