Murata Manufacturing Co., Ltd. and Subsidiaries

FACT BOOK (Unaudited) 2024

Contents:

主要な業績数値/Main performance figures

2

連結財務諸表/Consolidated financial statements

4

販売・受注の状況/Revenue / Order status

12

セグメント情報/Segment Information

17

経営指標/Management indicator

19

ESGデータ/ESG Data

21

株式情報/Share Information

22

株主還元/Return to Shareholders

23

株式指標/Stock index

25

格付・社債情報/Credit Rating & Bond Information

27

Note:

~20233月期/-Year Ended March 31,2023

当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

20243月期~/Year Ended March 31,2024-

20243月期より従来の米国会計基準に替えて国際財務報告基準(IFRS)を任意適用いたします。

Will voluntarily adopt International Financial Reporting Standards (IFRS) from FY2023 in place of U.S. GAAP, which was previously applied.

資料の一部は、組み替え表示しております。

Certain items in previous years' financial statements have been reclassified.

ダウンロード後に当資料を編集した場合、その内容について当社は責任を負いかねます。

When you make a change to this Historical Data after download, we are not responsible for the contents.

1 / 27 ページ

主要な業績数値(連結) Main performance figures(Consolidated Basis)

(百万円) (Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

売上高

Net sales

846,716

100.0

1,043,542

100.0

1,210,841

100.0

1,135,524

100.0

1,371,842

100.0

1,575,026

100.0

1,534,045

100.0

1,630,193

100.0

1,812,521

100.0

1,686,796

100.0

売上総利益

Gross profit

292,438

34.5

414,336

39.7

498,787

41.2

432,395

38.1

444,277

32.4

600,218

38.1

581,462

37.9

622,201

38.2

768,229

42.4

675,848

40.1

営業利益

Operating income (loss)

125,891

14.9

214,535

20.6

275,406

22.7

201,215

17.7

163,254

11.8

266,807

16.9

253,247

16.5

313,240

19.2

424,060

23.4

297,887

17.7

税引前当期純利益

Income (loss) before income taxes

132,336

15.6

238,400

22.8

279,173

23.1

200,418

17.6

167,801

12.2

267,316

17.0

254,032

16.6

316,417

19.4

432,702

23.9

314,895

18.7

当期純利益

Net income attributable to Murata Corporation

93,191

11.0

167,711

16.1

203,776

16.8

156,060

13.7

146,086

10.6

206,930

13.1

183,012

11.9

237,057

14.5

314,124

17.3

253,690

15.0

ROIC(税引前)

ROIC (pre-tax basis) (%)

18.1

26.8

30.9

21.2

14.4

18.9

16.1

18.5

22.6

14.6

※ROIC(税引前)= 営業利益 / 期首・期末平均投下資本(固定資産+棚卸資産+売上債権-仕入債務)

※ROIC(pre-tax basis)= Pre-tax operating income Average invested capital at the beginning and end of the period=Net fixedassets[book value]inventoriesaccounts receivable-tradeaccountspayable-trade

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

設備投資

Capital expenditures

68,197

101,184

172,540

158,579

306,608

291,581

281,599

196,660

152,786

208,111

減価償却費

Depreciation and amortization

76,884

84,935

99,105

113,523

141,625

124,419

140,267

143,074

155,583

161,276

研究開発費

R & D expenses

54,649

64,990

77,982

81,809

94,181

101,589

102,486

101,727

111,297

124,239

研究開発費売上高比率

R & D cost sales ratio

6.5%

6.2%

6.4%

7.2%

6.9%

6.4%

6.7%

6.2%

6.1%

7.4%

総資産

Total assets

1,243,687

1,431,303

1,517,784

1,634,999

1,797,013

2,048,893

2,250,230

2,462,261

2,809,171

2,872,763

株主資本

Shareholders' equity

955,760

1,123,090

1,229,159

1,354,819

1,456,600

1,603,976

1,694,104

1,920,805

2,263,596

2,402,511

負債

liabilities

272,055

292,372

273,805

279,665

339,797

444,353

555,423

540,616

545,259

470,287

有利子負債

Interest-bearing debt

57,129

25,868

9,747

46,663

14,487

123,614

201,474

150,757

111,078

111,999

フリーキャッシュフロー

Free Cash Flows

68,601

168,557

47,135

41,223

31,084

(23,899)

