Transcript
Financial Data 2011 Fin Contents 01
業績の推移
03
セグメント情報
06
収益性
07
効率性
08
安定性・安全性
09
連結貸借対照表
11
連結損益計算書
Performance Trends Segment Information Profitability Efficiency Stability and Soundness Consolidated Balance Sheets Consolidated Statements of Operations 連結包括利益計算書
Consolidated Statements of Comprehensive Income
12
連結キャッシュ・フロー計算書
13
株式情報
14
投資家情報
Consolidated Statements of Cash Flows Stock Information Investor Information
業績の推移
Performance Trends
財務ハイライト Financial Highlights 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
会計年度: 売上高 営業利益 当期純利益 (損失) 包括利益 設備投資額 減価償却費 研究開発費 会計年度末: 総資産 純資産 有利子負債 営業活動によるキャッシュ・フロー 投資活動によるキャッシュ・フロー フリー・キャッシュ・フロー 財務活動によるキャッシュ・フロー : 1株当たり情報(円/米ドル) 当期純利益 (損失) 純資産 配当金 配当金総額 連結配当性向 (%) 従業員数 (人)
For the year: Net sales Operating income Net income (loss) Comprehensive income Capital expenditures Depreciation expenses R&D expenses At year-end: Total assets Net assets Interest-bearing liabilities Cash flows from operating activities Cash flows from investing activities Free cash flows Cash flows from financing activities Per share (Yen/U.S. dollars): Net income (loss) per share Net assets per share Dividends per share Total dividends paid Dividend payout ratio (%) Number of employees
2007/3
2008/3
2009/3
2010/3
2011/3
2011/3
550,361 27,685 27,866 — 25,152 19,956 24,220
548,754 32,845 39,558 — 24,394 20,289 24,865
459,284 13,845 (20,615) — 22,581 17,912 23,218
414,811 6,828 (4,921) — 14,480 14,139 21,736
373,866 13,165 5,078 (2,376) 10,439 12,814 22,416
4,496.28 158.33 61.07 (28.57) 125.54 154.11 269.59
559,031 351,398 25,551 39,732 (22,427) 17,305 (8,246)
540,347 343,028 21,036 37,225 41,999 79,225 (19,314)
408,974 251,841 19,192 (2,235) (25,999) (28,234) (31,041)
402,152 254,591 15,017 39,870 (12,711) 27,159 (9,867)
390,852 245,002 11,838 22,646 (9,740) 12,906 (10,080)
4,700.57 2,946.51 142.37 272.35 (117.14) 155.21 (121.23)
135.19 1,680.91 22.50 4,641 16.6 25,992
191.76 1,646.44 50.00 10,314 26.1 26,517
(103.73) 1,262.42 42.50 8,382 — 26,803
(24.95) 25.90 1,276.35 1,250.06 27.50 10.00 5,423 1,954 — 38.6 25,658 26,816
0.31 15.03 0.12 23.50
* 米ドル金額は、2011年3月31日の為替相場1米ドル=83 . 15円で換算しています。 * Throughout this financial data, U.S. dollar amounts are translated from yen at the rate of ¥ 83 . 15 =U.S.$ 1 . 00 , the approximate rate prevailing on March 31 , 2011 . * 2008年3月期から 2010年3月期までの「1株当たり配当金」は、それぞれ特別配当20円を含みます。 * A special dividend of ¥ 20 is included in the dividends per share from the years ended March 31 , 2008 to March 31 , 2010 . 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
2007/3
2008/3
Net sales by business segment Musical instruments 325,989 340,021 AV/IT 72,823 70,814 Electronic devices 54,809 45,000 Others 32,365 36,044 Lifestyle-related products 46,573 45,520 Recreation 17,800 11,353 Sales by region Japan 291,228 276,614 North America 93,676 89,903 Europe 97,299 104,114 Asia, Oceania, and other areas 68,157 78,121 Overseas sales ratio (%) 47.1 49.6 * 電子機器・金属事業は、電子金属事業の譲渡に伴い、2009年3月期より電子部品事業と名称変更しました。
事業別売上高 楽器 AV・IT 電子部品 その他 リビング レクリェーション 地域別売上高 日本 北米 欧州 アジア・オセアニア・その他の地域 海外売上高比率 (%)
2009/3
2010/3
2011/3
2011/3
306,630 56,722 21,975 30,833 43,121 —
276,252 54,409 19,745 27,461 36,942 —
271,124 57,023 20,610 25,108 — —
3,260.66 685.78 247.87 301.96 — —
234,844 66,392 86,810 71,237 48.9
218,406 57,668 70,284 68,452 47.3
179,574 54,635 64,678 74,978 52.0
2,159.64 657.07 777.85 901.72
* Following the handover of the electronic metal products business, the electronic equipment and metal products segment was renamed the electronic devices
segment starting from the year ended March 31 , 2009 . * レクリェーション施設の一部譲渡に伴い、2009年3月期よりその他の事業にレクリェーション事業を含めています。また、2010年3月末でマグネシウム成形部品事業より撤退しました。 * Following the handover of a portion of the resort facilities, figures of the others from the year ended March 31 , 2009 include that of the recreation. The magnesium
molded parts business was terminated as of March 31 , 2010 . * リビング事業は、2010年3月31日付け一部株式譲渡に伴い、2011年3月期より連結対象から外れました。 * Following the handover of the lifestyle-related products business on March 31 , 2010 , this segment has been excluded from the consolidation from the year ended
March 31 , 2011 . 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上原価 売上原価率 (%) 売上総利益 販売費及び一般管理費 人件費 広告費及び販売促進費
1
Yamaha Corporation
Cost of sales Cost of sales ratio (%) Gross profit SG&A expenses Personnel expenses Advertising & sales promotion expenses
2007/3
2008/3
2009/3
2010/3
2011/3
2011/3
352,382 64.0 197,980 170,295 72,701 26,388
343,686 62.6 205,066 172,220 71,705 29,033
290,381 63.2 168,902 155,057 68,069 22,855
268,380 64.7 146,431 139,602 66,333 18,130
237,313 63.5 136,553 123,387 57,927 16,063
2,854.03 1,642.25 1,483.91 696.66 193.18
売上高
地域別売上高(2011年3月期)
売上原価
Net Sales
Sales by Region (Year ended March 31, 2011)
Cost of Sales
