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SHMXY

Shimadzu Corp.

Price Chart
Latest Quote

$11.90

+0.00 (+0.00%)
Current Price
Previous Close $11.90
Open $16.77
Day High $16.77
Day Low $16.77
Volume 100
Fetched: 2026-06-16T05:27:12
Stock Information
Note: Financial values converted from JPY to USD
Quarterly Dividend / Yield $0.22 / 1.83%
Shares Outstanding 577.88M
Quarterly Dividend Yield 1.83%
Quarterly Dividend $0.22
Total Debt $74.95M
Cash Equivalents $915.61M
Revenue $3.48B
Net Income $356.48M
Sector Technology
Industry Scientific & Technical Instruments
Market Cap $7.08B
P/E Ratio 20.09
EPS (TTM) $0.61
Exchange PNK
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Recent Price History
Date Close Volume
2026-06-15 $11.90 0
2026-06-12 $11.90 0
2026-06-11 $11.90 0
2026-06-10 $11.90 0
2026-06-09 $11.90 0
2026-06-08 $11.90 0
2026-06-05 $11.90 382
2026-06-04 $12.68 0
2026-06-03 $12.68 462
2026-06-02 $12.88 149
2026-06-01 $12.35 13,428
2026-05-29 $11.80 0
2026-05-28 $11.80 1,751
2026-05-27 $10.70 0
2026-05-26 $10.70 0
2026-05-22 $10.70 146
2026-05-21 $12.45 0
2026-05-20 $12.45 146
2026-05-19 $11.60 0
2026-05-18 $11.60 0
About Shimadzu Corp.

Shimadzu Corporation provides equipment solutions in Japan and Internationally. It operates through Measuring Instruments, Medical Equipment, Industrial Equipment, and Aircraft Equipment business segments. The company offers analytical and measuring instruments which includes gas and liquid chromatography, gas and liquid chromatograph-mass spectrometry, software and informatics, molecular spectroscopy, elemental analysis, surface analysis, life science lab instrument, material testing, non-destructive testing, total organic carbon analysis, continuous monitoring analysis, thermal analysis, particle size analysis, and balance products, as well as MALDI-based instruments and solutions, columns, reagents, and consumables products. It also provides medical systems comprising angiography, fluoroscopy, mobile C-arm, radiography, mobile X-ray systems, PET, and fluorescence imaging products; optical devices which consist of diffraction gratings, aspherical mirrors, laser mirrors and windows for high power lasers, polka-dot beam splitters, laser spectrum analyzers, and precision refractometers. In addition, the company offers vacuum and industrial machinery, including turbo molecular pumps, helium leak detectors, multi deposition system, vacuum heat-treatment furnaces, liquid delivery equipment gear pumps, mechatronic systems glass fiber winders, ferromagnetic object detector, underwater optical wireless communication, liquid crystal injection system, and dynamic balancing machines. Further, the company provides hydraulic equipment, such as hydraulic gear pumps, power packages, and multi control valves; and aircraft equipment, including electro-mechanical actuators, flight control systems, and landing gear systems. It serves in Spectroscopic Analysis, Optical Communication, Laser, Medical, and Food industries. Shimadzu Corporation was founded in 1875 and is headquartered in Kyoto, Japan.

