Rok finansowy |
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 |
2024 |
Aktywa (mln) |
6 305 108.9016 |
6 598 746.2822 |
7 897 498.23648 |
8 200 002.40384 |
8 359 228.44954 |
9 112 802.8055 |
9 503 726.68322 |
10 606 520.87685 |
11 716 362.0 |
12 552 739.0 |
12 013 511.0 |
12 866 114.0 |
12 924 988.0 |
13 295 667.0 |
14 206 292.0 |
15 333 720.0 |
15 834 331.0 |
16 673 390.0 |
17 660 556.0 |
19 065 538.0 |
20 981 586.0 |
23 039 343.0 |
26 354 840.0 |
30 480 967.0 |
32 041 222.0 |
34 107 490.0 |
Aktywa trwałe (mln) |
3 232 821.2119 |
3 560 110.9086 |
4 389 124.43508 |
4 856 922.45597 |
5 209 343.47554 |
5 741 242.9985 |
5 945 847.62128 |
6 837 453.02295 |
7 169 639.0 |
7 543 076.0 |
8 392 876.0 |
8 733 242.0 |
9 080 942.0 |
9 540 705.0 |
10 559 759.0 |
11 128 834.0 |
11 636 430.0 |
12 476 663.0 |
13 304 834.0 |
13 889 442.0 |
15 734 974.0 |
17 304 198.0 |
19 136 096.0 |
24 945 759.0 |
27 609 568.0 |
27 330 684.0 |
Rzeczowe aktywa trwałe netto |
1 250 922.9356 |
1 217 118.761 |
1 446 983.50098 |
1 414 160.1656 |
1 276 588.21362 |
1 368 327.84375 |
1 373 009.53944 |
1 388 418.1002 |
1 421 531.0 |
1 243 349.0 |
1 175 863.0 |
1 007 951.0 |
924 868.0 |
930 998.0 |
861 550.0 |
750 010.0 |
739 285.0 |
820 818.0 |
758 199.0 |
739 470.0 |
777 053.0 |
1 301 254.0 |
1 362 528.0 |
1 526 643.0 |
3 167 791.0 |
2 026 035.0 |
Wartość firmy |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
298 964.223 |
304 669.0 |
304 423.0 |
443 958.0 |
438 869.0 |
469 005.0 |
576 758.0 |
643 243.0 |
691 803.0 |
561 255.0 |
606 290.0 |
522 538.0 |
530 492.0 |
768 552.0 |
783 888.0 |
827 149.0 |
952 895.0 |
1 275 112.0 |
1 487 100.0 |
Wartości niematerialne i prawne |
263 427.4118 |
496 609.1154 |
531 048.24147 |
563 803.32918 |
547 985.6069 |
527 210.20235 |
471 181.18684 |
207 038.60955 |
233 255.0 |
263 490.0 |
396 348.0 |
378 917.0 |
391 122.0 |
503 699.0 |
527 507.0 |
675 663.0 |
642 361.0 |
615 754.0 |
584 185.0 |
527 168.0 |
917 966.0 |
906 310.0 |
996 305.0 |
450 103.0 |
563 842.0 |
2 543 715.0 |
Wartość firmy i wartości niematerialne i prawne |
263 427.4118 |
496 609.1154 |
531 048.24147 |
563 803.32918 |
547 985.6069 |
527 210.20235 |
471 181.18684 |
506 002.83255 |
537 924.0 |
567 913.0 |
840 306.0 |
817 786.0 |
860 127.0 |
1 080 457.0 |
1 170 750.0 |
1 367 466.0 |
1 203 616.0 |
1 222 044.0 |
1 106 723.0 |
1 057 660.0 |
1 686 518.0 |
1 690 198.0 |
1 823 454.0 |
1 402 998.0 |
1 838 954.0 |
4 030 815.0 |
Należności netto |
1 014 528.98785 |
1 023 119.5866 |
1 306 749.43674 |
1 244 966.00293 |
1 116 380.58086 |
1 126 563.8613 |
1 113 613.2511 |
985 404.9114 |
1 369 777.0 |
1 090 285.0 |
853 454.0 |
891 625.0 |
743 690.0 |
971 959.0 |
924 634.0 |
1 048 725.0 |