(百万円)(Millions of yen)
(百万円)(Millions of yen)
(百万円)(Millions of yen)
アジア・オセアニア・その他の地域
600,000
400,000
Asia, Oceania, and other areas
20.1% 400,000
日本
欧州
200,000
Europe
Japan
17.3%
48.0%
300,000
200,000
北米
North America
14.6% 0
100,000
07/3 08/3 09/3 10/3 11/3
■ レクリェーション Recreation ■ リビング Lifestyle-related products ■ その他 Others ■ 電子部品 Electronic devices ■ AV · IT AV/IT ■ 楽器 Musical instruments
■ 日本 Japan ■ 北米 North America ■ 欧州 Europe ■ アジア・オセアニア・その他の地域
販売費及び一般管理費
営業利益/当期純利益(損失)
設備投資額/減価償却費
SG&A Expenses
Operating Income/Net Income (Loss)
Capital Expenditures/ Depreciation Expenses
(百万円)(Millions of yen)
200,000
0
07/3 08/3 09/3 10/3 11/3
Asia, Oceania, and other areas
(百万円)(Millions of yen)
(百万円)(Millions of yen)
40,000
30,000
20,000
20,000
0
10,000
150,000
100,000
50,000
0
07/3 08/3 09/3 10/3 11/3
-20,000
07/3 08/3 09/3 10/3 11/3
0
07/3 08/3 09/3 10/3 11/3
■ その他 Others ■ 広告費及び販売促進費 Advertising & sales promotion expenses ■ 人件費 Personnel expenses
■ 営業利益 Operating income ■ 当期純利益(損失) Net income (loss)
■ 設備投資額 Capital expenditures ■ 減価償却費 Depreciation expenses
研究開発費
1株当たり純資産 Net Assets per Share
1株当たり配当金 Dividends per Share
R&D Expenses (百万円)(Millions of yen)
30,000
(円)(Yen)
(円)(Yen)
2,000
60
1,500 20,000
40 1,000
10,000
20 500
0
07/3 08/3 09/3 10/3 11/3
0
07/3 08/3 09/3 10/3 11/3
0
07/3 08/3 09/3 10/3 11/3
* 2008年3月期から 2010年3月期までの「1株当たり配当金」は、それ ぞれ特別配当20円を含みます。 * A special dividend of ¥ 20 is included in the dividends per
share from the years ended March 31, 2008 to March 31, 2010.
Financial Data 2011
2
セグメント情報
Segment Information
楽器 Musical Instruments
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業利益 売上高営業利益率 (%) 設備投資額 減価償却費 研究開発費
Sales Operating income Operating income to sales (%) Capital expenditures Depreciation expenses R&D expenses
2007/3
2008/3
2009/3
2010/3
2011/3
325,989 22,037 6.8 14,817 9,242 11,437
340,021 27,924 8.2 16,472 10,156 11,597
306,630 19,198 6.3 14,793 10,042 10,780
276,252 5,117 1.9 11,663 9,511 9,910
271,124 8,616 3.2 8,008 9,678 11,557
2011/3
3,260.66 103.62 96.31 116.39 138.99
売上高
営業利益/売上高営業利益率
設備投資額/研究開発費
Sales
Operating Income/ Operating Income to Sales
Capital Expenditures/R&D Expenses
(百万円)(Millions of yen)
400,000
(百万円)(Millions of yen)
(% )
30,000
12.0
20,000
8.0
(百万円)(Millions of yen)
20,000
300,000
15,000
200,000
10,000 10,000
4.0 5,000
100,000
0
07/3 08/3 09/3 10/3 11/3
0
0
0
07/3 08/3 09/3 10/3 11/3
■ 営業利益 Operating income 売上高営業利益率 Operating income to sales
07/3 08/3 09/3 10/3 11/3
■ 設備投資額 Capital expenditures ■ 研究開発費 R&D expenses
AV・IT AV/IT
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業利益 (損失) 売上高営業利益 (損失) 率 (%) 設備投資額 減価償却費 研究開発費
2007/3
Sales Operating income (loss) Operating income (loss) to sales (%) Capital expenditures Depreciation expenses R&D expenses
72,823 2,137 2.9 1,539 1,610 4,858
2008/3
70,814 1,839 2.6 2,009 1,794 5,087
2009/3
2010/3
56,722 (410) (0.7) 1,451 1,631 5,257
54,409 1,405 2.6 1,348 1,436 5,605
2011/3
57,023 2,547 4.5 1,044 1,361 5,752
2011/3
685.78 30.63
売上高
営業利益(損失)/売上高営業利益(損失)率
設備投資額/研究開発費
Sales
Operating Income (Loss)/ Operating Income (Loss) to Sales
Capital Expenditures/R&D Expenses
(百万円)(Millions of yen)
(百万円)(Millions of yen)
(%)
80,000
3,000
6.0
60,000
2,000
4.0
(百万円)(Millions of yen)
6,000 5,000 4,000
40,000
1,000
20,000
0
2.0
3,000 2,000
0 1,000
0
07/3 08/3 09/3 10/3 11/3
-1,000
07/3 08/3 09/3 10/3 11/3
-2.0
■ 営業利益(損失) Operating income (loss) 売上高営業利益(損失)率 Operating income (loss) to sales
3
12.56 16.37 69.18
Yamaha Corporation
0
07/3 08/3 09/3 10/3 11/3
■ 設備投資額 Capital expenditures ■ 研究開発費 R&D expenses
電子部品 Electronic Devices
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業利益 (損失) 売上高営業利益 (損失) 率 (%) 設備投資額 減価償却費 研究開発費
2007/3
Sales Operating income (loss) Operating income (loss) to sales (%) Capital expenditures Depreciation expenses R&D expenses
54,809 3,101 5.7 4,395 4,676 5,372
2008/3
2009/3
45,000 1,863 4.1 2,435 4,618 5,387
2010/3
21,975 (2,536) (11.5) 3,247 3,326 4,474
19,745 (606) (3.1) 659 981 3,630
2011/3
2011/3
20,610 510 2.5 921 900 3,931
247.87 6.13 11.08 10.82 47.28
売上高
営業利益(損失)/売上高営業利益(損失)率
設備投資額/研究開発費
Sales
Operating Income (Loss)/ Operating Income (Loss) to Sales
Capital Expenditures/R&D Expenses
(百万円)(Millions of yen)
60,000
(百万円)(Millions of yen)
(%)
5,000
12.0
2,500
6.0
(百万円)(Millions of yen)
6,000
40,000
4,000 0
0
20,000
2,000 -2,500
0
07/3 08/3 09/3 10/3 11/3
-5,000
-6.0
0
-12.0
07/3 08/3 09/3 10/3 11/3
■ 営業利益(損失) Operating income (loss) 売上高営業利益(損失)率 Operating income (loss) to sales
07/3 08/3 09/3 10/3 11/3
■ 設備投資額 Capital expenditures ■ 研究開発費 R&D expenses
* 電子機器・金属事業は、電子金属事業の譲度に伴い、2009年3月期より電子部品事業と名称変更しました。 * Following the handover of the electronic metal products business, the electronic equipment and metal products was renamed the electronic devices starting from
the year ended March 31 , 2009 .
