Eisai Co Ltd
TSE:4523
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| 52 Week Range |
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Balance Sheet
Balance Sheet Decomposition
Eisai Co Ltd
Eisai Co Ltd
Balance Sheet
Eisai Co Ltd
| Mar-2002 | Mar-2003 | Mar-2004 | Mar-2005 | Mar-2006 | Mar-2007 | Mar-2008 | Mar-2009 | Mar-2010 | Mar-2011 | Mar-2012 | Mar-2013 | Mar-2014 | Mar-2015 | Mar-2016 | Mar-2017 | Mar-2018 | Mar-2019 | Mar-2020 | Mar-2021 | Mar-2022 | Mar-2023 | Mar-2024 | Mar-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
100 315
|
101 263
|
56 703
|
54 350
|
74 163
|
89 775
|
68 593
|
48 061
|
69 637
|
111 356
|
104 444
|
88 669
|
99 406
|
173 335
|
176 830
|
186 775
|
270 525
|
286 434
|
254 244
|
206 985
|
264 389
|
225 710
|
304 678
|
265 561
|
|
| Cash Equivalents |
100 315
|
101 263
|
56 703
|
54 350
|
74 163
|
89 775
|
68 593
|
48 061
|
69 637
|
111 356
|
104 444
|
88 669
|
99 406
|
173 335
|
176 830
|
186 775
|
270 525
|
286 434
|
254 244
|
206 985
|
264 389
|
225 710
|
304 678
|
265 561
|
|
| Short-Term Investments |
31 177
|
35 335
|
98 189
|
92 696
|
120 021
|
90 279
|
56 287
|
104 018
|
83 823
|
70 301
|
83 737
|
98 788
|
75 432
|
28 421
|
19 542
|
42 875
|
18 663
|
7 543
|
1 555
|
42 022
|
45 676
|
42 180
|
27 646
|
8 509
|
|
| Total Receivables |
129 563
|
148 848
|
131 854
|
141 741
|
148 387
|
161 820
|
171 835
|
191 302
|
206 980
|
195 145
|
197 003
|
185 369
|
173 887
|
174 336
|
147 664
|
154 502
|
151 472
|
156 641
|
180 022
|
160 310
|
207 950
|
187 256
|
217 208
|
220 022
|
|
| Accounts Receivables |
129 563
|
148 848
|
131 854
|
141 741
|
148 387
|
161 820
|
171 835
|
191 302
|
206 980
|
195 145
|
197 003
|
185 369
|
173 887
|
164 616
|
138 529
|
142 520
|
142 890
|
137 336
|
170 063
|
147 387
|
194 046
|
161 162
|
168 840
|
184 472
|
|
| Other Receivables |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
9 720
|
9 135
|
11 982
|
8 582
|
19 305
|
9 959
|
12 923
|
13 904
|
26 094
|
48 368
|
35 550
|
|
| Inventory |
33 623
|
35 061
|
35 108
|
39 465
|
44 949
|
52 757
|
58 090
|
64 516
|
67 553
|
70 806
|
75 195
|
87 620
|
88 123
|
87 641
|
73 677
|
82 876
|
80 932
|
67 890
|
65 735
|
85 118
|
99 008
|
140 417
|
174 651
|
215 905
|
|
| Other Current Assets |
25 752
|
28 472
|
32 334
|
37 327
|
45 078
|
46 577
|
60 760
|
56 876
|
52 048
|
61 748
|
65 456
|
70 281
|
66 568
|
10 991
|
30 087
|
17 127
|
14 313
|
43 169
|
19 849
|
23 909
|
23 583
|
26 639
|
26 001
|
25 683
|
|
| Total Current Assets |
320 430
|
348 979
|
354 188
|
365 579
|
432 598
|
441 208
|
415 565
|
464 773
|
480 041
|
509 356
|
525 835
|
530 727
|
503 416
|
474 724
|
447 800
|
484 155
|
535 905
|
561 677
|
521 405
|
518 344
|
640 606
|
622 202
|
722 983
|
727 659
|
|
| PP&E Net |
112 111
|
111 684
|
116 691
|
122 921
|
128 681
|
133 841
|
147 082
|
155 496
|
156 641
|
149 132
|
143 578
|
142 248
|
131 437
|
132 999
|
104 555
|
103 574
|
103 060
|
105 172
|
144 638
|
160 933
|
169 926
|
166 633
|
164 894
|
158 088
|
|
| PP&E Gross |
112 111
|
111 684
|
116 691
|
122 921
|
128 681
|
133 841
|
147 082
|
155 496
|
156 641
|
149 132
|
143 578
|
142 248
|
131 437
|
132 999
|
104 555
|
103 574
|
103 060
|
105 172
|
144 638
|
160 933
|
169 926
|
166 633
|
164 894
|
158 088
|
|
| Accumulated Depreciation |
158 081
|
165 823
|
170 674
|
179 727
|
189 979
|
198 333
|
203 188
|
213 456
|
226 030
|
234 352
|
