Japan Tobacco Key Executives

This section highlights Japan Tobacco's key executives, including their titles and compensation details.

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Japan Tobacco Earnings

This section highlights Japan Tobacco's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 07, 2025
Time: Before Market
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: February 13, 2025
EPS: $0.08
Est. EPS: $22.77
Revenue: $756.48B

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q1 2024 2025-02-14 N/A N/A
Read Transcript Q3 2024 2024-10-31 $87.48 $77.29
Read Transcript Q4 2023 2024-02-14 N/A N/A
Read Transcript Q3 2023 2023-11-04 N/A N/A
Read Transcript Q2 2023 2023-07-31 $77.60 $80.18
Read Transcript Q1 2023 2023-05-07 N/A N/A

Japan Tobacco Inc. (2914.T)

Japan Tobacco Inc., a tobacco company, manufactures and sells tobacco products, prescription drugs, and processed foods in Japan and internationally. The company operates through four segments: Domestic Tobacco, International Tobacco, Pharmaceutical, and Processed Food. It offers tobacco products, such as cigarettes, cigars, pipe tobacco, oral tobacco, waterpipe tobacco, kretek, and fine cut products under the Winston, Camel, MEVIUS, and LD brands. The company also provides reduced-risk products, including tobacco-infused vapor and heated tobacco products, E-Vapor products, etc. under the Ploom, Logic, Ploom TECH, Ploom TECH+, and Ploom S brands. In addition, it researches and develops, manufactures, and sells prescription drugs for the therapeutic areas, such as cardiovascular, renal and metabolism, immunology, and neuroscience. Further, the company provides staple food products, such as frozen noodles and okonomiyaki, and frozen and packed cooked rice; ambient processed foods; bakery products; and seasonings, including yeast extracts and oyster sauce. Japan Tobacco Inc. was founded in 1898 and is headquartered in Tokyo, Japan.

Consumer Defensive Tobacco

$4060.00

Stock Price

$7.21T

Market Cap

-

Employees

Tokyo, None

Location

Financial Statements

Access annual & quarterly financial statements for Japan Tobacco, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Revenue $3.15T $2.84T $2.66T $2.32T $2.09T
Cost of Revenue $1.41T $1.23T $1.09T $956.86B $898.00B
Gross Profit $1.74T $1.62T $1.57T $1.37T $1.19T
Gross Profit Ratio 55.32% 56.85% 58.95% 58.80% 57.09%
Research and Development Expenses $- $75.10B $70.81B $65.02B $60.85B
General and Administrative Expenses $- $541.60B $941.54B $888.57B $784.47B
Selling and Marketing Expenses $- $237.79B $233.37B $204.84B $177.02B
Selling General and Administrative Expenses $1.09T $779.39B $941.54B $888.57B $784.47B
Other Expenses $-42.19B $- $-20.26B $-15.62B $-54.92B
Operating Expenses $1.05T $854.49B $921.28B $872.95B $729.55B
Cost and Expenses $2.45T $2.17T $2.01T $1.83T $1.63T
Interest Income $- $41.98B $31.15B $19.01B $12.35B
Interest Expense $- $95.22B $91.27B $45.65B $61.34B
Depreciation and Amortization $152.82B $179.65B $199.37B $187.00B $179.29B
EBITDA $837.14B $824.78B $829.17B $687.13B $622.71B
EBITDA Ratio 26.58% 29.03% 33.27% 30.33% 31.59%
Operating Income $697.20B $672.41B $653.58B $499.02B $469.05B
Operating Income Ratio 22.14% 23.67% 24.59% 21.46% 22.42%
Total Other Income Expenses Net $-89.69B $-50.81B $-60.12B $-26.63B $-48.99B
Income Before Tax $607.51B $621.60B $593.45B $472.39B $420.06B
Income Before Tax Ratio 19.29% 21.88% 22.33% 20.32% 20.07%
Income Tax Expense $140.78B $136.29B $149.28B $132.21B $108.03B
Net Income $463.37B $482.29B $442.72B $338.49B $310.25B
Net Income Ratio 14.71% 16.98% 16.66% 14.56% 14.83%
EPS $260.94 $271.69 $249.45 $190.76 $174.88
EPS Diluted $260.94 $271.63 $249.36 $190.68 $174.80
Weighted Average Shares Outstanding 1.78B 1.78B 1.77B 1.77B 1.77B
Weighted Average Shares Outstanding Diluted 1.78B 1.78B 1.78B 1.78B 1.77B
SEC Filing Source Source Source Source Source


Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Revenue $756.48B $823.39B $829.56B $740.33B $684.06B $764.21B $727.53B $665.28B $649.28B $741.72B $685.32B $581.50B $558.76B $621.54B $597.17B $547.37B $500.46B $561.88B $510.60B $519.62B
Cost of Revenue $367.17B $358.01B $387.68B $320.10B $372.83B $315.56B $301.48B $262.33B $284.51B $298.61B $276.59B $231.28B $248.21B $253.22B $238.82B $216.60B $226.96B $234.59B $215.32B $221.13B
Gross Profit $389.31B $465.38B $441.88B $420.23B $311.23B $448.64B $426.06B $402.95B $364.78B $443.11B $408.73B $350.23B $310.55B $368.31B $358.35B $330.76B $273.50B $327.29B $295.28B $298.49B
Gross Profit Ratio 51.46% 56.52% 53.30% 56.80% 45.50% 58.70% 58.60% 60.60% 56.20% 59.70% 59.60% 60.20% 55.60% 59.30% 60.00% 60.40% 54.65% 58.25% 57.83% 57.44%
Research and Development Expenses $- $- $18.58B $17.27B $22.05B $18.16B $17.82B $17.07B $21.59B $16.63B $17.05B $15.54B $18.26B $15.18B $16.88B $14.70B $60.85B $- $- $-
General and Administrative Expenses $- $- $261.86B $212.86B $305.65B $247.35B $226.77B $201.28B $301.68B $252.37B $212.20B $175.29B $298.04B $216.53B $200.40B $173.60B $245.31B $191.77B $174.21B $173.19B
Selling and Marketing Expenses $- $- $-45.17B $- $-59.99B $- $- $- $233.37B $- $- $- $204.84B $- $- $- $177.02B $- $- $-
Selling General and Administrative Expenses $342.00B $270.56B $216.70B $212.86B $245.67B $247.35B $226.77B $201.28B $301.68B $252.37B $212.20B $175.29B $298.04B $216.53B $200.40B $173.60B $245.31B $191.77B $174.21B $173.19B
Other Expenses $-13.27B $- $1.00M $- $- $- $- $-3.44B $-9.39B $-2.99B $-5.27B $-2.62B $-5.36B $-4.94B $-2.91B $-2.41B $-49.67B $-1.25B $-974.00M $-3.03B
Operating Expenses $328.73B $270.56B $235.28B $206.49B $267.72B $233.61B $221.16B $197.84B $292.29B $249.38B $206.94B $172.67B $292.68B $211.59B $197.49B $171.19B $195.63B $190.52B $173.24B $170.16B
Cost and Expenses $695.91B $628.57B $622.96B $526.59B $640.55B $549.17B $522.64B $460.17B $576.79B $547.99B $483.53B $403.95B $540.89B $464.81B $436.31B $387.80B $422.60B $425.11B $388.56B $391.29B
Interest Income $- $19.49B $16.61B $14.88B $14.76B $12.66B $9.51B $7.48B $13.39B $7.87B $4.74B $5.15B $3.20B $8.90B $3.38B $3.54B $6.52B $2.09B $2.14B $1.60B
Interest Expense $- $42.26B $35.65B $29.43B $19.93B $18.17B $26.38B $30.74B $29.77B $29.63B $23.05B $8.82B $12.96B $17.78B $7.58B $7.33B $10.89B $20.69B $14.31B $15.45B
Depreciation and Amortization $22.57B $42.13B $44.16B $43.97B $49.41B $43.91B $44.10B $42.23B $47.96B $54.65B $50.67B $46.37B $47.30B $48.03B $46.91B $44.79B $44.50B $44.25B $44.43B $46.47B
EBITDA $78.62B $265.59B $259.08B $257.71B $69.50B $258.94B $248.99B $247.34B $111.54B $248.38B $252.47B $223.93B $61.52B $204.75B $207.77B $207.36B $129.90B $181.02B $166.47B $174.80B
EBITDA Ratio 10.39% 32.26% 30.23% 37.10% 13.58% 35.97% 35.84% 38.50% 20.88% 34.90% 37.94% 39.53% 12.32% 34.68% 35.54% 38.09% 25.96% 32.84% 33.22% 34.07%
Operating Income $60.57B $194.82B $206.60B $215.82B $43.51B $218.29B $207.15B $206.40B $74.23B $196.37B $204.60B $178.37B $18.32B $158.61B $161.96B $160.13B $78.87B $138.19B $123.03B $128.95B
Operating Income Ratio 8.01% 23.66% 24.90% 29.15% 6.36% 28.56% 28.47% 31.03% 11.43% 26.47% 29.86% 30.67% 3.28% 25.52% 27.12% 29.25% 15.76% 24.59% 24.10% 24.82%
Total Other Income Expenses Net $-33.34B $-13.62B $-8.79B $-14.55B $-8.12B $5.48B $-16.87B $-23.26B $-18.30B $-16.12B $-12.91B $-1.98B $-3.94B $-8.50B $-7.35B $-3.79B $-4.37B $-15.93B $-12.95B $-13.26B
Income Before Tax $27.24B $181.20B $197.81B $201.27B $35.39B $212.78B $190.28B $183.15B $57.85B $174.61B $186.28B $174.70B $8.57B $149.73B $157.75B $156.34B $74.50B $119.60B $110.86B $115.10B