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Income Statement (Annual)
Metric 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Revenue
Reconciled Cost Of Revenue $304,604,000,000 $291,053,000,000 $281,280,000,000 $249,559,000,000
Cost Of Revenue $304,604,000,000 $291,053,000,000 $281,280,000,000 $249,559,000,000
Total Revenue $539,047,000,000 $511,895,000,000 $482,240,000,000 $428,175,000,000
Operating Revenue $539,047,000,000 $511,895,000,000 $482,240,000,000 $428,175,000,000
Expenses
Interest Expense $278,000,000 $294,000,000 $281,000,000 $188,000,000
Total Expenses $467,326,000,000 $439,141,000,000 $414,019,000,000 $364,368,000,000
Other Non Operating Income Expenses $-78,000,000 $69,000,000 $583,000,000 $42,000,000
Net Non Operating Interest Income Expense $1,254,000,000 $1,020,000,000 $281,000,000 $99,000,000
Interest Expense Non Operating $278,000,000 $294,000,000 $281,000,000 $188,000,000
Operating Expense $162,722,000,000 $148,088,000,000 $132,739,000,000 $114,809,000,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $53,776,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Net Interest Income $1,254,000,000 $1,020,000,000 $281,000,000 $99,000,000
Interest Income $1,532,000,000 $1,314,000,000 $562,000,000 $287,000,000
Normalized Income $53,802,250,000 $56,766,535,000 $51,892,915,000 $46,838,007,000
Net Income From Continuing And Discontinued Operation $53,776,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Total Operating Income As Reported $71,720,000,000 $72,753,000,000 $68,219,000,000 $63,806,000,000
Net Income Common Stockholders $53,776,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Net Income $53,776,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Net Income Including Noncontrolling Interests $53,774,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Net Income Continuous Operations $53,775,000,000 $57,037,000,000 $52,049,000,000 $47,290,000,000
Pretax Income $71,728,000,000 $76,967,000,000 $70,832,000,000 $65,947,000,000
Special Income Charges $-1,265,000,000 $281,000,000 $110,000,000 $494,000,000
Interest Income Non Operating $1,532,000,000 $1,314,000,000 $562,000,000 $287,000,000
Operating Income $71,720,000,000 $72,754,000,000 $68,220,000,000 $63,806,000,000
Gross Profit $234,442,000,000 $220,842,000,000 $200,959,000,000 $178,615,000,000
Per Share
Diluted EPS $91.78 $96.77 $88.32 $80.25
Basic EPS $91.78 $96.77 $88.32 $80.25
Other
Tax Effect Of Unusual Items $-8,750,000 $94,535,000 $55,915,000 $178,007,000
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $91,936,000,000 $95,447,000,000 $88,426,000,000 $81,711,000,000
Total Unusual Items $-35,000,000 $365,000,000 $211,000,000 $629,000,000
Total Unusual Items Excluding Goodwill $-35,000,000 $365,000,000 $211,000,000 $629,000,000
Reconciled Depreciation $19,895,000,000 $18,551,000,000 $17,524,000,000 $16,205,000,000
EBITDA (Bullshit earnings) $91,901,000,000 $95,812,000,000 $88,637,000,000 $82,340,000,000
EBIT $72,006,000,000 $77,261,000,000 $71,113,000,000 $66,135,000,000
Diluted Average Shares $585,954,781 $589,407,874 $589,332,000 $589,302,000
Basic Average Shares $585,954,781 $589,407,874 $589,332,000 $589,302,000
Diluted NI Availto Com Stockholders $53,776,000,000 $57,037,000,000 $52,048,000,000 $47,289,000,000