1 131 849.0 |
1 059 650.0 |
1 177 443.0 |
1 203 485.0 |
1 289 422.0 |
1 191 026.0 |
1 353 393.0 |
1 628 521.0 |
1 777 939.0 |
2 158 196.0 |
Inwestycje długoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
3 888 736.0 |
4 335 648.0 |
4 798 430.0 |
5 299 393.0 |
5 892 655.0 |
6 319 476.0 |
7 317 125.0 |
7 919 011.0 |
8 531 353.0 |
9 234 083.0 |
10 111 793.0 |
10 756 058.0 |
11 724 651.0 |
12 734 132.0 |
14 263 995.0 |
19 409 907.0 |
19 603 292.0 |
17 880 514.0 |
Aktywa obrotowe |
3 072 287.6897 |
3 038 635.3736 |
3 508 373.8014 |
3 343 079.94787 |
3 149 884.974 |
3 371 559.807 |
3 557 879.06194 |
3 769 067.8539 |
4 546 723.0 |
5 009 663.0 |
3 620 635.0 |
4 132 872.0 |
3 844 046.0 |
3 754 962.0 |
3 646 533.0 |
4 204 886.0 |
4 197 901.0 |
4 196 727.0 |
4 355 722.0 |
5 176 096.0 |
5 246 612.0 |
5 735 145.0 |
7 218 744.0 |
5 535 208.0 |
5 776 518.0 |
6 776 806.0 |
Środki pieniężne i Inwestycje |
710 849.10535 |
711 056.296 |
703 566.40683 |
847 432.82104 |
953 223.6176 |
1 126 668.11485 |
1 241 434.82022 |
1 239 995.31075 |
1 293 214.0 |
1 514 140.0 |
1 127 701.0 |
1 771 101.0 |
1 660 583.0 |
1 575 489.0 |
1 523 958.0 |
1 879 032.0 |
1 886 144.0 |
1 930 009.0 |
2 011 583.0 |
2 762 930.0 |
2 794 611.0 |
3 360 129.0 |
4 689 420.0 |
2 559 610.0 |
1 920 207.0 |
2 330 080.0 |
Zapasy |
878 647.1267 |
832 922.3028 |
951 245.99511 |
674 650.09404 |
624 904.14634 |
668 161.00195 |
631 601.5454 |
804 613.9482 |
940 875.0 |
1 021 595.0 |
813 068.0 |
645 455.0 |
704 043.0 |
707 052.0 |
710 054.0 |
733 943.0 |
665 432.0 |
683 146.0 |
640 835.0 |
692 937.0 |
653 278.0 |
589 969.0 |
637 391.0 |
874 007.0 |
1 468 042.0 |
1 518 644.0 |
Inwestycje krótkoterminowe |
118 018.33865 |
104 192.3532 |
90 925.14417 |
162 415.76338 |
241 137.26168 |
275 437.8791 |
461 959.16088 |
536 958.5769 |
493 315.0 |
427 709.0 |
466 912.0 |
579 493.0 |
646 171.0 |
680 913.0 |
697 597.0 |
832 566.0 |
936 731.0 |
946 397.0 |
1 051 441.0 |
1 176 601.0 |
1 324 538.0 |
1 847 772.0 |
2 902 438.0 |
509 974.0 |
439 307.0 |
422 967.0 |
Środki pieniężne i inne aktywa pieniężne |
592 830.7667 |
606 863.9428 |
612 641.26266 |
685 017.05766 |
712 086.35592 |
851 230.23575 |
779 475.65934 |
703 036.73385 |
799 899.0 |
1 086 431.0 |
660 789.0 |
1 191 608.0 |
1 014 412.0 |
894 576.0 |
826 361.0 |
1 046 466.0 |
949 413.0 |
983 612.0 |
960 142.0 |
1 586 329.0 |
1 470 073.0 |
1 512 357.0 |
1 786 982.0 |
2 049 636.0 |
1 480 900.0 |
1 907 113.0 |
Należności krótkoterminowe |
671 311.17555 |
660 604.1802 |
814 669.1142 |
871 090.76366 |
862 974.1043 |
814 115.97195 |
746 876.8699 |
854 755.1919 |
2 148 451.0 |
0.0 |
1 597 625.0 |
1 820 315.0 |
1 013 037.0 |
1 831 921.0 |
572 102.0 |
712 829.0 |
622 215.0 |
550 964.0 |