242 261
|
255 931
|
215 769
|
219 583
|
190 495
|
200 264
|
197 253
|
193 424
|
200 393
|
214 598
|
229 155
|
233 417
|
254 777
|
267 041
|
|
| Intangible Assets |
14 494
|
16 035
|
15 055
|
37 010
|
43 206
|
16 603
|
74 770
|
70 039
|
63 416
|
56 722
|
54 248
|
57 272
|
56 584
|
127 629
|
104 163
|
112 501
|
107 440
|
98 144
|
106 094
|
106 419
|
95 451
|
89 230
|
85 493
|
75 263
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
45 986
|
342 918
|
314 184
|
262 472
|
211 487
|
184 392
|
178 774
|
178 242
|
183 756
|
174 877
|
173 965
|
164 960
|
172 157
|
168 682
|
171 783
|
191 758
|
208 817
|
236 366
|
233 441
|
|
| Note Receivable |
105
|
98
|
55
|
112
|
61
|
16
|
13
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
65 473
|
66 994
|
82 427
|
89 298
|
105 452
|
111 855
|
89 544
|
60 583
|
64 797
|
54 561
|
39 079
|
34 293
|
33 268
|
42 343
|
43 824
|
54 459
|
47 789
|
53 005
|
39 779
|
43 817
|
44 033
|
52 463
|
57 674
|
64 740
|
|
| Other Long-Term Assets |
44 991
|
47 926
|
47 356
|
47 784
|
37 226
|
42 599
|
54 040
|
83 078
|
74 536
|
65 026
|
57 527
|
46 935
|
42 553
|
92 367
|
98 768
|
102 110
|
89 877
|
81 365
|
81 542
|
87 131
|
97 541
|
124 005
|
126 389
|
127 356
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
45 986
|
342 918
|
314 184
|
262 472
|
211 487
|
184 392
|
178 774
|
178 242
|
183 756
|
174 877
|
173 965
|
164 960
|
172 157
|
168 682
|
171 783
|
191 758
|
208 817
|
236 366
|
233 441
|
|
| Total Assets |
557 604
N/A
|
591 716
+6%
|
615 772
+4%
|
662 704
+8%
|
747 224
+13%
|
792 108
+6%
|
1 123 932
+42%
|
1 148 153
+2%
|
1 101 903
-4%
|
1 046 284
-5%
|
1 004 659
-4%
|
990 249
-1%
|
945 500
-5%
|
1 053 818
+11%
|
973 987
-8%
|
1 030 764
+6%
|
1 049 031
+2%
|
1 071 520
+2%
|
1 062 140
-1%
|
1 088 427
+2%
|
1 239 315
+14%
|
1 263 350
+2%
|
1 393 799
+10%
|
1 386 547
-1%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
16 584
|
16 134
|
15 864
|
15 663
|
24 405
|
19 268
|
18 307
|
19 095
|
20 314
|
22 004
|
26 205
|
26 054
|
26 904
|
27 772
|
27 296
|
34 584
|
36 375
|
31 253
|
31 007
|
28 300
|
29 631
|
33 954
|
23 958
|
36 828
|
|
| Accrued Liabilities |
25 499
|
22 595
|
28 635
|
33 719
|
42 602
|
51 434
|
56 738
|
54 571
|
59 657
|
58 805
|
56 021
|
47 003
|
54 172
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Debt |
1 054
|
35
|
191
|
834
|
413
|
236
|
362 819
|
22 000
|
24 000
|
0
|
6 000
|
7 597
|
6 206
|
238
|
0
|
0
|
11 403
|
9 000
|
0
|
0
|
0
|
31 201
|
24 632
|
52 697
|
|
| Current Portion of Long-Term Debt |
5 483
|
100
|
0
|
0
|
0
|
0
|
150
|
0
|
1 112
|
39 999
|
40 000
|
68 809
|
45 292
|
29 997
|
4 221
|
50 000
|
5 000
|
39 993
|
34 994
|
39 985
|
0
|
10 000
|
0
|
34 994
|
|
| Other Current Liabilities |
97 626
|
107 125
|
90 284
|
99 338
|
110 731
|
120 839
|
105 173
|
145 933
|
115 158
|
104 304
|
79 706
|
66 277
|
61 513
|
151 058
|
123 194
|
139 107
|
188 892
|
215 489
|
185 964
|
187 732
|
283 702
|
223 790
|
255 882
|
247 775
|
|
| Total Current Liabilities |
146 246
|
145 989
|
134 974
|
149 554
|
178 151
|
191 777
|
543 187
|
241 599
|
220 241
|
225 112
|
207 932
|
215 740
|
194 087
|
209 065
|
154 711
|
223 691
|
241 670
|
295 735
|
251 965
|
256 017
|
313 333
|
298 945
|
304 472
|
372 294
|
|
| Long-Term Debt |
100
|
0
|
0
|
0
|
0
|
0
|
50 830
|
399 700
|
387 186
|
339 882
|
299 308
|
237 618
|
195 874
|
205 846
|
203 593
|
163 474
|
156 738
|
89 905