65,903

223,296

209,158

118,428

現金及び現金同等物の期末残高

Cash and cash equivalents at end of year

118,884

212,936

212,570

239,184

187,910

217,805

302,320

407,699

512,072

469,406

平均為替レート

Average exchange rate(JPY/USD)

100.24

109.94

120.14

108.42

110.86

110.91

108.75

106.06

112.38

135.48

従業員数

Number of employees

48,288

51,794

54,674

59,985

75,326

77,571

74,109

75,184

77,581

73,164

連結子会社数

Number of consolidated subsidiaries

101

105

102

97

99

92

90

89

89

87

※連結子会社数には持分法適用会社も含みます。

*The number of consolidated subsidiaries includes equity method affiliates.

(注)当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

Note :

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

売上高・営業利益率

営業利益率 /

ROIC(税引前)

設備投資

(Million yen / 百万円)

売上 / Net Sales

Operating

()

()

ROIC(pre-tax basis)

(Million yen / 百万円)

Capital expenditures

2014

Net sales / Operating income ratio

14.9

2,000,000

846,716

25.0

35.0

350,000

2015

1,043,542

20.6

2016

1,210,841

.7

30.0

300,000

2017

.7

20.0

1,500,000

2018

.8

25.0

250,000

2019

.9

.5

15.0

20.0

200,000

1,000,000

.2

.4

10.0

15.0

150,000

.7

500,000

10.0

100,000

5.0

5.0

2 / 27 ページ

50,000

0

0.0

0.0

0

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

売上 / Net Sales

営業利益率 / Operating income ratio

3月期

ROIC(税引前) / ROIC (pre-tax basis)

3月期

3月期

Years Ended March 31

Years Ended March 31

Years Ended March 31

主要な業績数値(連結) Main performance figures(Consolidated Basis)

(百万円) (Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2024

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

金額

構成比

前年比

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

Amount

%

YoY%

売上収益

Revenue

1,686,796

100.0

1,640,158

100.0

(2.8)

売上総利益

Gross profit

673,534

39.9

636,797

38.8

(5.8)

営業利益

Operating profit

298,231

17.7

215,447

13.1

(27.8)

税引前利益

Profit before tax

302,683

17.9

239,404

14.6

(20.9)

親会社の所有者に 帰属する当期利益

Profit attributable to owners of parent

243,946

14.5

180,838

11.0

(25.9)

ROIC(税引前)

ROIC (pre-tax basis) (%)

14.4

10.0

※ROIC(税引前)= 営業利益 / 期首・期末平均投下資本(有形固定資産・使用権資産・のれん・無形資産+棚卸資産+営業債権-営業債務)

*ROIC (pre-tax basis)Operating profitAverage invested capital at the beginning and end of the period(=Property, plantand equipment right-of-use assetsgoodwillintangible assetsinventoriestrade receivabletrade payables) receivable-tradeaccountspayable-trade

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2024

設備投資

Capital expenditures

208,111

219,531

減価償却費

Depreciation and amortization

161,276

175,873

研究開発費

R & D expenses

124,239

132,502

研究開発費売上高比率

R & D cost sales ratio

7.4%

8.1%

総資産

Total assets

2,858,303

3,037,895

資本金

Share capital

2,359,942

2,555,609

負債

liabilities

498,361

482,286

有利子負債

Interest-bearing debt

111,998

52,836

フリーキャッシュフロー

Free Cash Flows

126,225

288,066

現金及び現金同等物の期末残高

Cash and cash equivalents at end of year

469,406

622,007

平均為替レート

Average exchange rate(JPY/USD)

135.48

144.62

従業員数

Number of employees

73,164

73,165

連結子会社数

Number of consolidated subsidiaries

87

84

※連結子会社数には持分法適用会社も含みます。

The number of consolidated subsidiaries includes equity method affiliates.