539 900.0 |
468 550.0 |
492 124.0 |
380 810.0 |
599 569.0 |
1 843 242.0 |
1 865 993.0 |
2 064 905.0 |
Dług krótkoterminowy |
852 209.1134 |
994 554.0302 |
1 292 751.25227 |
1 123 752.27445 |
854 951.92534 |
1 256 880.7988 |
1 036 727.29048 |
1 149 482.1267 |
95 461.0 |
355 103.0 |
451 155.0 |
1 101 725.0 |
956 626.0 |
1 169 041.0 |
244 182.0 |
377 754.0 |
221 525.0 |
336 940.0 |
518 079.0 |
721 615.0 |
791 079.0 |
908 925.0 |
1 392 929.0 |
2 147 962.0 |
2 102 876.0 |
2 030 316.0 |
Zobowiązania krótkoterminowe |
1 944 384.87905 |
2 094 225.1978 |
2 670 248.26998 |
2 562 899.48057 |
2 431 781.98386 |
2 989 470.54625 |
2 810 680.49346 |
3 199 858.8057 |
3 551 852.0 |
4 023 367.0 |
3 810 900.0 |
4 059 925.0 |
4 126 979.0 |
4 529 981.0 |
4 315 089.0 |
4 783 614.0 |
4 745 590.0 |
4 830 750.0 |
5 221 739.0 |
5 620 541.0 |
6 079 815.0 |
6 240 443.0 |
7 815 424.0 |
8 760 150.0 |
9 308 936.0 |
10 192 045.0 |
Rozliczenia międzyokresowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
752 367.0 |
1 144 399.0 |
1 326 360.0 |
1 509 488.0 |
1 647 752.0 |
0.0 |
1 857 448.0 |
1 890 023.0 |
1 872 965.0 |
1 912 673.0 |
2 071 091.0 |
2 159 246.0 |
2 302 314.0 |
2 440 783.0 |
2 773 885.0 |
2 886 361.0 |
3 163 237.0 |
0.0 |
Zobowiązania długoterminowe |
2 399 071.07175 |
2 355 014.3422 |
2 872 023.90198 |
3 239 144.49209 |
3 627 676.515 |
3 716 639.0575 |
3 797 544.50404 |
4 166 078.21775 |
4 754 836.0 |
4 787 434.0 |
4 986 009.0 |
5 520 634.0 |
5 842 107.0 |
6 255 565.0 |
7 207 028.0 |
7 762 850.0 |
8 155 024.0 |
8 710 752.0 |
9 291 337.0 |
9 788 630.0 |
10 456 280.0 |
12 001 598.0 |
12 909 761.0 |
14 523 568.0 |
15 443 964.0 |
16 159 340.0 |
Rezerwy z tytułu odroczonego podatku |
120 995.5924 |
178 380.5968 |
176 679.78777 |
159 890.47737 |
158 909.92734 |
96 434.53375 |
72 274.94764 |
216 454.80555 |
261 102.0 |
268 600.0 |
188 359.0 |
236 521.0 |
306 227.0 |
284 499.0 |
373 999.0 |
410 896.0 |
445 876.0 |
450 926.0 |
432 824.0 |
449 863.0 |
531 421.0 |
549 538.0 |
366 761.0 |
696 492.0 |
356 324.0 |
166 424.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
33684.0 |
383778.0 |
363621.0 |
220113.0 |
192952.0 |
0.0 |
Zobowiązania ogółem |
4 343 455.9508 |
4 449 239.54 |
5 542 272.17196 |
5 802 043.97266 |
6 059 458.49886 |
6 706 109.60375 |
6 608 224.9975 |
7 365 937.02345 |
8 306 688.0 |
8 810 801.0 |
8 796 909.0 |
9 580 559.0 |
9 969 086.0 |
10 785 546.0 |
11 522 117.0 |
12 546 464.0 |
12 900 614.0 |
13 541 502.0 |
14 513 076.0 |
15 409 171.0 |
16 536 095.0 |
18 242 041.0 |
20 725 185.0 |
23 283 718.0 |
24 752 900.0 |
26 351 385.0 |
Kapitał własny |
1 825 413.8192 |
2 116 009.0034 |
2 336 057.37948 |
2 374 566.30814 |
2 277 826.93176 |
2 383 757.42075 |