|
54 945
|
49 908
|
94 893
|
84 904
|
134 773
|
99 832
|
|
| Deferred Income Tax |
865
|
344
|
321
|
95
|
91
|
96
|
40 249
|
27 679
|
23 786
|
24 802
|
23 019
|
19 638
|
17 511
|
514
|
287
|
448
|
496
|
282
|
569
|
511
|
483
|
664
|
704
|
732
|
|
| Minority Interest |
9 184
|
9 332
|
8 598
|
8 983
|
9 296
|
9 938
|
4 374
|
4 479
|
5 063
|
5 329
|
5 643
|
3 853
|
3 079
|
3 313
|
3 168
|
17 961
|
20 516
|
23 862
|
24 503
|
24 759
|
22 712
|
22 612
|
23 361
|
24 551
|
|
| Other Liabilities |
39 146
|
47 802
|
52 417
|
44 466
|
40 472
|
37 537
|
35 875
|
46 132
|
48 951
|
46 119
|
50 973
|
42 950
|
27 087
|
36 332
|
38 568
|
40 560
|
36 029
|
33 617
|
52 031
|
55 631
|
59 072
|
56 266
|
54 875
|
47 721
|
|
| Total Liabilities |
195 541
N/A
|
203 467
+4%
|
196 310
-4%
|
203 098
+3%
|
228 010
+12%
|
239 348
+5%
|
674 515
+182%
|
719 589
+7%
|
685 227
-5%
|
641 244
-6%
|
586 875
-8%
|
519 799
-11%
|
437 638
-16%
|
455 070
+4%
|
400 327
-12%
|
446 134
+11%
|
455 449
+2%
|
443 401
-3%
|
384 013
-13%
|
386 826
+1%
|
490 493
+27%
|
463 391
-6%
|
518 185
+12%
|
545 130
+5%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
44 888
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 985
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
44 986
|
|
| Retained Earnings |
275 051
|
302 669
|
342 830
|
387 077
|
429 025
|
469 926
|
416 517
|
423 918
|
424 497
|
449 280
|
465 166
|
470 796
|
460 986
|
387 967
|
394 974
|
394 981
|
414 966
|
438 489
|
505 359
|
506 403
|
506 583
|
522 774
|
526 490
|
511 917
|
|
| Additional Paid In Capital |
55 125
|
55 222
|
55 222
|
55 222
|
55 222
|
55 222
|
56 966
|
56 949
|
56 928
|
56 910
|
56 898
|
56 860
|
56 962
|
58 040
|
58 232
|
77 652
|
77 563
|
77 590
|
77 609
|
77 628
|
77 605
|
78 813
|
78 863
|
74 843
|
|
| Unrealized Security Profit/Loss |
115
|
1 424
|
8 682
|
9 374
|
20 327
|
19 859
|
9 509
|
1 125
|
4 884
|
69
|
1 241
|
4 344
|
13 206
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
14 353
|
14 551
|
25 987
|
32 144
|
31 913
|
42 219
|
39 694
|
39 683
|
39 574
|
39 499
|
39 422
|
39 031
|
38 600
|
37 308
|
0
|
35 888
|
35 271
|
34 671
|
34 338
|
34 049
|
33 936
|
33 638
|
33 612
|
42 294
|
|
| Other Equity |
1 465
|
1 502
|
6 273
|
4 908
|
1 567
|
4 984
|
38 868
|
58 730
|
75 045
|
106 706
|
111 085
|
67 504
|
29 677
|
145 063
|
111 699
|
102 899
|
91 338
|
101 725
|
84 511
|
106 633
|
153 584
|
187 024
|
258 887
|
251 965
|
|
| Total Equity |
362 061
N/A
|
388 247
+7%
|
419 459
+8%
|
459 606
+10%
|
519 213
+13%
|
552 757
+6%
|
449 415
-19%
|
428 564
-5%
|
416 675
-3%
|
405 039
-3%
|
417 783
+3%
|
470 450
+13%
|
507 862
+8%
|
598 748
+18%
|
573 660
-4%
|
584 630
+2%
|
593 582
+2%
|
628 119
+6%
|
678 127
+8%
|
701 601
+3%
|
748 822
+7%
|
799 959
+7%
|
875 614
+9%
|
841 417
-4%
|
|
| Total Liabilities & Equity |
557 602
N/A
|
591 714
+6%
|
615 769
+4%
|
662 704
+8%
|
747 223
+13%
|
792 105
+6%
|
1 123 930
+42%
|
1 148 153
+2%
|
1 101 902
-4%
|
1 046 283
-5%
|
1 004 658
-4%
|
990 249
-1%
|
945 500
-5%
|
1 053 818
+11%
|
973 987
-8%
|
1 030 764
+6%
|
1 049 031
+2%
|
1 071 520
+2%
|
1 062 140
-1%
|
1 088 427
+2%
|
1 239 315
+14%
|
1 263 350
+2%
|
1 393 799
+10%
|
1 386 547
-1%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
292
|
292
|
288
|
286
|
286
|
284
|
285
|
285
|
285
|
285
|
285
|
285
|
285
|
286
|
286
|
286
|
286
|
287
|
287
|
287
|
287
|
287
|
287
|
282
|
|