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XJPX4005
Market cap3.60bUSD
Dec 25, Last price  
344.30JPY
1D
1.41%
1Q
-16.45%
Jan 2017
-37.90%
Name

Sumitomo Chemical Co Ltd

Chart & Performance

D1W1MN
XJPX:4005 chart
P/E
P/S
0.23
EPS
Div Yield, %
3.49%
Shrs. gr., 5y
Rev. gr., 5y
1.08%
Revenues
2.45t
-15.49%
1,296,315,000,0001,556,606,000,0001,790,026,000,0001,896,539,000,0001,788,223,000,0001,620,915,000,0001,982,435,000,0001,947,884,000,0001,952,492,000,0002,243,794,000,0002,376,697,000,0002,101,764,000,0001,954,283,000,0002,190,509,000,0002,318,572,000,0002,225,804,000,0002,286,978,000,0002,765,321,000,0002,895,283,000,0002,446,893,000,000
Net income
-311.84b
L
64,452,000,00090,665,000,00093,860,000,00063,083,000,000-59,164,000,00014,723,000,00024,434,000,0005,587,000,000-51,076,000,00036,977,000,00052,192,000,00081,451,000,00085,482,000,000133,768,000,000117,992,000,00030,926,000,00046,043,000,000162,130,000,0006,987,000,000-311,838,000,000
CFO
-51.32b
L
159,819,000,000122,783,000,000142,917,000,000156,578,000,00078,428,000,000132,872,000,000176,228,000,000124,491,000,000171,595,000,000194,362,000,000260,854,000,000261,172,000,000187,446,000,000293,250,000,000208,143,000,000106,012,000,000374,464,000,000171,715,000,000111,621,000,000-51,317,000,000
Dividend
Mar 28, 20250 JPY/sh
Earnings
Jan 31, 2025

Profile

Sumitomo Chemical Company, Limited engages in Chemicals & Plastics, energy and functional materials, IT-related chemicals, health and crop sciences, pharmaceuticals, and other businesses worldwide. Its Essential Chemicals & Plastics segment offers synthetic resins, such as polyethylene, polypropylene, and polymethyl methacrylate resins; raw materials for synthetic fibers; and various industrial chemicals. The company's Energy & Functional Materials segment provides alumina and aluminum products used for energy products; resorcinol for tires, wood adhesives, flame retardants, and ultraviolet ray absorbants; polymer additives and rubber chemicals; synthetic rubber for tires, shoes, construction materials, and other applications; and engineering plastics and lithium-ion secondary battery materials for use in electronic components and next-generation vehicles. Its IT-Related Chemicals segment provides polarizing films, touch screen sensor panels, and color resists and polymer OLED for LC and OLED displays; photoresists and high-purity chemicals for the semiconductor manufacturing process; and compound semiconductor materials for antenna switches and other components of communication terminal equipment. The company's Health & Crop Sciences segment offers crop protection chemicals, fertilizers, feed additives, and household insecticides; active pharmaceutical ingredients and intermediates; and products to control infectious diseases. Its Pharmaceuticals segment provides prescription and diagnostic pharmaceuticals. The company's Others segment supplies electric power and steam; designs, constructs, and supervises chemical plants; provides transportation and warehousing services; and conducts physical property and environmental analysis. Sumitomo Chemical Company, Limited was founded in 1913 and is headquartered in Tokyo, Japan.
IPO date
May 16, 1949
Employees
33,572
Domiciled in
JP
Incorporated in
JP

Valuation

Title
JPY in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑032023‑032022‑032021‑032020‑032019‑032018‑032017‑032016‑032015‑03
Income
Revenues
2,446,893,000
-15.49%
2,895,283,000
4.70%
2,765,321,000
20.92%
Cost of revenue
2,834,322,000
3,298,249,000
2,876,361,000
Unusual Expense (Income)
NOPBT
(387,429,000)
(402,966,000)
(111,040,000)
NOPBT Margin
Operating Taxes
2,657,000
47,096,000
64,699,000
Tax Rate
NOPAT
(390,086,000)
(450,062,000)
(175,739,000)
Net income
(311,838,000)
-4,563.12%
6,987,000
-95.69%
162,130,000
252.13%
Dividends
(19,639,000)
(42,484,000)
(31,068,000)
Dividend yield
3.55%
5.84%
3.38%
Proceeds from repurchase of equity
BB yield
Debt
Debt current
585,905,000
396,903,000
261,280,000
Long-term debt
1,069,494,000
1,156,377,000
1,175,003,000
Deferred revenue
163,464,000
171,311,000
Other long-term liabilities
228,238,000
68,856,000
70,883,000
Net debt
1,117,962,000
353,291,000
139,123,000
Cash flow
Cash from operating activities
(51,317,000)
111,621,000
171,715,000
CAPEX
(152,873,000)
(143,581,000)
(107,467,000)
Cash from investing activities
(112,240,000)
(19,411,000)
(115,421,000)
Cash from financing activities
49,246,000
(178,502,000)
(81,394,000)
FCF
(422,314,000)
(489,723,000)
(345,836,000)
Balance
Cash
217,449,000
337,081,000
389,420,000
Long term investments
319,988,000
862,908,000
907,740,000
Excess cash
415,092,350
1,055,224,850
1,158,893,950
Stockholders' equity
1,172,484,000
2,470,551,000
2,766,058,000
Invested Capital
2,540,997,650
2,095,878,150
2,111,232,050
ROIC
ROCE
EV
Common stock shares outstanding
1,635,352
1,635,275
1,634,978
Price
338.60
-23.91%
445.00
-20.82%
562.00
-1.92%
Market cap
553,730,187
-23.91%
727,697,375
-20.80%
918,857,636
-1.92%
EV
1,870,305,187
2,371,998,375
2,624,683,636
EBITDA
(229,907,000)
(235,009,000)
45,627,000
EV/EBITDA
57.52
Interest
46,963,000
39,621,000
23,061,000
Interest/NOPBT