(注)

20243月期より従来の米国会計基準に替えて、国際財務報告基準(以下、IFRS)を任意適用しています。この変更に伴い、当資料に記載の20233月期実績については、米国会計基準からIFRSに組み替えて表示しています。

Note :

The Company has voluntarily adopted International Financial Reporting Standards (IFRS) since FY2023 in place of U.S. GAAP, which was previously applied.With this change, the results for FY2022, presented in this material, have been reclassified from U.S. GAAP to IFRS.

売上収益 /Revenue上収益・営業利益率

営業利益率 /

Revenue/ Operating profit ratio

Operating

illion yen / 百万円)

2023

17.7

()

()

1,686,796

,000,000

2024

1,640,158

13.1

20.0

35.0

18.0

30.0

16.0

14.0

25.0

12.0

20.0

10.0

8.0

15.0

6.0

10.0

4.0

5.0

2.0

,500,000

0.0

0.0

2023

2024

3月期

売上収益 / Revenue

営業利益率 / Operating income ratio

Years Ended March 31

ROIC(税引前)

(Million yen / 百万円)

設備投資

ROIC(pre-tax basis)

Capital expenditures

222,000

220,000

218,000

ROIC(税引前) / ROIC (pre-tax basis)

2023

14.4

216,000

2024

10

214,000

212,000

210,000

208,000

206,000

204,000

202,000

2023

2024

3月期

2023

2024

3月期

設備投資 / Capital expenditures

Years Ended March 31

ROIC(税引前) / ROIC (pre-tax basis)

Years Ended March 31

3 / 27 ページ

連結貸借対照表(連結)

Consolidated Balance Sheets

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

資産の部

Assets

1,243,687

1,431,303

1,517,784

1,634,999

1,797,013

2,048,893

2,250,230

2,462,261

2,809,171

2,872,763

流動資産

Current assets

672,981

815,849

835,369

871,431

810,260

933,941

1,027,227

1,184,180

1,435,206

1,408,090

現金及び預金

Cash

104,467

139,685

150,627

170,929

168,902

181,956

239,656

363,979

370,388

318,557

短期投資

Short-term investments

77,531

146,413

174,228

173,401

30,747

69,781

106,950

64,218

174,074

162,456

有価証券

Marketable securities

100,403

72,199

45,188

53,043

20,790

27,364

29,554

22,599

23,979

12,240

受取手形

Trade notes receivable

775

649

399

271

2,895

4,053

100

25

0

-

売掛金

Trade accounts receivable

188,044

233,024

194,549

209,596

256,140

271,566

281,958

342,260

360,517

272,894

貸倒引当金

Allowance for doubtful notes and accounts

(948)

(1,010)

(845)

(905)

(1,159)

(1,510)

(1,026)

(1,414)

(2,207)

(2,276)

棚卸資産

Inventories

170,603

186,299

217,462

211,447

290,257

349,315

334,408

361,331

464,723

575,026

繰延税金資産

Deferred income taxes

22,566

28,296

31,365

25,890

-

-

-

-

-

-

前払費用及びその他の流動資産

Prepaid expenses and other

9,540

10,294

22,396

27,759

41,688

31,416

35,627

31,182

43,732

69,193

有形固定資産

Property, plant and equipment

346,473

385,986

455,862

507,969

705,229

856,453

1,002,210

1,078,838

1,116,602

1,188,198

土地

Land

50,153

50,170

49,757

50,761

64,772

68,133

72,707

73,359

81,213

85,649

建物及び構築物

Buildings

308,576

325,479

350,279

394,239

467,427

536,781

633,041

741,346

789,142

846,923

機械装置及び工具器具備品

Machinery and equipment

727,280

788,743

873,410

950,280

1,104,592

1,250,288

1,310,534

1,418,356

1,530,121

1,609,043

建設仮勘定

Construction in progress

18,251

30,510

37,750

40,035

97,090

109,057

133,148

100,277

89,723

135,966

減価償却累計額

Accumulated depreciation

(757,787)