その他 Others
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業利益 (損失) 売上高営業利益 (損失) 率 (%) 設備投資額 減価償却費 研究開発費
2007/3
Sales Operating income (loss) Operating income (loss) to sales (%) Capital expenditures Depreciation expenses R&D expenses
32,365 794 2.5 1,631 1,967 1,147
2008/3
36,044 1,731 4.8 2,228 1,730 1,440
2009/3
2010/3
30,833 (2,100) (6.8) 2,082 1,889 1,809
27,461 546 2.0 284 1,323 1,661
2011/3
2011/3
25,108 1,490 5.9 464 873 1,174
301.96 17.92 5.58 10.50 14.12
売上高
営業利益(損失)/売上高営業利益(損失)率
設備投資額/研究開発費
Sales
Operating Income (Loss)/ Operating Income (Loss) to Sales
Capital Expenditures/R&D Expenses
(百万円)(Millions of yen)
(百万円)(Millions of yen)
(%)
40,000
2,500
8.0
30,000
1,250
4.0
20,000
0
(百万円)(Millions of yen)
2,500 2,000 1,500
0 1,000
0
-4.0
-1,250
10,000
07/3 08/3 09/3 10/3 11/3
-2,500
07/3 08/3 09/3 10/3 11/3
-8.0
■ 営業利益(損失) Operating income (loss) 売上高営業利益(損失)率 Operating income (loss) to sales
500 0
07/3 08/3 09/3 10/3 11/3
■ 設備投資額 Capital expenditures ■ 研究開発費 R&D expenses
* レクリェーション施設の一部譲度に伴い、2009年3月期よりその他の事業にレクリェーション事業を含めています。また、2010年3月末でマグネシウム成形部品事業より撤退しま した。 * Following the handover of a portion of the resort facilities, figures of the others from the year ended March 31 , 2009 include that of the recreation. The magnesium
molded parts business was terminated as of March 31 , 2010 . Financial Data 2011
4
リビング Lifestyle-Related Products
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業利益 (損失) 売上高営業利益 (損失) 率 (%) 設備投資額 減価償却費 研究開発費
2007/3
Sales Operating income (loss) Operating income (loss) to sales (%) Capital expenditures Depreciation expenses R&D expenses
46,573 1,150 2.5 1,303 1,007 1,403
2008/3
2009/3
45,520 588 1.3 647 1,063 1,351
2010/3
43,121 (305) (0.7) 1,006 1,021 894
2011/3
36,942 365 1.0 525 887 927
— — — — — —
2011/3
— — — — — —
売上高
営業利益(損失)/売上高営業利益(損失)率
設備投資額/研究開発費
Sales
Operating Income (Loss)/ Operating Income (Loss) to Sales
Capital Expenditures/R&D Expenses
(百万円)(Millions of yen)
(百万円)(Millions of yen)
50,000 40,000
(%)
1,500
3.0
1,000
2.0
(百万円)(Millions of yen)
1,500
1,000 30,000 500
1.0
20,000 500 0
10,000 0
-500
07/3 08/3 09/3 10/3
0
07/3 08/3 09/3 10/3
0
-1.0
■ 営業利益(損失) Operating income (loss) 売上高営業利益(損失)率 Operating income (loss) to sales
07/3 08/3 09/3 10/3
■ 設備投資額 Capital expenditures ■ 研究開発費 R&D expenses
* リビング事業は、2010年3月31日付け一部株式譲渡に伴い、2011年3月期より連結対象から外れました。 * Following the handover of the lifestyle-related products business on March 31 , 2010 , this segment has been excluded from the consolidation from the year ended
March 31 , 2011 .
レクリェーション Recreation
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
売上高 営業損失 売上高営業損失率 (%) 設備投資額 減価償却費 研究開発費
2007/3
17,800 (1,536) (8.6) 1,464 1,452 —
Sales Operating loss Operating loss to sales (%) Capital expenditures Depreciation expenses R&D expenses
2008/3
11,353 (1,103) (9.7) 600 926 —
2009/3
2010/3
— — — — — —
2011/3
— — — — — —
売上高
営業損失/売上高営業損失率
設備投資額
Sales
Operating Loss/ Operating Loss to Sales
Capital Expenditures
(百万円)(Millions of yen)
(百万円)(Millions of yen)
20,000
0
15,000
-500
(%)
0
— — — — — —
(百万円)(Millions of yen)
1,500
-3.0 1,000
10,000
-1,000
-6.0
5,000
-1,500
-9.0
500
0
07/3 08/3
-2,000
07/3 08/3
-12.0
0
07/3 08/3
■ 営業損失 Operating loss 売上高営業損失率 Operating loss to sales
* レクリェーション施設の一部譲度に伴い、2009年3月期よりその他の事業にレクリェーション事業を含めています。 * Following the handover of a portion of the resort facilities, figures of the others from the year ended March 31 , 2009 include that of the recreation.