Otherunder Preferred Stock Dividend $0 $0 $0 $0
Minority Interests $1,000,000 $0 - -
Tax Provision $17,953,000,000 $19,930,000,000 $18,783,000,000 $18,657,000,000
Other Special Charges $887,000,000 $-281,000,000 $-110,000,000 $-494,000,000
Write Off $378,000,000 $0 - $0
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Assets
Net Tangible Assets $474,313,000,000 $474,316,000,000 $406,535,000,000 $370,011,000,000
Total Assets $672,177,000,000 $673,962,000,000 $618,869,000,000 $560,528,000,000
Total Non Current Assets $217,714,000,000 $207,020,000,000 $187,356,000,000 $166,160,000,000
Other Non Current Assets $5,574,000,000 $5,427,000,000 $4,573,000,000 $3,658,000,000
Non Current Deferred Taxes Assets $12,247,000,000 $10,946,000,000 $15,692,000,000 $12,606,000,000
Investmentin Financial Assets $15,182,000,000 $17,621,000,000 $15,145,000,000 $13,496,000,000
Goodwill And Other Intangible Assets $23,744,000,000 $18,013,000,000 $16,963,000,000 $11,151,000,000
Other Intangible Assets $15,965,000,000 $12,793,000,000 $12,016,000,000 $8,868,000,000
Current Assets $454,457,000,000 $466,936,000,000 $431,509,000,000 $394,363,000,000
Other Current Assets $18,561,000,000 $15,071,000,000 $12,901,000,000 $7,819,000,000
Inventory $143,355,000,000 $141,772,000,000 $128,094,000,000 $106,647,000,000
Accounts Receivable $149,127,000,000 $144,808,000,000 $131,242,000,000 $121,931,000,000
Gross Accounts Receivable $149,127,000,000 $144,808,000,000 $131,242,000,000 $121,931,000,000
Cash Cash Equivalents And Short Term Investments $143,414,000,000 $165,285,000,000 $159,272,000,000 $157,966,000,000
Cash And Cash Equivalents $143,414,000,000 $165,285,000,000 $158,847,000,000 $157,966,000,000
Debt
Total Debt $11,747,000,000 $11,914,000,000 $11,268,000,000 $11,589,000,000
Long Term Debt And Capital Lease Obligation $6,844,000,000 $6,884,000,000 $6,631,000,000 $6,627,000,000
Long Term Debt $4,000,000 $66,000,000 $132,000,000 $205,000,000
Current Debt And Capital Lease Obligation $4,903,000,000 $5,030,000,000 $4,637,000,000 $4,962,000,000
Current Debt $1,368,000,000 $1,552,000,000 $1,400,000,000 $1,504,000,000
Liabilities
Total Liabilities Net Minority Interest $174,113,000,000 $181,629,000,000 $195,371,000,000 $179,366,000,000
Total Non Current Liabilities Net Minority Interest $22,825,000,000 $23,118,000,000 $22,984,000,000 $20,623,000,000
Other Non Current Liabilities $2,271,000,000 $1,880,000,000 $1,990,000,000 $766,000,000
Current Liabilities $151,288,000,000 $158,511,000,000 $172,387,000,000 $158,743,000,000
Other Current Liabilities $11,693,000,000 $11,740,000,000 $10,523,000,000 $10,132,000,000
Payables $72,786,000,000 $77,508,000,000 $92,961,000,000 $91,242,000,000
Other Payable $16,277,000,000 $17,100,000,000 $15,928,000,000 $13,760,000,000
Total Tax Payable $8,875,000,000 $8,008,000,000 $10,320,000,000 $10,944,000,000
Accounts Payable $47,634,000,000 $52,400,000,000 $66,713,000,000 $66,538,000,000
Equity
Common Stock Equity $498,057,000,000 $492,329,000,000 $423,498,000,000 $381,162,000,000
Total Equity Gross Minority Interest $498,064,000,000 $492,333,000,000 $423,498,000,000 $381,162,000,000
Stockholders Equity $498,057,000,000 $492,329,000,000 $423,498,000,000 $381,162,000,000
Retained Earnings $411,717,000,000 $376,400,000,000 $336,066,000,000 $298,758,000,000