(808,916)

(855,334)

(927,346)

(1,028,652)

(1,107,806)

(1,182,318)

(1,286,598)

(1,405,460)

(1,529,644)

オペレーティングリース使用権資産

Operating lease right-of-use assets

-

-

-

-

-

-

35,098

32,098

31,863

40,261

投資及びその他の資産

Investments and other assets

224,233

229,468

226,553

255,599

281,524

258,499

220,793

199,243

257,363

276,475

関連会社に対する投資

Investments in affiliates

-

-

-

-

-

-

-

-

-

-

投資

Investments

126,600

94,877

100,131

103,468

87,288

66,697

49,059

41,438

34,618

30,365

無形固定資産

Intangible assets

51,319

59,915

51,708

48,883

54,347

47,526

38,576

33,524

47,141

44,387

のれん

Goodwill

23,257

56,102

53,738

62,102

76,914

78,389

73,032

71,058

118,014

126,839

繰延税金資産

Deferred income taxes

9,496

7,625

11,258

5,259

36,346

42,065

42,220

37,796

26,562

31,885

その他の固定資産

Other

13,561

10,949

9,718

35,887

26,629

23,822

17,906

15,427

31,028

42,999

合計

Total assets

1,243,687

1,431,303

1,517,784

1,634,999

1,797,013

2,048,893

2,250,230

2,462,261

2,809,171

2,872,763

(注)

当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

Note:

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

4 / 27 ページ

連結貸借対照表(連結)

Consolidated Balance Sheets

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2024

資産の部

Assets

2,858,303

3,037,895

流動資産

Current assets

現金及び現金同等物

Cash and cash equivalents

469,406

622,007

営業債権

Trade receivables

270,239

292,736

棚卸資産

Inventories

574,632

513,024

その他の金融資産

Other financial assets

43,014

19,532

その他の流動資産

Other current assets

50,321

52,463

流動資産合計

Total current assets

1,407,612

1,499,762

非流動資産

Non-current assets

有形固定資産

Property, plant and equipment

1,146,222

1,184,608

使用権資産

Right-of-use assets

49,845

59,402

のれん

Goodwill

123,247

137,144

無形資産

Intangible assets

39,375

39,049

持分法で会計処理されている投資

Investments accounted for using equity method

-

87

その他の金融資産

Other financial assets

39,248

47,346

繰延税金資産

Deferred tax assets

42,952

47,454

その他の非流動資産

Other non-current assets

9,802

23,043

非流動資産合計

Total non-current assets

1,450,691

1,538,133

資産合計

Total assets

2,858,303

3,037,895

(注1

20183月期より、新会計基準(ASU2015-17)の適用に伴い繰延税金資産・負債を固定科目に集約させております。

Note 1 :

The Companies adopted ASU 2015-17 which requires that deferred tax liabilities and assets be classified as noncurrent in a classified statement of financial position from the year ended March 31, 2018.

(注2

20243月期より従来の米国会計基準に替えて、国際財務報告基準(以下、IFRS)を任意適用しています。この変更に伴い、当資料に記載の20233月期実績については、米国会計基準からIFRSに組み替えて表示しています。

Note 2:

The Company has voluntarily adopted International Financial Reporting Standards (IFRS) since FY2023 in place of U.S. GAAP, which was previously applied.With this change, the results for FY2022, presented in this material, have been

reclassified from U.S. GAAP to IFRS.