Income Before Tax Ratio 3.60% 22.01% 23.84% 27.19% 5.17% 27.84% 26.15% 27.53% 8.91% 23.54% 27.18% 30.04% 1.53% 24.09% 26.42% 28.56% 14.89% 21.29% 21.71% 22.15%
Income Tax Expense $5.05B $43.78B $48.45B $43.50B $-5.38B $56.71B $47.05B $37.92B $17.61B $35.69B $45.88B $50.10B $8.67B $35.38B $45.85B $42.30B $22.10B $33.33B $24.39B $28.22B
Net Income $20.95B $137.24B $147.91B $157.26B $40.28B $155.00B $142.33B $144.68B $38.91B $139.74B $139.95B $124.11B $-323.00M $113.62B $111.40B $113.79B $52.31B $85.45B $86.12B $86.37B
Net Income Ratio 2.77% 16.67% 17.83% 21.24% 5.89% 20.28% 19.56% 21.75% 5.99% 18.84% 20.42% 21.34% -0.06% 18.28% 18.66% 20.79% 10.45% 15.21% 16.87% 16.62%
EPS $11.80 $77.29 $83.30 $88.58 $22.69 $87.31 $80.18 $81.52 $21.92 $78.74 $78.86 $69.94 $-0.18 $64.03 $62.78 $64.13 $29.48 $48.16 $48.54 $48.69
EPS Diluted $11.80 $77.28 $83.29 $88.57 $22.68 $87.29 $80.16 $81.49 $21.91 $78.71 $78.83 $69.91 $-0.18 $64.00 $62.76 $64.10 $29.48 $48.14 $48.52 $48.67
Weighted Average Shares Outstanding 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B 1.77B
Weighted Average Shares Outstanding Diluted 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.78B 1.77B 1.78B 1.77B 1.77B
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Cash and Cash Equivalents $1.08T $1.04T $866.88B $721.73B $538.84B
Short Term Investments $120.21B $- $37.68B $17.25B $18.83B
Cash and Short Term Investments $1.20T $1.04T $904.56B $738.99B $557.67B
Net Receivables $568.98B $535.30B $499.14B $475.62B $402.80B
Inventory $957.28B $832.61B $691.91B $563.18B $539.76B
Other Current Assets $846.53B $851.44B $1.14T $980.48B $503.69B
Total Current Assets $3.58T $3.26T $2.72T $2.32T $2.00T
Property Plant Equipment Net $907.70B $821.50B $775.96B $755.84B $759.29B
Goodwill $2.91T $2.62T $2.45T $2.06T $1.91T
Intangible Assets $486.46B $206.98B $246.44B $307.15B $363.60B
Goodwill and Intangible Assets $3.40T $2.82T $2.69T $2.37T $2.27T
Long Term Investments $202.87B $222.38B $159.63B $133.12B $128.54B
Tax Assets $- $89.38B $91.43B $120.42B $122.53B
Other Non-Current Assets $192.25B $65.86B $104.96B $75.42B $94.10B
Total Non-Current Assets $4.70T $4.02T $3.82T $3.45T $3.38T
Other Assets $- $- $- $- $-1.00M
Total Assets $8.28T $7.28T $6.55T $5.77T $5.38T
Account Payables $659.51B $592.80B $540.09B $555.78B $187.26B
Short Term Debt $178.67B $233.33B $137.31B $142.90B $158.72B
Tax Payables $- $29.65B $37.47B $30.79B $46.46B
Deferred Revenue $- $- $- $83.99B $93.47B
Other Current Liabilities $1.14T $1.07T $847.80B $686.86B $931.35B
Total Current Liabilities $1.98T $1.93T $1.56T $1.50T $1.32T
Long Term Debt $1.60T $908.93B $861.01B $817.81B $864.91B
Deferred Revenue Non-Current $- $- $- $362.93B $413.25B
Deferred Tax Liabilities Non-Current $- $40.59B $40.06B $69.96B $64.45B
Other Non-Current Liabilities $572.54B $492.82B $467.58B $137.10B $115.48B
Total Non-Current Liabilities $2.17T $1.44T $1.37T $1.39T $1.46T
Other Liabilities $- $- $- $- $-
Total Liabilities $4.15T $3.37T $2.93T $2.89T $2.78T
Preferred Stock $- $- $- $400.09B $605.78B
Common Stock $100.00B $100.00B $100.00B $100.00B $100.00B
Retained Earnings $3.32T $3.19T $3.09T $2.86T $2.78T
Accumulated Other Comprehensive Income Loss $381.60B $290.55B $104.31B $-400.09B $-605.78B
Other Total Stockholders Equity $248.12B $247.28B $246.22B $-554.67B $-966.66B
Total Stockholders Equity $4.05T $3.83T $3.54T $2.81T $2.52T
Total Equity $4.13T $3.91T $3.62T $2.89T $2.60T
Total Liabilities and Stockholders Equity $8.28T $7.28T $6.55T $5.77T $5.38T
Minority Interest $82.10B $82.34B $76.33B $76.82B $76.66B
Total Liabilities and Total Equity $8.28T $7.28T $6.55T $5.77T $5.38T
Total Investments $323.08B $222.38B $197.31B $150.38B $147.37B
Total Debt $1.78T $1.14T $958.31B $918.62B $958.88B
Net Debt $691.43B $102.05B $91.43B $196.89B $420.04B