2 871 695.9908 |
3 203 507.58165 |
3 370 704.0 |
3 465 089.0 |
2 964 653.0 |
2 965 905.0 |
2 547 987.0 |
2 028 891.0 |
2 197 766.0 |
2 258 137.0 |
2 317 077.0 |
2 463 340.0 |
2 497 246.0 |
3 656 367.0 |
4 445 491.0 |
4 797 302.0 |
5 629 655.0 |
7 197 249.0 |
7 288 322.0 |
7 756 105.0 |
Udziały mniejszościowe |
136 239.1316 |
33 497.7388 |
19 168.68504 |
23 392.12304 |
21 943.01892 |
22 935.781 |
23 805.69492 |
37 076.27175 |
38 970.0 |
276 849.0 |
251 949.0 |
319 650.0 |
407 915.0 |
481 230.0 |
486 409.0 |
529 119.0 |
616 640.0 |
668 548.0 |
650 234.0 |
689 001.0 |
699 114.0 |
671 996.0 |
53 816.0 |
52 778.0 |
58 613.0 |
168 928.0 |
Pasywa |
6 305 108.9016 |
6 598 746.2822 |
7 897 498.23648 |
8 200 002.40384 |
8 359 228.44954 |
9 112 802.8055 |
9 503 726.68322 |
10 606 520.87685 |
11 716 362.0 |
12 552 739.0 |
12 013 511.0 |
12 866 114.0 |
12 924 988.0 |
13 295 667.0 |
14 206 292.0 |
15 333 720.0 |
15 834 331.0 |
16 673 390.0 |
17 660 556.0 |
19 065 538.0 |
20 981 586.0 |
23 039 343.0 |
26 354 840.0 |
30 480 967.0 |
32 041 222.0 |
34 107 490.0 |
Inwestycje |
118 018.33865 |
104 192.3532 |
90 925.14417 |
162 415.76338 |
241 137.26168 |
275 437.8791 |
461 959.16088 |
536 958.5769 |
4 382 051.0 |
4 763 357.0 |
5 265 342.0 |
5 878 886.0 |
6 538 826.0 |
7 000 389.0 |
8 014 722.0 |
8 751 577.0 |
9 468 084.0 |
10 180 480.0 |
11 163 234.0 |
11 932 659.0 |
13 049 189.0 |
14 581 904.0 |
17 166 433.0 |
19 919 881.0 |
20 042 599.0 |
18 303 481.0 |
Dług (mln) |
1 890 675.2214 |
1 783 497.7066 |
2 143 866.09 |
1 963 875.05704 |
1 661 298.88404 |
2 036 384.59215 |
1 716 047.45858 |
1 914 312.6468 |
1 096 466.0 |
1 084 162.0 |
1 111 302.0 |
2 025 932.0 |
1 768 861.0 |
1 931 267.0 |
1 182 610.0 |
1 294 402.0 |
933 612.0 |
893 545.0 |
1 199 541.0 |
1 345 066.0 |
1 359 451.0 |
1 858 727.0 |
2 456 482.0 |
3 351 608.0 |
4 063 524.0 |
4 088 433.0 |
Środki pieniężne i inne aktywa pieniężne |
592 830.7667 |
606 863.9428 |
612 641.26266 |
685 017.05766 |
712 086.35592 |
851 230.23575 |
779 475.65934 |
703 036.73385 |
799 899.0 |
1 086 431.0 |
660 789.0 |
1 191 608.0 |
1 014 412.0 |
894 576.0 |
826 361.0 |
1 046 466.0 |
949 413.0 |
983 612.0 |
960 142.0 |
1 586 329.0 |
1 470 073.0 |
1 512 357.0 |
1 786 982.0 |
2 049 636.0 |
1 480 900.0 |
1 907 113.0 |
Dług netto |
1 297 844.4547 |
1 176 633.7638 |
1 531 224.82734 |
1 278 857.99938 |
949 212.52812 |
1 185 154.3564 |
936 571.79924 |
1 211 275.91295 |
296 567.0 |
(2 269.0) |
450 513.0 |
834 324.0 |
754 449.0 |
1 036 691.0 |
356 249.0 |
247 936.0 |
(15 801.0) |
(90 067.0) |
239 399.0 |
(241 263.0) |
(110 622.0) |
346 370.0 |
669 500.0 |
1 301 972.0 |
2 582 624.0 |
2 181 320.0 |
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