5
Yamaha Corporation
2011/3
— — — — — —
収益性
Profitability %
決算期 Fiscal year ended:
2007/3
2008/3
2009/3
2010/3
2011/3
36.0 5.0 5.1 3.14
37.4 6.0 7.2 14.44
36.8 3.0 (4.5) (6.15)
35.3 1.6 (1.2) 6.55
36.5 3.5 1.4 3.45
Gross profit to net sales Operating income to net sales Net income (loss) to net sales Free cash flow margin
売上高総利益率 売上高営業利益率 売上高当期純利益 (損失) 率 フリー・キャッシュ・フロー・マージン率
フリー・キャッシュ・フロー・マージン率=フリー・キャッシュ・フロー/売上高×100 Free cash flow margin = Free cash flows / Net sales x 100
% 決算期 Fiscal year ended:
2007/3
2008/3
2009/3
2010/3
2011/3
8.0 8.4 5.2
9.9 11.5 7.2
5.2 (7.0) (4.3)
2.8 (2.0) (1.2)
5.4 2.1 1.3
Return on investment (ROI) Return on equity (ROE) Return on assets (ROA)
投下資本利益率 (ROI) 自己資本利益 (損失) 率 (ROE) 総資産当期純利益 (損失) 率 (ROA)
ROI=(営業利益+受取利息及び受取配当金)/期首・期末平均投下資本×100 ROI = (Operating income + Interest and dividend income) / Invested capital (yearly average) x 100 投下資本=純資産+有利子負債 Invested capital = Net assets + Interest-bearing liabilities ROE=当期純利益(損失)/期首・期末平均純資産×100 ROE = Net income (loss) / Net assets (yearly average) x 100 ROA=当期純利益(損失)/期首・期末平均総資産×100 ROA = Net income (loss) / Total assets (yearly average) x 100
売上総利益/売上高総利益率
営業利益/売上高営業利益率
当期純利益(損失)/売上高当期純利益(損失)率
Gross Profit/Gross Profit to Net Sales
Operating Income/ Operating Income to Net Sales
Net Income (Loss)/ Net Income (Loss) to Net Sales
(百万円)(Millions of yen)
(%)
250,000
50.0
200,000
40.0
150,000
30.0
100,000
20.0
50,000
10.0
0
07/3 08/3 09/3 10/3 11/3
0
(百万円)(Millions of yen)
(%)
40,000
8.0
30,000
6.0
20,000
4.0
10,000
2.0
(百万円)(Millions of yen)
(%)
40,000
10.0
20,000
5.0
0
0
0
07/3 08/3 09/3 10/3 11/3
-20,000
0
07/3 08/3 09/3 10/3 11/3
■ 売上総利益 Gross profit 売上高総利益率 Gross profit to net sales
■ 営業利益 Operating income 売上高営業利益率 Operating income to net sales
フリー・キャッシュ・フロー/マージン率
投下資本利益率(ROI)/自己資本利益(損失)率(ROE)/総資産当期純利益(損失)率(ROA)
Free Cash Flows/ Free Cash Flow Margin
Return on Investment (ROI)/Return on Equity (ROE)/Return on Assets (ROA)
(百万円)(Millions of yen)
(%)
90,000
24.0
60,000
16.0
30,000
8.0
-5.0
■ 当期純利益(損失) Net income (loss) 売上高当期純利益(損失)率 Net income (loss) to net sales
(%) 16.0
8.0
0 0 -30,000
0
07/3 08/3 09/3 10/3 11/3
■ フリー・キャッシュ・フロー Free cash flows マージン率 Free cash flow margin
-8.0
-8.0
07/3
08/3
09/3
10/3
11/3
投下資本利益率(ROI) Return on investment (ROI) 自己資本利益(損失)率(ROE) Return on equity (ROE) 総資産当期純利益(損失)率(ROA) Return on assets (ROA)
Financial Data 2011
6
効率性
Efficiency 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
Net sales Total assets Total assets turnover (Times) Trade receivables Trade receivables turnover (Times) Tangible fixed assets Tangible fixed assets turnover (Times)
売上高 総資産 総資産回転率 (回) 売上債権 売上債権回転率 (回) 有形固定資産 有形固定資産回転率 (回)
2007/3
2008/3
2009/3
2010/3
2011/3
2011/3
550,361 559,031 1.02 76,609 7.49 149,872 3.66
548,754 540,347 1.00 65,126 7.74 139,575 3.79
459,284 408,974 0.97 50,536 7.94 127,613 3.44
414,811 402,152 1.02 47,415 8.47 116,291 3.40
373,866 390,852 0.94 45,089 8.08 108,267 3.33
4,496.28 4,700.57 542.26 1,302.07
総資産回転率=売上高/期首・期末平均総資産 Total assets turnover = Net sales / Total assets (yearly average) 売上債権=受取手形及び売掛金−貸倒引当金 Trade receivables = Notes and accounts receivable − Allowance for doubtful accounts 売上債権回転率=売上高/期首・期末平均売上債権 Trade receivables turnover = Net sales / Trade receivables (yearly average) 有形固定資産回転率=売上高/期首・期末平均有形固定資産 Tangible fixed assets turnover = Net sales / Tangible fixed assets (yearly average) 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
2007/3
Inventories Merchandise and finished products Raw materials & work in process Inventory turnover (Times) Trade payables Trade payables turnover (Times) R&D expenses R&D expenses to net sales (%)
たな卸資産 製品 原材料・仕掛品 たな卸資産回転率 (回) 仕入債務 仕入債務回転率 (回) 研究開発費 売上高研究開発費比率 (%)
2008/3
82,214 53,291 28,922 6.87 43,165 13.70 24,220 4.4
2009/3
76,304 50,699 25,604 6.92 35,017 14.04 24,865 4.5
2010/3
80,694 56,580 24,114 5.85 25,625 15.15 23,218 5.1
69,518 48,087 21,431 5.52 21,791 17.50 21,736 5.2
2011/3
71,659 47,361 24,298 5.30 24,198 16.26 22,416 6.0
2011/3
861.80 569.59 292.22 291.02 269.59
たな卸資産回転率=売上高/期首・期末平均たな卸資産 Inventory turnover = Net sales / Inventories (yearly average) 仕入債務回転率=売上高/期首・期末平均仕入債務 Trade payables turnover = Net sales / Trade payables (yearly average)
総資産/総資産回転率
売上債権/売上債権回転率
有形固定資産/有形固定資産回転率
Total Assets/Total Assets Turnover
Trade Receivables/ Trade Receivables Turnover
Tangible Fixed Assets/ Tangible Fixed Assets Turnover
(百万円)(Millions of yen)
(回)(Times)
600,000
1.5
400,000
1.0
200,000
0.5
0
07/3 08/3 09/3 10/3 11/3
(回)(Times)
160,000
6.0
60,000
7.5
120,000
4.5
40,000
5.0
80,000
3.0
20,000
2.5
40,000
1.5
0
07/3 08/3 09/3 10/3 11/3
たな卸資産/たな卸資産回転率
仕入債務/仕入債務回転率
Inventories/Inventory Turnover
Trade Payables/ Trade Payables Turnover
(回)(Times)
9.0
60,000
6.0
30,000
3.0
0
07/3 08/3 09/3 10/3 11/3
■ たな卸資産 Inventories たな卸資産回転率 Inventory turnover
Yamaha Corporation
0
(回)(Times)
10.0