Balance Sheet Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Cash and Cash Equivalents $1.08T $794.85B $1.09T $766.95B $1.04T $869.04B $827.22B $665.15B $866.88B $778.46B $748.70B $655.26B $721.73B $630.65B $480.71B $424.31B $538.84B $458.13B $407.74B $301.06B
Short Term Investments $120.21B $- $24.48B $50.46B $58.63B $77.97B $83.32B $40.23B $37.68B $58.78B $37.58B $35.23B $17.25B $18.26B $20.58B $21.26B $18.83B $25.94B $28.17B $40.85B
Cash and Short Term Investments $1.20T $794.85B $1.09T $817.41B $1.04T $947.02B $910.54B $705.38B $904.56B $837.24B $786.28B $690.49B $738.99B $648.92B $501.29B $445.57B $557.67B $458.13B $435.91B $341.91B
Net Receivables $568.98B $566.37B $657.92B $571.26B $535.30B $570.07B $561.81B $473.83B $499.14B $548.03B $553.54B $445.37B $475.62B $486.14B $464.58B $431.28B $402.80B $433.56B $445.35B $407.04B
Inventory $957.28B $871.48B $941.57B $875.47B $832.61B $826.95B $772.30B $705.16B $691.91B $685.23B $654.67B $583.43B $563.18B $540.21B $549.82B $553.04B $539.76B $600.12B $653.71B $622.12B
Other Current Assets $846.53B $752.89B $774.08B $771.13B $1.42T $717.03B $742.20B $649.58B $1.14T $614.97B $630.92B $561.48B $980.48B $513.26B $564.10B $522.22B $503.69B $420.28B $403.31B $432.59B
Total Current Assets $3.58T $2.99T $3.46T $2.98T $3.26T $2.98T $2.90T $2.49T $2.72T $2.63T $2.59T $2.25T $2.32T $2.17T $2.06T $1.93T $2.00T $1.91T $1.91T $1.76T
Property Plant Equipment Net $907.70B $830.73B $890.15B $846.26B $821.50B $812.78B $810.15B $775.82B $775.96B $802.18B $822.04B $760.14B $755.84B $758.06B $763.18B $767.18B $759.29B $753.25B $780.73B $782.18B
Goodwill $2.91T $2.59T $2.93T $2.73T $2.62T $2.71T $2.65T $2.48T $2.45T $2.62T $2.54T $2.10T $2.06T $2.04T $2.03T $1.99T $1.91T $1.87T $1.91T $1.89T
Intangible Assets $486.46B $164.13B $191.40B $193.66B $206.98B $228.13B $237.29B $236.53B $246.44B $276.20B $297.56B $297.00B $307.15B $324.59B $345.89B $363.38B $363.60B $376.52B $396.89B $410.87B
Goodwill and Intangible Assets $3.40T $2.76T $3.12T $2.93T $2.82T $2.94T $2.89T $2.72T $2.69T $2.90T $2.84T $2.40T $2.37T $2.36T $2.37T $2.35T $2.27T $1.87T $2.30T $2.30T
Long Term Investments $202.87B $211.29B $218.25B $169.79B $222.38B $134.38B $129.08B $158.85B $159.63B $152.66B $164.52B $117.31B $133.12B $130.92B $127.09B $134.16B $128.54B $-1.80T $115.67B $103.94B
Tax Assets $- $84.77B $98.09B $95.95B $89.38B $80.24B $80.59B $91.14B $91.43B $116.17B $117.36B $125.59B $120.42B $109.93B $113.27B $112.97B $122.53B $122.56B $128.32B $132.47B
Other Non-Current Assets $192.25B $77.29B $82.07B $136.84B $65.86B $154.79B $159.41B $109.68B $104.96B $130.99B $115.36B $99.00B $75.42B $98.94B $102.09B $101.79B $94.10B $2.39T $108.22B $122.04B
Total Non-Current Assets $4.70T $3.96T $4.41T $4.17T $4.02T $4.12T $4.07T $3.85T $3.82T $4.10T $4.06T $3.50T $3.45T $3.46T $3.48T $3.47T $3.38T $3.33T $3.44T $3.44T
Other Assets $- $- $- $1.00M $- $- $- $- $- $-1.00M $- $-1.00M $- $- $- $- $-1.00M $- $- $1.00M
Total Assets $8.28T $6.95T $7.87T $7.16T $7.28T $7.10T $6.97T $6.35T $6.55T $6.73T $6.65T $5.75T $5.77T $5.63T $5.54T $5.40T $5.38T $5.24T $5.35T $5.20T
Account Payables $659.51B $481.94B $524.78B $523.22B $329.38B $486.27B $481.86B $473.30B $540.09B $455.66B $462.42B $483.80B $555.78B $426.12B $388.67B $382.83B $187.26B $374.64B $357.73B $351.40B
Short Term Debt $178.67B $189.34B $76.55B $80.32B $255.13B $59.86B $136.25B $142.11B $137.31B $167.86B $161.07B $162.51B $142.90B $167.14B $78.82B $158.32B $158.72B $346.03B $383.01B $290.44B
Tax Payables $- $- $35.42B $37.46B $29.65B $77.04B $69.69B $71.35B $37.47B $75.69B $72.47B $49.97B $30.79B $39.71B $43.38B $29.78B $46.46B $- $53.80B $58.57B
Deferred Revenue $- $37.32B $35.42B $99.84B $29.65B $136.15B $137.29B $- $- $- $- $- $83.99B $89.38B $100.08B $82.56B $93.47B $-346.03B $96.08B $98.44B
