SIGMAXYZ Holdings Inc.

TSE:6088.T

1222 (JPY) • At close July 1, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) JPY.

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Assets:
Current Assets:
Cash & Cash Equivalents 6,945.5117,171.1067,093.897,721.5285,275.7694,175.5671,804.6011,867.6171,329.8451,457.609844.5592,690.3410
Short Term Investments 3,797.5623,735.1272,171.5911,917.431714.796648.433341.4697.287003001,00000
Cash and Short Term Investments 10,743.07310,906.2339,265.4819,638.9595,990.5654,8242,146.0611,964.8972,029.8451,757.6091,844.5592,690.3410
Net Receivables 2,949.5922,795.5642,147.4322,003.4161,787.2671,885.7221,652.3621,272.7761,338.6841,135.1741,290.4161,815.9160
Inventory 00116.12214.52026.4055.691114.048144.587332.59915.9428.88
Other Current Assets 381.312762.11484.713490.538238.151207.32325.505153.039158.094135.51157.33571.926589.44
Total Current Assets 14,073.97714,463.90712,013.74812,147.4338,015.9836,943.4424,123.9283,502.0943,640.6713,172.883,624.9045,094.1253,382.967
Non-Current Assets:
Property, Plant & Equipment, Net 575.02302.68253.366285.825179.058251.11201.59181.16209.939225.417169.359171.307209.69
Goodwill 00000000000027.067
Intangible Assets 0370.398442.685504.311500.739425.268495.407394.589297.799497.569737.636446.948314.444
Goodwill and Intangible Assets 324.597370.398442.685504.311500.739425.268495.407394.589297.799497.569737.636446.948341.511
Long Term Investments 3,024.6431,831.0971,4351,3961,3681,8042,0141,216.94198.205470.42-725.76600
Tax Assets 756.416458.833316.67323.337220.136245.443162.12897.287003001,00000
Other Non-Current Assets 986.177868.7080.1620.013-0.0290.1060.495294.674246.165237.15157.905150.747153.158
Total Non-Current Assets 5,666.8533,831.7162,447.8832,509.4862,267.9042,725.9272,873.622,184.6441,552.1081,730.5561,339.134769.002704.359
Total Assets 19,740.8318,295.62514,461.63314,656.92210,283.8919,669.3736,997.555,686.7395,192.7794,903.4364,964.0385,863.1274,087.326
Liabilities & Equity:
Current Liabilities:
Account Payables 513.108542.195237.169185.756221.061356.138351.471277.064408.905353.158544.6831,133.2481,081.168
Short Term Debt 00001,6001,200000003.5288.412
Tax Payables 01,012.554339.489944.399384.674660.596401.148289.73300041.95594.264
Deferred Revenue 082.15584.416-5.4171,186.6981,753.503-7.963-7.904-5.462-5.2910582.917823.119
Other Current Liabilities 4,268.3772,276.4281,317.2561,634.3781,033.6221,208.036930.957757.637739.353633.41562.963586.386771.593
Total Current Liabilities 4,781.4853,913.3321,978.332,764.5333,239.3573,424.771,683.5761,324.4341,148.258986.5681,107.6461,765.1171,955.437
Non-Current Liabilities:
Long Term Debt 16.26221.9085.68110.304310.704316.3757.7927.79214.9520.41325.7040.0553.585
Deferred Revenue Non-Current 00-122.0690000000000
Deferred Tax Liabilities Non-Current 00122.0690000000000
Other Non-Current Liabilities 671.0421,168.0921,599.3341,579.5331,271.127891.648749.932452.23199.11165.920.00100
Total Non-Current Liabilities 687.3041,1901,605.0151,589.8371,581.8311,208.023757.724460.022214.06186.33325.7050.0553.585
Total Liabilities 5,468.7895,102.0093,583.3454,354.374,821.1884,632.7932,441.31,784.4561,362.3191,072.9011,133.3511,765.1721,959.022
Equity:
Preferred Stock 000000002.4830000
Common Stock 3,0003,0003,0004,626.8812,848.5062,842.0982,824.2272,485.7392,456.4652,447.6112,399.5592,373.071,750
Retained Earnings 12,486.5829,283.026,762.1545,149.2073,938.633,181.9232,148.9581,546.2041,166.427881.604780.7321,101.815378.304
Accumulated Other Comprehensive Income/Loss 32.7320320.5928.4421011-2.4833.563100
Other Total Stockholders Equity -1,247.277910.596795.542518.022-1,324.433-987.441-416.935-129.66210.052497.756649.559623.070
Total Shareholders Equity 14,272.03713,193.61610,878.28810,302.5525,462.7035,036.584,556.253,902.2833,830.463,830.5353,830.6874,097.9552,128.304
Total Equity 14,272.03713,193.61610,878.28810,302.5525,462.7035,036.584,556.253,902.2833,830.463,830.5353,830.6874,097.9552,128.304
Total Liabilities & Shareholders Equity 19,740.8318,295.62514,461.63314,656.92210,283.8919,669.3736,997.555,686.7395,192.7794,903.4364,964.0385,863.1274,087.326