Suzuyo Shinwart Corporation

TSE:9360 Stok Raporu

Piyasa değeri: JP¥6.0b

Suzuyo Shinwart Bilanço Sağlığı

Finansal Sağlık kriter kontrolleri 6/6

Suzuyo Shinwart has a total shareholder equity of ¥3.5B and total debt of ¥1.2B, which brings its debt-to-equity ratio to 34.9%. Its total assets and total liabilities are ¥10.8B and ¥7.3B respectively. Suzuyo Shinwart's EBIT is ¥1.1B making its interest coverage ratio 63.2. It has cash and short-term investments of ¥1.8B.

Anahtar bilgiler

34.9%

Borç/özkaynak oranı

JP¥1.23b

Borç

Faiz karşılama oranı63.2x
NakitJP¥1.85b
EşitlikJP¥3.53b
Toplam yükümlülüklerJP¥7.28b
Toplam varlıklarJP¥10.81b

Son finansal sağlık güncellemeleri

Recent updates

Slammed 33% Suzuyo Shinwart Corporation (TSE:9360) Screens Well Here But There Might Be A Catch

Aug 06
Slammed 33% Suzuyo Shinwart Corporation (TSE:9360) Screens Well Here But There Might Be A Catch

The Strong Earnings Posted By Suzuyo Shinwart (TSE:9360) Are A Good Indication Of The Strength Of The Business

May 22
The Strong Earnings Posted By Suzuyo Shinwart (TSE:9360) Are A Good Indication Of The Strength Of The Business

Suzuyo Shinwart Corporation (TSE:9360) Soars 47% But It's A Story Of Risk Vs Reward

Apr 02
Suzuyo Shinwart Corporation (TSE:9360) Soars 47% But It's A Story Of Risk Vs Reward

Suzuyo Shinwart (TSE:9360) Has A Pretty Healthy Balance Sheet

Mar 06
Suzuyo Shinwart (TSE:9360) Has A Pretty Healthy Balance Sheet

Finansal Durum Analizi

Kısa Vadeli Yükümlülükler: 9360's short term assets (¥4.6B) exceed its short term liabilities (¥3.4B).

Uzun Vadeli Yükümlülükler: 9360's short term assets (¥4.6B) exceed its long term liabilities (¥3.8B).


Borç-Özkaynak Tarihçesi ve Analizi

Borç Seviyesi: 9360 has more cash than its total debt.

Borcun Azaltılması: 9360's debt to equity ratio has reduced from 163% to 34.9% over the past 5 years.

Borç Kapsamı: 9360's debt is well covered by operating cash flow (144.2%).

Faiz Kapsamı: 9360's interest payments on its debt are well covered by EBIT (63.2x coverage).


Bilanço


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