Other Current Liabilities $1.14T $868.44B $1.06T $888.98B $1.31T $804.01B $703.81B $737.52B $847.80B $778.62B $754.82B $682.01B $686.86B $615.58B $590.15B $582.05B $931.35B $703.88B $532.39B $521.25B
Total Current Liabilities $1.98T $1.58T $1.73T $1.63T $1.93T $1.56T $1.53T $1.42T $1.56T $1.48T $1.45T $1.38T $1.50T $1.34T $1.20T $1.24T $1.32T $1.42T $1.42T $1.32T
Long Term Debt $1.60T $888.87B $1.08T $939.27B $946.72B $954.13B $946.75B $832.88B $861.01B $772.16B $841.31B $799.95B $817.81B $799.89B $848.15B $452.80B $864.91B $689.44B $698.51B $408.72B
Deferred Revenue Non-Current $- $- $- $364.23B $37.79B $344.74B $334.37B $- $- $- $- $- $362.93B $380.53B $391.85B $388.18B $413.25B $- $373.43B $374.40B
Deferred Tax Liabilities Non-Current $- $39.78B $45.06B $39.39B $40.59B $53.00B $41.93B $38.69B $40.06B $79.56B $80.39B $71.31B $69.96B $73.94B $75.89B $69.61B $64.45B $- $72.57B $72.60B
Other Non-Current Liabilities $572.54B $468.29B $488.14B $113.84B $417.24B $184.67B $172.68B $464.53B $467.58B $532.73B $521.76B $514.65B $137.10B $171.04B $159.05B $158.61B $115.48B $616.11B $155.63B $149.92B
Total Non-Current Liabilities $2.17T $1.40T $1.61T $1.46T $1.44T $1.54T $1.50T $1.34T $1.37T $1.38T $1.44T $1.39T $1.39T $1.43T $1.47T $1.46T $1.46T $1.31T $1.30T $1.38T
Other Liabilities $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $2.51T $- $-
Total Liabilities $4.15T $2.97T $3.34T $3.09T $3.37T $3.10T $3.02T $2.76T $2.93T $2.86T $2.89T $2.76T $2.89T $2.76T $2.68T $2.69T $2.78T $5.24T $2.72T $2.70T
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $314.67B $400.09B $437.56B $443.15B $- $605.78B $546.22B $586.90B $622.46B
Common Stock $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B $100.00B
Retained Earnings $3.32T $3.30T $3.34T $3.17T $3.19T $3.17T $3.18T $3.03T $3.09T $3.04T $3.03T $2.87T $2.86T $2.88T $2.88T $2.77T $2.78T $2.74T $2.79T $2.70T
Accumulated Other Comprehensive Income Loss $381.60B $240.75B $755.69B $470.12B $290.55B $406.69B $343.72B $126.69B $104.31B $400.17B $297.27B $-314.67B $-400.09B $-437.56B $-443.15B $344.94B $-605.78B $-646.22B $-586.90B $-622.46B
Other Total Stockholders Equity $248.12B $248.12B $248.05B $247.32B $247.28B $247.28B $246.68B $246.36B $246.22B $246.21B $246.21B $-383.74B $-554.67B $-629.64B $-640.82B $-244.04B $-966.66B $-847.55B $-928.92B $-1.00T
Total Stockholders Equity $4.05T $3.89T $4.44T $3.99T $3.83T $3.92T $3.87T $3.51T $3.54T $3.79T $3.68T $2.91T $2.81T $2.79T $2.79T $2.63T $2.52T $2.43T $2.54T $2.42T
Total Equity $4.13T $3.97T $4.53T $4.07T $3.91T $4.00T $3.95T $3.59T $3.62T $3.87T $3.75T $2.98T $2.89T $2.87T $2.86T $2.71T $2.60T $2.51T $2.62T $2.50T
Total Liabilities and Stockholders Equity $8.28T $6.95T $7.87T $7.16T $7.28T $7.10T $6.97T $6.35T $6.55T $6.73T $6.65T $5.75T $5.77T $5.63T $5.54T $5.40T $5.38T $5.24T $5.35T $5.20T
Minority Interest $82.10B $80.59B $84.08B $82.97B $82.34B $82.57B $82.08B $78.96B $76.33B $76.52B $77.49B $77.32B $76.82B $76.50B $76.75B $76.66B $76.66B $79.36B $79.31B $79.14B
Total Liabilities and Total Equity $8.28T $6.95T $7.87T $7.16T $7.28T $7.10T $6.97T $6.35T $6.55T $6.73T $6.65T $5.75T $5.77T $5.63T $5.54T $5.40T $5.38T $5.24T $5.35T $5.20T
Total Investments $323.08B $211.29B $218.25B $220.25B $222.38B $212.36B $212.40B $199.07B $197.31B $211.44B $202.10B $152.54B $150.38B $149.18B $147.67B $155.42B $147.37B $-1.80T $143.84B $144.79B
Total Debt $1.78T $1.08T $1.15T $1.02T $1.20T $1.01T $1.08T $974.99B $958.31B $940.02B $1.00T $962.47B $918.62B $967.02B $926.97B $999.30B $958.88B $689.44B $1.08T $1.07T
Net Debt $691.43B $283.36B $64.64B $252.64B $161.64B $144.94B $255.78B $309.84B $91.43B $161.56B $253.68B $307.21B $196.89B $336.37B $446.27B $575.00B $420.04B $231.31B $673.78B $772.50B