■ 売上債権 Trade receivables 売上債権回転率 Trade receivables turnover
90,000
(百万円)(Millions of yen)
80,000
■ 総資産 Total assets 総資産回転率 Total assets turnover
(百万円)(Millions of yen)
7
0
(百万円)(Millions of yen)
(百万円)(Millions of yen)
0
(回)(Times)
20.0
40,000
16.0
30,000
12.0
20,000
8.0
10,000
4.0
07/3 08/3 09/3 10/3 11/3
■ 仕入債務 Trade payables 仕入債務回転率 Trade payables turnover
07/3 08/3 09/3 10/3 11/3
0
■ 有形固定資産 Tangible fixed assets 有形固定資産回転率 Tangible fixed assets turnover
50,000
0
0
0
安定性・安全性
Stability and Soundness 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
自己資本比率 (%) 支払利息 営業利益 持分法による投資損益 受取利息及び受取配当金 インタレスト・カバレッジ (倍) 流動資産 流動負債 流動比率 (%)
Equity ratio (%) Interest expenses Operating income Equity in earnings (losses) of affiliates Interest and dividend income Interest coverage (Times) Current assets Current liabilities Current ratio (%)
2007/3
2008/3
2009/3
2010/3
62.0 972 27,685 17,764 1,084 47.83 231,033 136,656 169.1
62.9 1,068 32,845 145 3,925 34.56 275,754 120,174 229.5
60.9 615 13,845 (7) 2,601 26.73 202,097 90,050 224.4
62.6 451 6,828 (0) 786 16.88 193,260 75,182 257.1
2011/3
2011/3
61.9 351 13,165 (0) 1,010 40.38 194,717 74,836 260.2
4.22 158.33 (0) 12.15 2,341.76 900.01
インタレスト・カバレッジ=(営業利益+受取利息及び受取配当金+持分法による投資利益)/支払利息
Interest coverage = (Operating income + Interest and dividend income + Equity in earnings of affiliates) / Interest expenses 流動比率=流動資産/流動負債×100 Current ratio = Current assets / Current liabilities x 100 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
純資産 有利子負債 D/Eレシオ(倍) 固定資産 固定比率 (%) 当座資産 当座比率 (%)
Net assets Interest-bearing liabilities Debt to equity ratio (Times) Fixed assets Fixed assets to capital ratio (%) Quick assets Quick ratio (%)
2007/3
2008/3
2009/3
2010/3
2011/3
2011/3
351,398 25,551 0.07 327,998 93.3 123,731 90.5
343,028 21,036 0.06 264,592 77.1 169,946 141.4
251,841 19,192 0.08 206,876 82.1 93,190 103.5
254,591 15,017 0.06 208,891 82.0 107,492 143.0
245,002 11,838 0.05 196,134 80.1 104,259 139.3
2,946.51 142.37 2,358.80 1,253.87
有利子負債=長期借入金+短期借入金+転換社債 Interest-bearing liabilities = Long-term loans payable + Short-term loans payable + Convertible bonds D/Eレシオ=有利子負債/純資産 Debt to equity ratio = Interest-bearing liabilities / Net assets 固定比率=固定資産/純資産×100 Fixed assets to capital ratio = Fixed assets / Net assets x 100 当座資産=現金及び預金+有価証券+受取手形及び売掛金−貸倒引当金
Quick assets = Cash and deposits + Short-term investment securities + Notes and accounts receivable − Allowance for doubtful accounts 当座比率=当座資産/流動負債×100 Quick ratio = Quick assets / Current liabilities x 100
流動資産/流動比率
有利子負債/D/Eレシオ
純資産/自己資本比率
Current Assets/Current Ratio
Interest-Bearing Liabilities/ Debt to Equity Ratio
Net Assets/Equity Ratio
(百万円)(Millions of yen)
(%)
(百万円)(Millions of yen)
(倍)(Times)
300,000
300
30,000
0.15
200,000
200
20,000
0.10
100,000
100
10,000
0.05
0
07/3 08/3 09/3 10/3 11/3
0
0
■ 流動資産 Current assets 流動比率 Current ratio
07/3 08/3 09/3 10/3 11/3
■ 有利子負債 Interest-bearing liabilities D/E レシオ Debt to equity ratio
0
(百万円)(Millions of yen)
(%)
400,000
80
300,000
60
200,000
40
100,000
20
0
07/3 08/3 09/3 10/3 11/3
0
■ 純資産 Net assets 自己資本比率 Equity ratio
格付け
Rating 格付け機関
長期優先債務格付け
Rating agency
Long-term senior debt rating
(株) 格付投資情報センター (R&I)
Rating and Investment Information, Inc. (R&I) (株) 日本格付研究所 (JCR)
Japan Credit Rating Agency, Ltd. (JCR)
A
安定的
Stable A+ 安定的 Stable
* 2011年3月31日現在 * As of March 31 , 2011
Financial Data 2011
8
連結貸借対照表
Consolidated Balance Sheets 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
3月31日現在 At March 31 : (資産の部) 流動資産: 現金及び預金 受取手形及び売掛金 有価証券 たな卸資産 繰延税金資産 その他 貸倒引当金 流動資産合計
有形固定資産: 建物及び構築物 (純額) 機械装置及び運搬具、 工具・器具及び備品 (純額) 土地 リース資産 (純額) 建設仮勘定 有形固定資産合計
投資その他の資産: 投資有価証券 長期貸付金 貸倒引当金 敷金及び保証金 繰延税金資産 のれん その他 投資その他の資産合計 資産合計
9
Yamaha Corporation
2007
ASSETS Current assets: Cash and deposits Notes and accounts receivable—trade Short-term investment securities Inventories Deferred tax assets Other Allowance for doubtful accounts Total current assets
Property, plant and equipment, net of accumulated depreciation: Buildings and structures, net
2008
2009
2010
2011
2011
46,702 78,669 419 82,214 17,724 7,362 (2,060) 231,033
73,619 68,680 31,200 76,304 17,642 11,861 (3,554) 275,754
41,373 51,938 1,280 80,694 10,905 17,307 (1,401) 202,097
59,407 48,911 670 69,518 7,504 8,744 (1,496) 193,260
57,210 46,486 1,960 71,659 8,393 10,404 (1,397) 194,717
688.03 559.06 23.57 861.80 100.94 125.12 (16.80) 2,341.76
46,179
42,602
38,885
42,158
38,106
458.28
Machinery and equipment, net Land Leased assets, net Construction in progress Total property, plant and equipment, net of accumulated depreciation
38,373 63,495 — 1,824
31,710 61,134 — 4,129
23,196 56,690 521 8,318
21,325 50,655 306 1,845
19,651 49,347 272 888
236.33 593.47 3.27 10.68
149,872
139,575
127,613
116,291
108,267
1,302.07