5 / 27 ページ

連結貸借対照表(連結) Consolidated Balance Sheets

(百万円) (Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

負債の部

Liabilities

272,055

292,372

273,805

279,665

339,797

444,353

555,423

540,616

545,259

470,287

流動負債

Current liabilities

173,713

198,534

185,623

208,734

261,812

259,771

284,300

317,911

321,258

303,597

短期借入金

Short-term borrowings

37,885

11,154

6,446

46,118

13,500

23,007

51,000

97

-

-

買掛金

Trade accounts payable

43,387

54,535

56,380

57,918

94,074

75,491

79,330

85,927

93,842

65,597

1年以内償還社債

Current portion of bonds

-

-

-

-

-

-

-

-

-

59,981

未払給与及び賞与

Accrued payroll and bonuses

30,078

36,256

36,456

34,075

38,041

43,485

45,374

52,909

63,997

54,984

未払税金

Income taxes payable

27,909

49,960

28,734

7,240

24,968

38,315

28,294

41,525

59,228

14,184

未払費用及びその他の流動負債

Accrued expenses and other

34,454

46,629

57,607

63,383

91,229

79,473

73,611

130,498

97,816

101,922

オペレーティングリース負債(流動)

Current operating lease liabilities

-

-

-

-

-

-

6,691

6,955

6,375

6,929

固定負債

Long-term liabilities

98,342

93,838

88,182

70,931

77,985

184,582

271,123

222,705

224,001

166,690

社債

Bonds

-

-

-

-

-

99,813

149,764

109,853

109,901

49,968

長期債務

Long-term debt

16,312

9,652

3,301

545

742

594

207

772

1,078

1,496

退職給付引当金

Termination and retirement benefits

70,346

68,679

71,884

59,324

67,843

75,789

84,602

74,005

64,566

63,261

繰延税金負債

Deferred income taxes

9,673

13,957

11,643

9,677

7,675

6,673

5,644

7,603

13,233

10,601

オペレーティングリース負債(固定)

Noncurrent operating lease liabilities

-

-

-

-

-

-

28,408

25,051

25,627

32,626

その他の固定負債

Other

2,011

1,550

1,354

1,385

1,725

1,713

2,498

5,421

9,596

8,738

資本の部

Equity

971,632

1,138,931

1,243,979

1,355,334

1,457,216

1,604,540

1,694,807

1,921,645

2,263,912

2,402,476

株主資本

Murata Corporation's Shareholders' equity

955,760

1,123,090

1,229,159

1,354,819

1,456,600

1,603,976

1,694,104

1,920,805

2,263,596

2,402,511

資本金

Common stock

69,377

69,377

69,377

69,377

69,444

69,444

69,444

69,444

69,444

69,444

資本剰余金

Capital surplus

103,864

103,864

103,865

114,290

120,596

120,702

120,775

120,880

121,004

121,116

利益剰余金

Retained earnings

834,419

970,374

1,131,809

1,241,180

1,336,208

1,493,697

1,616,783

1,786,660

2,024,368

2,186,040

その他の包括利益(損失)累計額

Accumulated other comprehensive income (loss) :

8,385

39,793

(15,532)

(14,219)

(16,052)

(26,273)

(59,335)

(2,627)

102,318

159,405

有価証券未実現損益

Unrealized gains on securities

5,511

7,114

2,945

6,127

7,576

46

(61)

(32)

(43)

(49)

年金負債調整勘定

Pension liability adjustments

(4,688)

(5,511)

(23,587)

(15,652)

(16,995)

(21,574)

(25,999)

(14,814)

(1,963)

2,267

デリバティブ未実現損益

Unrealized gains (losses) on derivative instruments

-

-

-

-

-

-

-

-

-

-

為替換算調整勘定

Foreign currency translation adjustments

7,562

38,190

5,110

(4,694)

(6,633)

(4,745)

(33,275)

12,219

104,324

157,187

自己株式(取得原価)

Treasury stock, at cost

(60,285)

(60,318)

(60,360)

(55,809)

(53,596)

(53,594)

(53,563)

(53,552)

(53,538)

(133,494)

非支配持分

Noncotrolling interests

15,872

15,841

14,820

515

616

564

703

840

316

(35)

合計

Total liabilities and total equity

1,243,687

1,431,303

1,517,784

1,634,999

1,797,013

2,048,893

2,250,230

2,462,261

2,809,171

2,872,763

(注1

Note 1 :