Annual Cash Flow

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Net Income $463.37B $621.60B $593.45B $472.39B $420.06B
Depreciation and Amortization $179.84B $179.65B $199.65B $187.06B $179.65B
Deferred Income Tax $- $- $- $- $-593.00M
Stock Based Compensation $- $- $- $- $593.00M
Change in Working Capital $-35.07B $-64.36B $-103.04B $56.68B $66.66B
Accounts Receivables $45.77B $-30.17B $26.57B $-29.89B $21.55B
Inventory $-96.57B $-136.23B $-93.91B $9.77B $748.00M
Accounts Payables $- $41.00B $-38.25B $111.91B $39.29B
Other Working Capital $15.73B $61.04B $2.55B $-35.11B $5.07B
Other Non Cash Items $21.88B $-169.87B $-206.26B $-117.22B $-146.55B
Net Cash Provided by Operating Activities $630.01B $567.01B $483.80B $598.91B $519.83B
Investments in Property Plant and Equipment $-127.77B $-94.86B $-99.41B $-102.92B $-108.62B
Acquisitions Net $-265.67B $1.37B $3.03B $2.56B $16.27B
Purchases of Investments $- $-113.01B $-37.76B $-29.24B $-40.48B
Sales Maturities of Investments $- $105.39B $19.81B $25.36B $50.14B
Other Investing Activities $-46.33B $-25.01B $12.51B $6.74B $88.05B
Net Cash Used for Investing Activities $-439.77B $-126.13B $-101.82B $-97.50B $5.35B
Debt Repayment $407.52B $122.62B $-29.76B $-78.84B $-2.11B
Common Stock Issued $- $- $- $- $-
Common Stock Repurchased $-2.00M $-1.00M $-1.00M $-1.00M $-1.00M
Dividends Paid $-349.64B $-367.33B $-266.18B $-251.94B $-273.13B
Other Financing Activities $-152.78B $-25.79B $-10.24B $-22.36B $-22.16B
Net Cash Used Provided by Financing Activities $-94.91B $-270.50B $-306.18B $-353.14B $-297.40B
Effect of Forex Changes on Cash $-50.98B $2.94B $69.35B $34.62B $-46.10B
Net Change in Cash $1.08T $173.32B $145.15B $182.89B $181.69B
Cash at End of Period $1.08T $1.04T $866.88B $721.73B $538.84B
Cash at Beginning of Period $- $866.88B $721.73B $538.84B $357.16B
Operating Cash Flow $630.01B $567.01B $483.80B $598.91B $519.83B
Capital Expenditure $-127.77B $-121.21B $-99.41B $-102.92B $-108.62B
Free Cash Flow $502.24B $445.80B $384.39B $495.99B $411.21B