Other
Treasury Shares Number $7,152,271 $1,348,202 $1,399,245 $1,416,992
Ordinary Shares Number $288,917,956 $294,722,025 $294,670,982 $294,653,235
Share Issued $296,070,227 $296,070,227 $296,070,227 $296,070,227
Tangible Book Value $474,313,000,000 $474,316,000,000 $406,535,000,000 $370,011,000,000
Invested Capital $499,429,000,000 $493,947,000,000 $425,030,000,000 $382,871,000,000
Working Capital $303,169,000,000 $308,425,000,000 $259,122,000,000 $235,620,000,000
Capital Lease Obligations $10,375,000,000 $10,296,000,000 $9,736,000,000 $9,880,000,000
Total Capitalization $498,061,000,000 $492,395,000,000 $423,630,000,000 $381,367,000,000
Minority Interest $7,000,000 $4,000,000 $0 -
Treasury Stock $26,113,000,000 $1,109,000,000 $1,210,000,000 $1,244,000,000
Additional Paid In Capital $34,910,000,000 $34,910,000,000 $34,910,000,000 $34,910,000,000
Capital Stock $26,648,000,000 $26,648,000,000 $26,648,000,000 $26,648,000,000
Common Stock $26,648,000,000 $26,648,000,000 $26,648,000,000 $26,648,000,000
Non Current Pension And Other Postretirement Benefit Plans $13,710,000,000 $14,354,000,000 $14,363,000,000 $13,230,000,000
Long Term Capital Lease Obligation $6,840,000,000 $6,818,000,000 $6,499,000,000 $6,422,000,000
Current Capital Lease Obligation $3,535,000,000 $3,478,000,000 $3,237,000,000 $3,458,000,000
Pensionand Other Post Retirement Benefit Plans Current $14,457,000,000 $14,012,000,000 $14,108,000,000 $12,050,000,000
Current Provisions $1,243,000,000 - - $10,000,000
Defined Pension Benefit $41,177,000,000 $36,247,000,000 $21,818,000,000 $20,665,000,000
Available For Sale Securities $15,182,000,000 $17,621,000,000 $15,145,000,000 $13,496,000,000
Goodwill $7,779,000,000 $5,220,000,000 $4,947,000,000 $2,283,000,000
Net PPE $119,557,000,000 $118,561,000,000 $112,991,000,000 $104,428,000,000
Gross PPE $119,557,000,000 $118,561,000,000 $112,991,000,000 $104,428,000,000
Construction In Progress $3,181,000,000 $4,284,000,000 $2,124,000,000 $992,000,000
Other Properties $28,573,000,000 $27,238,000,000 $25,050,000,000 $24,220,000,000
Machinery Furniture Equipment $10,254,000,000 $9,305,000,000 $8,823,000,000 $7,261,000,000
Buildings And Improvements $55,499,000,000 $55,326,000,000 $54,954,000,000 $52,902,000,000
Land And Improvements $22,050,000,000 $22,408,000,000 $22,040,000,000 $19,053,000,000
Properties $0 $0 $0 $0
Finished Goods $81,680,000,000 $83,333,000,000 $72,332,000,000 $61,386,000,000
Work In Process $27,568,000,000 $26,021,000,000 $26,505,000,000 $20,777,000,000
Raw Materials $34,107,000,000 $32,418,000,000 $29,257,000,000 $24,484,000,000
Other Short Term Investments - - $425,000,000 -
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Free Cash Flow
Free Cash Flow $36,900,000,000 $14,625,000,000 $31,465,000,000 $53,236,000,000
Operating Activities
Operating Cash Flow $52,002,000,000 $30,127,000,000 $48,303,000,000 $63,367,000,000
Investing Activities
Capital Expenditure $-15,102,000,000 $-15,502,000,000 $-16,838,000,000 $-10,131,000,000
Investing Cash Flow $-23,173,000,000 $-15,998,000,000 $-34,509,000,000 $-6,044,000,000
Net Other Investing Changes $-398,000,000 $-1,595,000,000 $-2,496,000,000 $3,565,000,000
Financing Activities
Financing Cash Flow $-48,409,000,000 $-21,098,000,000 $-19,418,000,000 $-15,658,000,000