Investments and other assets: Investment securities Long-term loans receivable Allowance for doubtful accounts Lease and guarantee deposits Deferred tax assets Goodwill Other Total investments and other assets Total assets
150,369 524 (1,022) 5,986 16,790 1,521 3,956 178,125 559,031
109,943 265 (904) 6,264 2,065 1,304 6,077 125,016 540,347
57,131 436 (1,155) 6,234 9,566 306 6,743 79,263 408,974
80,044 467 (803) 5,254 2,920 348 4,370 92,600 402,152
75,477 368 (675) 4,732 3,654 202 4,106 87,867 390,852
907.72 4.43 (8.12) 56.91 43.94 2.43 49.38 1,056.73 4,700.57
百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
3月31日現在 At March 31 : (負債の部) 流動負債: 支払手形及び買掛金 短期借入金
1年内返済予定の長期借入金 未払金及び未払費用 未払法人税等 特定取引前受金 繰延税金負債 その他 流動負債合計 固定負債: 長期借入金 繰延税金負債 再評価に係る繰延税金負債 退職給付引当金 長期預り金 その他 固定負債合計 (純資産の部) 株主資本: 資本金 資本剰余金 利益剰余金 自己株式 株主資本合計 その他の包括利益累計額 その他有価証券評価差額金 繰延ヘッジ損益 土地再評価差額金 為替換算調整勘定 その他の包括利益累計額合計 少数株主持分 純資産合計 負債純資産合計
LIABILITIES Current liabilities: Notes and accounts payable—trade Short-term loans payable Current portion of long-term loans payable Accounts payable—other and accrued expenses Income taxes payable Advances received Deferred tax liabilities Other Total current liabilities Noncurrent liabilities: Long-term loans payable Deferred tax liabilities Deferred tax liabilities for land revaluation Provision for retirement benefits Long-term deposits received Other Total noncurrent liabilities NET ASSETS Shareholders’ equity: Capital stock Capital surplus Retained earnings Treasury stock Total shareholders’ equity Accumulated other comprehensive income: Valuation difference on available-for-sale securities Deferred gains or losses on hedges Revaluation reserve for land Foreign currency translation adjustments Total accumulated other comprehensive income Minority interests Total net assets Total liabilities and net assets
2007
2008
2009
2010
2011
2011
43,165 15,118 4,301
35,017 14,419 4,472
25,625 14,216 1,483
21,791 8,816 1,023
24,198 6,597 3,863
291.02 79.34 46.46
54,415 6,012 2,273 22 11,346 136,656
41,443 14,916 1,840 7 8,056 120,174
34,012 2,090 1,385 64 11,170 90,050
32,496 1,900 986 7 8,159 75,182
28,657 2,303 617 1 8,596 74,836
344.64 27.70 7.42 0.01 103.38 900.01
6,132 239 17,735 27,140 17,424 2,303 70,977
2,145 13,999 16,811 25,311 17,040 1,836 77,144
3,491 126 16,776 27,628 16,723 2,336 67,083
5,177 929 14,931 33,675 16,144 1,519 72,378
1,376 199 14,486 37,599 15,854 1,496 71,013
16.55 2.39 174.22 452.18 190.67 17.99 854.03
28,534 40,054 260,555 (339) 328,804
28,534 40,054 229,307 (326) 297,570
28,534 40,054 176,739 (29) 245,298
28,534 40,054 167,614 (34) 236,169
28,534 40,054 169,894 (3,690) 234,793
343.16 481.71 2,043.22 (44.38) 2,823.73
13,718 (406) 18,116 (13,765) 17,662 4,931 351,398 559,031
48,945 207 14,861 (21,940) 42,074 3,383 343,028 540,347
19,817 (394) 18,769 (34,495) 3,697 2,845 251,841 408,974
34,000 (166) 16,201 (34,466) 15,569 2,852 254,591 402,152
33,559 (252) 15,549 (41,583) 7,272 2,937 245,002 390,852
403.60 (3.03) 187.00 (500.10) 87.46 35.32 2,946.51 4,700.57
Financial Data 2011
10
連結損益計算書
Consolidated Statements of Operations 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
3月31日に終了した 1年間 Years ended March 31 : Net sales 売上原価 Cost of sales 売上総利益 Gross profit Selling, general and 販売費及び一般管理費 administrative expenses 営業利益 Operating income その他の収益 (費用) Other income (expenses): 受取利息・受取配当金 Interest and dividend income 持分法による投資損益 Equity in earnings (losses) of affiliates 支払利息 Interest expenses 売上割引 Sales discounts Gain (loss) on sales or disposal of 固定資産処分損益 (純額) property, plant and equipment, net 投資有価証券売却益 Gain on sales of investment securities Loss on valuation of 投資有価証券評価損 investment securities Gain on sales of subsidiaries’ and 関係会社株式売却益 (純額) affiliates’ stock, net 特別退職金 Special retirement expenses 減損損失 Loss on impairment of fixed assets 構造改革費用 Business restructuring expenses その他 (純額) Other, net その他の収益 (費用) 計 Total other income (expenses) Income (loss) before income taxes and 税金等調整前当期純利益 (損失) minority interests 法人税等: Income taxes: 法人税、住民税及び事業税 Current 法人税等調整額 Deferred (benefit) 法人税等計 Total income taxes 少数株主損益調整前当期純利益 (損失)Income (loss) before minority interests 少数株主利益 (損失) Minority interests in income (loss) 当期純利益 (損失) Net income (loss) 売上高
連結包括利益計算書
2007
2008
2009
2010
2011
2011
550,361 352,382 197,980
548,754 343,686 205,066
459,284 290,381 168,902
414,811 268,380 146,431
373,866 237,313 136,553
4,496.28 2,854.03 1,642.25
170,295 27,685
172,220 32,845
155,057 13,845
139,602 6,828
123,387 13,165
1,483.91 158.33
1,084 17,764 (972) (4,371)
3,925 145 (1,068) (4,105)
2,601 (7) (615) (3,416)
786 (0) (451) (2,804)
1,010 (0) (351) (2,349)
12.15 (0) (4.22) (28.25)
(1,063) 31
786 763
(621) 5
21 1
(207) 264
(2.49) 3.17
(14)
(263)
(277)
(478)
(1,563)
(18.80)
— (728) (4,728) (3,146) 1,562 5,416
29,057 (814) — — 1,239 29,665
— (96) (15,323) (4,863) (3,390) (26,004)
— — (1,962) — (2,141) (7,029)
— — (2,687) — (478) (6,362)