Cash Flow Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Net Income $20.95B $137.24B $147.91B $201.27B $40.28B $212.78B $190.28B $183.15B $57.85B $174.61B $186.29B $174.70B $8.57B $149.73B $157.75B $156.34B $74.50B $119.60B $110.86B $115.10B
Depreciation and Amortization $49.59B $42.13B $44.16B $43.97B $49.41B $43.91B $44.10B $42.23B $47.96B $54.65B $50.67B $46.37B $47.31B $48.03B $46.91B $44.81B $44.50B $44.25B $44.43B $46.47B
Deferred Income Tax $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Stock Based Compensation $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $593.00M $- $- $-
Change in Working Capital $119.33B $-58.45B $359.00M $-103.27B $45.54B $65.07B $-34.64B $-140.34B $138.06B $34.17B $-132.24B $-143.04B $132.90B $93.39B $-28.60B $-141.00B $68.00B $140.35B $-11.82B $-129.86B
Accounts Receivables $78.50B $37.60B $-50.72B $-19.61B $35.45B $-11.07B $-60.64B $6.10B $42.70B $1.10B $-40.13B $22.90B $27.98B $-20.25B $-30.53B $-7.09B $29.66B $15.48B $-35.18B $11.59B
Inventory $-30.11B $-26.20B $-29.38B $-10.87B $-38.76B $-49.11B $-33.99B $-14.37B $-56.71B $-23.95B $-10.98B $-2.26B $-20.05B $11.81B $9.01B $8.99B $-34.31B $31.72B $-30.28B $33.61B
Accounts Payables $- $13.37B $-24.39B $-80.99B $104.77B $2.81B $-3.80B $-62.78B $93.46B $3.65B $-57.94B $-77.42B $128.89B $34.17B $9.85B $-61.01B $- $- $- $-
Other Working Capital $70.94B $-83.22B $104.85B $-28.44B $-55.91B $122.44B $63.79B $-69.29B $58.61B $53.38B $-23.19B $-140.77B $152.94B $81.58B $-37.61B $-150.00B $102.30B $108.62B $18.45B $-163.47B
Other Non Cash Items $48.13B $10.89B $198.76B $-43.39B $-58.65B $-38.19B $-48.55B $-29.37B $-103.70B $-30.00B $-33.52B $-39.05B $-18.80B $-37.09B $-13.54B $-47.79B $-65.33B $-32.67B $-14.89B $-33.66B
Net Cash Provided by Operating Activities $238.00B $131.81B $198.37B $61.83B $76.58B $283.57B $151.20B $55.66B $140.18B $233.44B $71.20B $38.98B $169.98B $254.06B $162.52B $12.35B $121.67B $271.52B $128.58B $-1.94B
Investments in Property Plant and Equipment $-41.56B $-40.26B $-34.02B $-28.85B $-42.41B $-27.87B $-21.91B $-29.03B $-34.69B $-24.10B $-21.00B $-19.62B $-30.40B $-25.63B $-24.77B $-22.12B $-33.17B $-26.14B $-20.01B $-29.29B
Acquisitions Net $-265.67B $- $16.00M $-7.00M $-8.00M $396.00M $-2.16B $973.00M $2.98B $7.00M $43.00M $-2.88B $50.00M $961.00M $1.40B $1.11B $-125.00M $-1.00B $-4.34B $17.40B
Purchases of Investments $- $-82.85B $-8.74B $-10.17B $-36.37B $-4.71B $-48.25B $-23.68B $-9.59B $-7.04B $-9.16B $-11.96B $-8.76B $-6.30B $-8.53B $-5.64B $-8.64B $-4.64B $-12.86B $-14.35B
Sales Maturities of Investments $- $8.46B $40.66B $9.65B $56.30B $18.70B $4.71B $8.53B $4.23B $357.00M $6.05B $9.17B $7.98B $7.11B $7.05B $3.21B $8.29B $13.13B $12.29B $16.42B
Other Investing Activities $10.10B $708.00M $1.07B $-375.00M $393.00M $12.09B $6.66B $1.50B $5.22B $-367.00M $7.96B $2.58B $-1.31B $-1.84B $-4.52B $-2.16B $77.06B $12.00M $-4.13B $-8.20B
Net Cash Used for Investing Activities $-297.13B $-113.93B $-1.01B $-27.67B $-22.10B $-1.39B $-60.94B $-41.71B $-31.84B $-31.14B $-16.11B $-22.73B $-27.40B $-23.64B $-24.01B $-22.45B $48.94B $-15.70B $-20.36B $-7.52B
Debt Repayment $342.76B $6.75B $86.07B $-161.12B $149.92B $-77.18B $44.25B $5.63B $45.65B $-61.36B $-31.73B $17.68B $-55.38B $41.53B $-75.00B $10.01B $-123.68B $-42.28B $12.09B $109.56B
Common Stock Issued $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $- $-1.00M $- $-1.00M $- $-1.00M $- $- $- $-1.00M $-1.00M $- $-1.00M $- $- $- $-1.00M $- $- $-
Dividends Paid $-588.00M $-171.59B $-4.75B $-172.72B $-367.00M $-166.47B $-5.03B $-195.46B $-299.00M $-132.82B $-3.81B $-129.25B $-318.00M $-115.03B $-4.77B $-131.82B $-381.00M $-136.22B $-1.76B $-134.78B
Other Financing Activities $2.34B $-7.09B $-7.57B $-7.41B $-6.31B $-6.79B $-6.13B $-6.57B $5.84B $-5.04B $-5.85B $-5.19B $-6.11B $-5.16B $-5.46B $-5.64B $34.81B $-4.68B $-4.22B $-5.87B
Net Cash Used Provided by Financing Activities $344.51B $-171.93B $73.74B $-341.25B $143.25B $-250.44B $33.09B $-196.40B $51.19B $-199.21B $-41.39B $-116.77B $-61.80B $-78.65B $-85.23B $-127.45B $-89.25B $-183.18B $6.12B $-31.10B
Effect of Forex Changes on Cash $4.33B $-138.93B $49.79B $33.83B $-26.57B $10.08B $38.72B $-19.29B $-71.10B $26.68B $79.73B $34.04B $10.30B $-1.82B $3.12B $23.01B $-650.00M $-22.26B $-7.65B $-15.54B
Net Change in Cash $289.72B $-292.99B $320.89B $-273.26B $171.16B $41.82B $162.07B $-201.73B $88.42B $29.77B $93.44B $-66.47B $91.08B $149.95B $56.40B $-114.54B $80.71B $50.39B $106.68B $-56.10B
Cash at End of Period $1.08T $794.85B $1.09T $766.95B $1.04T $869.04B $827.22B $665.15B $866.88B $778.46B $748.70B $655.26B $721.73B $630.65B $480.71B $424.31B $538.84B $458.13B $407.74B $301.06B
Cash at Beginning of Period $794.85B $1.09T $766.95B $1.04T $869.04B $827.22B $665.15B $866.88B $778.46B $748.70B $655.26B $721.73B $630.65B $480.71B $424.31B $538.84B $458.13B $407.74B $301.06B $357.16B
Operating Cash Flow $238.00B $131.81B $198.37B $61.83B $76.58B $283.57B $151.20B $55.66B $140.18B $233.44B $71.20B $38.98B $169.98B $254.06B $162.52B $12.35B $121.67B $271.52B $128.58B $-1.94B
Capital Expenditure $-41.56B $-29.83B $-34.02B $-28.85B $-42.41B $-27.87B $-21.91B $-29.03B $-34.69B $-24.10B $-21.00B $-19.62B $-30.40B $-25.63B $-24.77B $-22.12B $-33.17B $-26.14B $-20.01B $-29.29B
Free Cash Flow $196.44B $101.98B $164.36B $32.98B $34.17B $255.71B $129.29B $26.64B $105.49B $209.34B $50.20B $19.36B $139.57B $228.43B $137.75B $-9.76B $88.50B $245.38B $108.56B $-31.23B