20162月にFASBは、「ASU2016-02(リース)」を公表しました。この基準は、原則として、借手はほとんど全てのリースについて、資産及び負債として連結貸借対照表に計上することを要求しています。なお、連結損益計算書におけ る費用の認識方法は旧基準と類似しております。当社グループは、20203月期よりこの基準を適用しております。この基準に関連する免除措置について、当社グループは基準適用日にすでに終了している、あるいは存在するリース契 約に対し、リースを含むか否かの検討、リース分類、直接コストの資産化について再評価しないという一連の免除措置、短期リースの例外措置を適用しております。また、追加の移行措置である、新基準適用時の比較年度の表示・開 示を修正再表示しない措置、及び新基準適用日にすでに終了している、あるいは存在する借地権のうちリースとして会計処理していない部分について再評価しない措置を適用しております。20203月期の期首における使用権資産 は34,944百万円であり、リース負債もほぼ同額を当社グループの連結貸借対照表の固定資産及び負債に認識しております。この基準の適用による、当社グループの連結損益計算書及び連結キャッシュ・フロー計算書への重要な影響 はありません。

In February 2016, the FASB issued ASU No. 2016-02, "Leases". The ASU requires a lessee to recognize most leases in the consolidated balance sheets. However, guidance over expense recognition in the consolidated statements of income under this ASU is similar to the previous guidance. The Companies adopted the ASU from the fiscal year beginning April 1, 2019. The Companies applied the package of practical expedients which allows a lessee not to reassess whether any existing contracts at or expired contracts prior to the adoption date are or contain leases, lease classification and whether initial direct costs qualify for capitalization, in addition to short-term lease exception. The Companies also adopted a transition method in which no restatement of comparative periods and no reassessment of land easements not previously accounted for as a lease that exist at or expired prior to the adoption date are required. The right-of-use assets recognized at April 1, 2019 is 34,944 million ($320,587 thousand), almost the same as the lease obligations, and are included in noncurrent assets and liabilities in the consolidated balance sheet. The adoption of this guidance did not have a material impact on their consolidated statements of income and cash flows.

(注2当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

Note 2:

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

6 / 27 ページ

連結貸借対照表(連結)

Consolidated Balance Sheets

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2024

負債の部

Liabilities

流動負債

Current liabilities

社債及び借入金

Bonds and borrowings

60,534

50,400

営業債務

Trade payables

65,597

67,620

リース負債

Lease liabilities

7,729

9,256

その他の金融負債

Other financial liabilities

59,857

56,116

未払法人所得税

Income taxes payable

12,755

26,966

繰延収益

Deferred income

854

883

引当金

Provisions

2,859

1,529

その他の流動負債

Other current liabilities

87,723

104,847

流動負債合計

Total current liabilities

297,908

317,617

非流動負債

Non-current liabilities

社債及び借入金

Bonds and borrowings

51,464

2,436

リース負債

Lease liabilities

35,500

43,848

その他の金融負債

Other financial liabilities

2,707

4,131

繰延収益

Deferred income

19,093

20,387

退職給付に係る負債

Retirement benefit liability

70,251

70,679

引当金

Provisions

9,102

8,034

繰延税金負債

Deferred tax liabilities

9,031

10,946

その他の非流動負債

Other non-current liabilities

3,305

4,208

非流動負債合計

Total non-current liabilities

200,453

164,669

負債合計

Total liabilities

498,361

482,286

資本の部

Equity

資本金

Share capital

69,444

69,444

資本剰余金

Capital surplus

121,116

121,231

利益剰余金

Retained earnings

2,246,258

2,332,018

その他の資本の構成要素

Other components of equity

56,661

166,895

自己株式

Treasury shares

(133,494)

(133,441)

親会社の所有者に帰属する持分合計

Equity attributable to owners of parent

2,359,985

2,556,147

非支配持分

Non-controlling interests

(43)

(538)

資本合計

Total equity

2,359,942

2,555,609

負債及び資本合計

Total liabilities and equity

2,858,303

3,037,895

(注)

20243月期より従来の米国会計基準に替えて、国際財務報告基準(以下、IFRS)を任意適用しています。この変更に伴い、当資料に記載の20233月期実績については、米国会計基準からIFRSに組み替えて表示しています。

Note:

The Company has voluntarily adopted International Financial Reporting Standards (IFRS) since FY2023 in place of U.S. GAAP, which was previously applied.With this change, the results for FY2022, presented in this

material, have been reclassified from U.S. GAAP to IFRS.