Net Other Financing Charges $3,000,000 $5,000,000 $-1,000,000 -
Cash Dividends Paid $-18,250,000,000 $-16,492,000,000 $-14,745,000,000 $-11,490,000,000
Net Common Stock Issuance $-25,004,000,000 $101,000,000 $34,000,000 $14,000,000
Common Stock Dividend Paid - - - -
Other
Repayment Of Debt $-252,000,000 $-72,000,000 $-178,000,000 $-34,000,000
Issuance Of Debt $5,000,000 $158,000,000 $0 $0
End Cash Position $137,190,000,000 $159,234,000,000 $153,734,000,000 $155,319,000,000
Other Cash Adjustment Outside Changein Cash $443,000,000 $441,000,000 $-1,000,000 -
Beginning Cash Position $159,234,000,000 $153,734,000,000 $155,319,000,000 $106,855,000,000
Effect Of Exchange Rate Changes $-2,907,000,000 $12,028,000,000 $4,040,000,000 $6,799,000,000
Changes In Cash $-19,580,000,000 $-6,969,000,000 $-5,624,000,000 $41,665,000,000
Net Issuance Payments Of Debt $-247,000,000 $86,000,000 $-178,000,000 $-34,000,000
Net Short Term Debt Issuance $-185,000,000 $158,000,000 $-100,000,000 $0
Short Term Debt Payments $-186,000,000 $0 $-100,000,000 $0
Short Term Debt Issuance $1,000,000 $158,000,000 $0 $0
Net Long Term Debt Issuance $-62,000,000 $-72,000,000 $-78,000,000 $-34,000,000
Long Term Debt Payments $-66,000,000 $-72,000,000 $-78,000,000 $-34,000,000
Long Term Debt Issuance $4,000,000 - - $0
Net Investment Purchase And Sale $-1,863,000,000 $672,000,000 $-1,683,000,000 $-23,000,000
Sale Of Investment $1,426,000,000 $1,046,000,000 $182,000,000 $324,000,000
Purchase Of Investment $-3,289,000,000 $-374,000,000 $-1,865,000,000 $-347,000,000
Net Business Purchase And Sale $-6,546,000,000 $0 $-13,996,000,000 $0
Purchase Of Business $-6,546,000,000 $0 $-13,996,000,000 $0
Net PPE Purchase And Sale $-14,337,000,000 $-15,058,000,000 $-16,323,000,000 $-9,576,000,000
Sale Of PPE $765,000,000 $444,000,000 $515,000,000 $555,000,000
Purchase Of PPE $-15,102,000,000 $-15,502,000,000 $-16,838,000,000 $-10,131,000,000
Taxes Refund Paid $-18,766,000,000 $-23,479,000,000 $-21,799,000,000 $-16,721,000,000
Interest Received Cfo $1,856,000,000 $1,646,000,000 $774,000,000 $517,000,000
Interest Paid Cfo $-262,000,000 $-293,000,000 $-281,000,000 $-188,000,000
Change In Working Capital $-19,577,000,000 $-39,805,000,000 $-13,264,000,000 $-1,904,000,000
Change In Other Current Assets $-6,830,000,000 $-5,574,000,000 $6,813,000,000 $1,293,000,000
Change In Payable $-4,304,000,000 $-19,200,000,000 $-4,228,000,000 $2,255,000,000
Change In Inventory $-4,217,000,000 $-7,182,000,000 $-16,190,000,000 $-5,252,000,000
Change In Receivables $-4,393,000,000 $-6,902,000,000 $-1,052,000,000 $-220,000,000
Other Non Cash Items $-2,317,000,000 $-687,000,000 $-5,096,000,000 $1,724,000,000
Depreciation And Amortization $19,895,000,000 $18,551,000,000 $17,524,000,000 $16,205,000,000
Depreciation $19,895,000,000 $18,551,000,000 $17,524,000,000 $16,205,000,000
Gain Loss On Investment Securities $-1,229,000,000 $-83,000,000 $-100,000,000 $-947,000,000
Net Foreign Currency Exchange Gain Loss $355,000,000 $-2,714,000,000 $-1,043,000,000 $-1,062,000,000
Gain Loss On Sale Of PPE $-55,000,000 $28,000,000 $86,000,000 $30,000,000
Net Income From Continuing Operations $71,728,000,000 $76,967,000,000 $70,832,000,000 $65,947,000,000
Gain Loss On Sale Of Business - $0 $613,000,000 $0
Fetched: 2026-02-02