Japan Tobacco Dividends

Explore Japan Tobacco's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

4.83%

Dividend Payout Ratio

75.46%

Dividend Paid & Capex Coverage Ratio

1.32x

Japan Tobacco Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0 $0 June 27, 2025
$97 $97 December 27, 2024 December 31, 2024 March 27, 2025
$97 $97 June 27, 2024 June 30, 2024 September 04, 2024
$100 $100 December 28, 2023 December 31, 2023 March 25, 2024
$94 $94 June 29, 2023 June 30, 2023 September 01, 2023
$113 $113 December 29, 2022 December 31, 2022 March 27, 2023
$75 $75 June 29, 2022 June 30, 2022 September 01, 2022
$65 $75 December 29, 2021 December 31, 2021 March 24, 2022
$65 $65 June 29, 2021 June 30, 2021 September 01, 2021
$77 $77 December 29, 2020 December 31, 2020 March 25, 2021
$77 $77 June 29, 2020 June 30, 2020 September 01, 2020
$77 $77 December 27, 2019 December 31, 2019 March 23, 2020
$77 $77 June 26, 2019 June 30, 2019 September 02, 2019
$75 $75 December 26, 2018 December 31, 2018 March 22, 2019
$75 $75 June 27, 2018 June 30, 2018 September 03, 2018
$70 $70 December 27, 2017 December 31, 2017 March 28, 2018
$70 $70 June 28, 2017 June 30, 2017 September 01, 2017
$66 $66 December 28, 2016
$64 $64 June 28, 2016
$64 $64 December 28, 2015

Japan Tobacco News

Read the latest news about Japan Tobacco, including recent articles, headlines, and updates.

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