7 / 27 ページ

連結損益計算書(連結)

Consolidated Statements of Income

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

売上高

Net sales

846,716

1,043,542

1,210,841

1,135,524

1,371,842

1,575,026

1,534,045

1,630,193

1,812,521

1,686,796

売上原価

Cost of sales

554,278

629,206

712,054

703,129

926,929

974,808

952,583

1,007,992

1,044,292

1,010,948

販売費及び一般管理費

Selling, general and administrative

111,898

134,811

145,399

149,371

187,602

231,822

229,587

203,680

232,872

253,722

研究開発費

Research and development

54,649

64,990

77,982

81,809

94,057

101,589

102,486

101,727

111,297

124,239

のれんの減損損失

Impairment losses on goodwill

-

-

-

-

-

-

3,934

3,554

-

-

その他営業収益

Other operating income

-

-

-

-

-

-

7,792

-

-

-

営業利益(損失)

Operating income (loss)

125,891

214,535

275,406

201,215

163,254

266,807

253,247

313,240

424,060

297,887

受取利息及び配当金

Interest and dividend income

4,149

3,360

2,430

2,449

2,854

3,519

4,017

1,667

1,193

6,512

支払利息

Interest expense

(371)

(425)

(138)

(272)

(581)

(422)

(512)

(384)

(318)

(335)

為替差損益

Foreign currency exchange gain (loss)

(849)

18,101

(2,127)

(4,815)

(7,299)

(2,401)

(3,614)

(10,237)

263

992

負ののれん発生益

Gain on bargain purchase

-

-

-

-

6,442

-

-

-

-

-

その他(純額)

Other - net

3,516

2,829

3,602

1,841

3,131

(187)

894

12,131

7,504

9,839

税引前当期純利益(損失)

Income (loss) before income taxes

132,336

238,400

279,173

200,418

167,801

267,316

254,032

316,417

432,702

314,895

法人税等

Income taxes

39,064

71,095

74,952

44,342

21,749

60,357

71,050

79,392

118,823

61,500

持分法投資利益(損失)

Equity in earnings (losses) of affiliates

(81)

-

-

-

-

-

-

-

-

-

当期純利益

Net income

93,191

167,305

204,221

156,076

146,052

206,959

182,982

237,025

313,879

253,395

非支配持分帰属損益

Net income (loss) attributable to

-

(406)

445

16

(34)

29

(30)

(32)

(245)

(295)

noncotrolling interests

当社株主に帰属する当期純利益

Net income attributable to Murata Corporation

93,191

167,711

203,776

156,060

146,086

206,930

183,012

237,057

314,124

253,690

(注)

当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

Note:

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

8 / 27 ページ

連結損益計算書(連結) Consolidated Statements of Income

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

2024

売上収益

Revenue

1,686,796

1,640,158

売上原価

Cost of sales

(1,013,262)

(1,003,361)

売上総利益

Gross profit

673,534

636,797

販売費及び一般管理費

Selling, general and administrative expenses

(255,837)

(243,193)

研究開発費

Research and development expenses

(124,660)

(132,502)

その他の収益

Other income

9,463

7,269

その他の費用

Other expenses

(4,269)

(52,924)

営業利益

Operating profit

298,231

215,447

金融収益

Finance income

7,788

28,392

金融費用

Finance costs

(3,336)

(4,466)

持分法による投資損益(△は損失)

Share of profit (loss) of investments accounted

-

31

for using equity method

税引前当期利益

Profit before tax

302,683

239,404

法人所得税費用

Income tax expense

(59,035)

(59,068)

当期利益

Profit for the period

243,648

180,336

当期利益の帰属

Profit attributable to:

親会社の所有者

Owners of parent

243,946

180,838

非支配持分

Non-controlling interests

(298)

(502)

1株当たり当期利益

Earnings per share

128.64

95.72

基本的1株当たり当期利益(円)

Basic earnings per share

(注1

20243月期より従来の米国会計基準に替えて、国際財務報告基準(以下、IFRS)を任意適用しています。この変更に伴い、当資料に記載の20233月期実績については、米国会計基準からIFRSに組み替えて表示しています。

Note 1:

The Company has voluntarily adopted International Financial Reporting Standards (IFRS) since FY2023 in place of U.S. GAAP, which was previously applied.With this change, the results for FY2022, presented in this material, have

been reclassified from U.S. GAAP to IFRS.

(注2

当社は、202310月1日を効力発生日として、普通株式1株につき3株の割合で株式分割を行っております。前連結会計年度の期首に当該株式分割が行われたと仮定して、「基本的1株当たり当期利益」を算定しております

Note 2:

Basic earnings per share for the year ending March 31,2025 do not include the impact of the stock repurchase and cancellation of treasury stock, which was resolved at the meeting of the Board of Directors held on April 26, 2024.

9 / 27 ページ

連結キャッシュ・フロー計算書(連結)

Consolidated Statements of Cash Flows

(百万円)

(Millions of yen)

3月期 / Years Ended March 31

2014

2015

2016

2017

2018

2019

2020

2021

2022

2023

営業活動によるキャッシュ・フロー

Net cash provided by operating activities

185,751

259,936

252,451

243,920

225,249

279,842

350,334

373,571

421,458

276,278

投資活動によるキャッシュ・フロー

Net cash used in investing activities

(117,150)

(91,379)

(205,316)

(202,697)

(194,165)

(303,741)

(284,431)

(150,275)

(212,300)

(157,850)

財務活動によるキャッシュ・フロー

Net cash used in financing activities

(40,899)

(66,966)

(56,614)

(11,729)

(83,585)

51,546

17,650

(118,189)

(117,505)

(173,708)

換算レート変動による影響

Effect of exchange rate changes on cash and cash equivalents

1,114

(7,539)

9,113

(2,880)

1,227

2,248

962

272

12,720

12,614

現金及び現金同等物の増加(減少)額

Net increase (decrease) in cash and cash equivalents

28,816

94,052

(366)

26,614

(51,274)

29,895

84,515

105,379

104,373

(42,666)

現金及び現金同等物の期首残高

Cash and cash equivalents at beginning of year

90,068

118,884

212,936

212,570

239,184

187,910

217,805

302,320

407,699

512,072

現金及び現金同等物の期末残高

Cash and cash equivalents at end of year

118,884

212,936

212,570

239,184

187,910

217,805

302,320

407,699

512,072

469,406

(現金及び現金同等物の追記)

Additional cash and cash equivalents information:

現金及び預金

Cash

104,467

139,685

150,627

170,929

168,902

181,956

239,656

363,979

370,388

318,557

短期投資

Short-term investments

77,531

146,413

174,228

173,401

30,747

69,781

106,950

64,218

174,074

162,456

3か月を超える短期投資

Short-term investments with the original maturities over three

(63,114)

(73,162)

(112,285)

(105,146)

(11,739)

(33,932)

(44,286)

(20,498)

(32,390)

(11,607)

months

現金及び現金同等物の期末残高

Cash and cash equivalents at end of year

118,884

212,936

212,570

239,184

187,910

217,805

302,320

407,699

512,072

469,406

(注)

当社の連結財務諸表は、米国において一般に公正妥当と認められる企業会計の基準に準拠して作成しております。

Note:

The consolidated financial statements are prepared or presented in accordance with accounting principles generally accepted in the United States of America.

10 / 27 ページ

Attachments

  • Original Link
  • Original Document
  • Permalink

Disclaimer

Murata Manufacturing Co. Ltd. published this content on 28 June 2024 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 June 2024 06:40:18 UTC.