— — (32.32) — (5.75) (76.51)
33,101
62,510
(12,159)
(201)
6,802
81.80
7,010 (2,268) 4,741 28,359 493 27,866
17,552 4,710 22,263 40,247 689 39,558
3,790 4,924 8,714 (20,873) (258) (20,615)
3,084 1,265 4,349 (4,550) 371 (4,921)
4,349 (2,990) 1,359 5,443 364 5,078
52.30 (35.96) 16.34 65.46 4.38 61.07
Consolidated Statements of Comprehensive Income 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
3月31日に終了した 1年間 Years ended March 31 : Income before minority interests その他の包括利益 Other comprehensive income: Valuation difference on その他有価証券評価差額金 available-for-sale securities 繰延ヘッジ損益 Deferred gains or losses on hedges Foreign currency translation 為替換算調整勘定 adjustments Share of other comprehensive 持分法適用会社に対する持分相当額 income of associates, accounted for using the equity method Total other comprehensive その他の包括利益計 income 包括利益 Comprehensive income (内訳) (Composition) Comprehensive income 親会社株主に係る包括利益 attributable to owners of the parent Comprehensive income 少数株主に係る包括利益 attributable to minority interests 少数株主損益調整前当期純利益
11
Yamaha Corporation
2007
2008
2009
2010
—
—
—
—
2011
5,443
2011
65.46
— —
— —
— —
— —
(441) (86)
(5.30) (1.03)
—
—
—
—
(7,292)
(87.70)
—
—
—
—
0
0
— —
— —
— —
— —
(7,820) (2,376)
(94.05) (28.57)
—
—
—
—
(2,566)
(30.86)
—
—
—
—
189
2.27
連結キャッシュ・フロー計算書
Consolidated Statements of Cash Flows 百万米ドル
Millions of U.S. dollars
百万円 Millions of yen
決算期 Fiscal year ended:
営業活動によるキャッシュ・フロー: 税金等調整前当期純利益 (損失) 減価償却費 減損損失 貸倒引当金の増減額 投資有価証券評価損 退職給付引当金の増減額 受取利息及び受取配当金 支払利息 為替差損益 持分法による投資損益 投資有価証券売却損益 関係会社株式売却益 (純額) 固定資産処分損益 (純額) 構造改革費用 特別退職金 売上債権の増減額 たな卸資産の増減額 仕入債務の増減額 その他 (純額) 小計 利息及び配当金の受取額 利息の支払額 法人税等の支払額又は還付額 営業活動によるキャッシュ・フロー 投資活動によるキャッシュ・フロー: 有形固定資産の取得による支出 有形固定資産の売却による収入 投資有価証券の取得による支出 投資有価証券の売却・償還による収入 関係会社株式の売却による収入 その他 (純額) 投資活動によるキャッシュ・フロー 財務活動によるキャッシュ・フロー: 短期借入金の増減額 (純額) 長期借入れによる収入 長期借入金の返済による支出 会員預り金の返還による支出 自己株式の取得による支出 配当金の支払額 少数株主への配当金の支払額 その他 (純額) 財務活動によるキャッシュ・フロー 現金及び現金同等物に係る換算差額 現金及び現金同等物の増減額 現金及び現金同等物の期首残高 新規連結に伴う現金及び 現金同等物の増加額 連結除外に伴う現金及び 現金同等物の減少額 現金及び現金同等物の期末残高
Net cash provided by (used in) operating activities: Income (loss) before income taxes and minority interests Depreciation and amortization Loss on impairment of fixed assets Increase (decrease) in allowance for doubtful accounts Loss on valuation of investment securities Increase (decrease) in provision for retirement benefits Interest and dividend income Interest expenses Foreign exchange losses (gains) Equity in (earnings) losses of affiliates Loss (gain) on sales of investment securities Gain on sales of subsidiaries’ and affiliates’ stock, net Loss (gain) on sales or disposal of property, plant and equipment, net Business restructuring expenses Special retirement expenses Decrease (increase) in notes and accounts receivable—trade Decrease (increase) in inventories Increase (decrease) in notes and accounts payable—trade Other, net Subtotal Interest and dividend income received Interest expenses paid Income taxes (paid) refunded Net cash provided by (used in) operating activities Net cash provided by (used in) investing activities: Payments for purchases of property, plant and equipment Proceeds from sales of property, plant and equipment Payments for purchase of investment securities Proceeds from sales and redemption of investment securities Proceeds from sales of subsidiaries’ and affiliates’ stock Other, net Net cash provided by (used in) investing activities Net cash provided by (used in) financing activities: Net increase (decrease) in short-term loans payable Proceeds from long-term loans payable Repayment of long-term loans payable Repayments for deposits received from membership Purchases of treasury stock Cash dividends paid Cash dividends paid to minority shareholders Other, net Net cash provided by (used in) financing activities Effect of exchange rate changes on cash and cash equivalents Net increase (decrease) in cash and cash equivalents Cash and cash equivalents at beginning of period Increase in cash and cash equivalents from newly consolidated subsidiary Decrease in cash and cash equivalents resulting from exclusion of subsidiaries from consolidation Cash and cash equivalents at end of period
2007
2008
2009
2010
2011
2011
33,101 19,956 4,728 (167) 14 (858) (1,084) 972 49 (17,764) (31) —
62,510 20,289 — (366) 263 (1,276) (3,925) 1,068 393 (145) (763) (29,057)
(12,159) 17,912 15,323 (116) 277 2,456 (2,601) 615 (144) 7 (4) —
(201) 14,139 1,962 23 478 6,470 (786) 451 104 0 13 —
6,802 12,814 2,687 (158) 1,563 4,030 (1,010) 351 678 0 (138) —
81.80 154.11 32.32 (1.90) 18.80 48.47 (12.15) 4.22 8.15 0 (1.66) —
1,063 3,146 728 (4,537) (2,262) 5,272 (1,083) 41,245 3,437 (971) (3,978) 39,732
(786) — 814 3,093 (3,844) (1,800) (3,348) 43,118 3,912 (1,079) (8,725) 37,225
621 4,863 96 13,432 (8,859) (9,540) (2,777) 19,399 2,649 (638) (23,646) (2,235)
(21) — — (2,244) 11,731 1,092 2,532 35,748 790 (444) 3,775 39,870
207 — — 406 (5,072) 3,549 (498) 26,212 986 (357) (4,194) 22,646
2.49 — — 4.88 (61.00) 42.68 (5.99) 315.24 11.86 (4.29) (50.44) 272.35
(22,863) 1,094 (1,163) 77 — 428 (22,427)
(25,364) 6,316 (84) 811 67,778 (7,457) 41,999
(20,522) 1,397 (99) 3,015 60 (9,851) (25,999)
(14,106) 1,771 — 8 — (384) (12,711)
(13,316) 1,223 — 1,371 — 982 (9,740)
(160.14) 14.71 — 16.49 — 11.81 (117.14)
(1,961) 4,235 (5,151) (969) (37) (4,126) (248) 12 (8,246)
190 2,212 (4,256) (9,483) (29) (7,736) (224) 13 (19,314)
176 2,756 (4,622) (485) (18,032) (10,581) (228) (23) (31,041)
(4,714) 2,783 (1,293) (585) (4) (5,917) (146) 10 (9,867)
(2,010) 450 (972) (300) (3,655) (3,451) (104) (34) (10,080)
(24.17) 5.41 (11.69) (3.61) (43.96) (41.50) (1.25) (0.41) 121.23
1,464 10,523 35,434
(2,398) 57,512 45,926
(3,668) (62,943) 103,371
83 17,375 41,223
(3,615) (788) 59,235
(43.48) (9.48) 712.39
—
41
1,107
1,308
—
—
(31) 45,926
(108) 103,371
(311) 41,223
(673) 59,235
— 58,446
— 702.90
Financial Data 2011
12
Stock Information
株式情報
株価及び出来高の推移
Common Stock Price Range and Trading Volume (円)(Yen)
株価 Common stock price range
3,000
2,000
1,000
0 (千株)(Thousand share)
出来高 Trading volume
60,000 40,000 20,000 0
4 2006
7
10
1 2007
4
7
10
1 2008
4
7
10
1 2009
4
7
10
1 2010
4
7
10
1 2011
円 Yen
決算期 Fiscal year ended:
期末株価 高値 安値 出来高 (百万株)
Share price at the end of fiscal year Share price — high Share price — low Trading volume (Million shares)
決算期 Fiscal year ended:
配当利回り (%) 株価収益率 (倍) 株価純資産倍率 (倍) 発行済株式総数 (千株) 期末時価総額 (百万円) 期末外国人持株比率 (%)
Dividend yield (%) Price to earnings ratio (Times) Price to book value ratio (Times) Number of shares issued (Thousand shares) Market capitalization at the end of fiscal year (Millions of yen) Percentage of shares owned by foreign investors (%)
2007/3
2008/3
2009/3
2010/3
2011/3
2,630 2,860 1,997 260
1,906 2,910 1,889 277
957 2,240 730 403
1,207 1,282 865 252
943 1,295 805 280
2007/3
2008/3
2009/3
2010/3
2011/3
0.86 19.5 1.56 206,525 543,161 37.2
2.62 9.9 1.16 206,525 393,636 29.7
4.44 — 0.76 197,255 188,773 21.4
2.28 — 0.95 197,255 238,086 23.4
1.06 36.4 0.75 197,255 186,011 25.9
* 2008年3月期から 2010年3月期までの「1株当たり配当金」は、それぞれ特別配当20円を含みます。 * A special dividend of ¥ 20 is included in the dividends per share from the years ended March 31 , 2008 to March 31 , 2010 .
配当利回り
株価収益率
株価純資産倍率
Dividend Yield
Price to Earnings Ratio
Price to Book Value Ratio
(%)
(倍)(Times)
(倍)(Times)
5.0
40
2.0
30
1.5
20
1.0
10
0.5
4.0 3.0 2.0 1.0 0
07/3 08/3 09/3 10/3 11/3
* 2008年3月期から 2010年3月期までの「1株当たり配当金」 は、特別配当20円を含みます。 * The dividends per share from the years ended March
31 , 2008 to March 31 , 2010 includes a ¥ 20 special dividend.
13
Yamaha Corporation
0
07/3 08/3 09/3 10/3 11/3
0
07/3 08/3 09/3 10/3 11/3
投資家情報(2011年3月31日現在) ●
Investor Information (As of March 31, 2011)
本社
〒430 - 8650 静岡県浜松市中区中沢町10番1号 ●
Head Office 10-1, Nakazawa-cho, Naka-ku, Hamamatsu, Shizuoka 430-8650, Japan ●
1897年10月12日
Date of Establishment October 12, 1897
●
●
設立
●
3月31日
Account Settlement Date March 31
●
●
決算期
中間配当の基準日:9月30日
Dividends Year-end: To the shareholders of record on March 31 Interim: To the shareholders of record on September 30
●
●
配当の基準日
期末配当の基準日:3月31日
発行済株式総数:197 , 255 , 025株
Number of Shares of Common Stock Authorized: 700,000,000 Issued: 197,255,025
●
●
株式の状況(普通株式)
発行可能株式総数:700 , 000 , 000株
東証第一部 証券コード 7951
Stock Exchange Listing Tokyo First Section, Code No. 7951
●
●
上場証券取引所
6月
Ordinary General Shareholders’ Meeting June
●
●
定時株主総会
株主数
26 , 128名
Number of Shareholders 26,128
株主構成(株式数)
Shareholder Composition (Number of shares) 証券会社 Securities companies
3.5% その他国内法人 Japanese corporations
政府・地方公共団体 National and local governments
0.0%
8.2% 個人・その他 Individuals
13.2% 金融機関 Financial institutions
49.2% 外国人 Foreign investors
25.9%
持株比率
日本トラスティ・サービス信託銀行株式会社 (信託口)
Main Shareholders Yamaha Motor Co., Ltd. Japan Trustee Services Bank, Ltd. (trust a/c)
日本マスタートラスト信託銀行株式会社 (信託口)
The Master Trust Bank of Japan, Ltd. (trust a/c)
株式会社みずほ銀行
Mizuho Bank, Ltd.
株式会社静岡銀行
The Shizuoka Bank, Ltd.
三井住友海上火災保険株式会社
Mitsui Sumitomo Insurance Co., Ltd.
住友生命保険相互会社
Sumitomo Life Insurance Company
日本生命保険相互会社
Nippon Life Insurance Company
株式会社みずほコーポレート銀行
Mizuho Corporate Bank, Ltd. Japan Trustee Services Bank, Ltd. (trust a/c 9)
主要株主 ヤマハ発動機株式会社
日本トラスティ・サービス信託銀行株式会社 (信託口9)
Shareholding Ratio
5.33% 5.08% 4.75% 4.53% 4.31% 4.14% 3.77% 3.35% 2.98% 2.50%
* 持株比率は持株数を発行済株式の総数(自己株式を除く)で除しています。 * The shareholding ratio is calculated by dividing the number of shares held by total outstanding shares (excluding treasury stock).
Financial Data 2011
14
経営企画室
URL: http://jp.yamaha.com/
Corporate Planning Division URL: http://www.yamaha.com/
このパンフレットは水なし印刷を採用し、FSC認証紙とベジタブルオイルインキを使用しています。 Printed in Japan on FSC-approved paper using vegetable oil inks and waterless printing processes.
2011 / 7 カタログコード ー CM 113