Panasonic Corporation

OTC: PCRFF · Real-Time Price · USD
10.01
-0.49 (-4.67%)
At close: Aug 15, 2025, 11:41 AM

Panasonic Income Statement

Financials in JPY. Fiscal year is undefined.
Fiscal Year Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021 Dec 31, 2020 Sep 30, 2020 Jun 30, 2020
Revenue
2,054.3B 2,152.6B 2,129.6B 2,121.7B 2,196.1B 2,180.9B 2,089.7B 2,029.7B 2,154.4B 2,160.6B 2,090.1B 1,973.9B 1,965.4B 1,889.8B 1,741.1B 1,792.4B 1,825.5B 1,814.1B 1,667.2B 1,391.9B
Cost of Revenue
1,402.6B 1,455.8B 1,480.7B 1,490.5B 1,558.9B 1,518.7B 1,483B 1,441.5B 1,550.3B 1,591.7B 1,529.2B 1,446.3B 1,419.9B 1,363.1B 1,257.7B 1,265.9B 1,269.9B 1,263.6B 1,180.7B 1,009.7B
Gross Profit
651.71B 696.84B 648.9B 631.16B 637.25B 662.15B 606.71B 588.24B 604.1B 568.89B 560.87B 527.58B 545.57B 526.67B 483.44B 526.53B 555.62B 550.49B 486.55B 382.19B
Operating Income
110.48B 132.26B 122.15B 87.28B 71.61B 127.42B 102.46B 90.37B 54.35B 84.46B 86.06B 63.7B 83.38B 72.95B 96.83B 104.38B 31.8B 130.17B 92.87B 3.76B
Interest Income
19.05B 21.54B 21.05B 26.89B 21.51B 24.33B 19.78B 23.36B 11.75B 10.21B 13.25B 13.76B 2.41B 5.97B 5.2B 8.55B 8.66B 3.99B 3.34B 4.85B
Pretax Income
85.2B 134.99B 137.91B 108.24B 52.76B 144.45B 115.6B 108.73B 60.96B 88.83B 93.08B 73.54B 81.02B 73.61B 97.23B 108.53B 40.74B 126.91B 90.11B 3.07B
Net Income
77.8B 99.5B 118.28B 70.63B 44.82B 110.8B 87.45B 200.93B 102.63B 55.53B 58.39B 48.95B 59.7B 42.59B 76.51B 76.54B 34.94B 81.28B 58.7B -9.83B
Selling & General & Admin
541.24B 546.59B 526.75B 420.09B 434.74B 536.02B 507.3B 495.4B 521.95B 482.93B 480.67B 461.91B 475.55B 439.2B 403.08B 407.07B 359.12B 407.71B 391.51B 388.09B
Research & Development
105.69B 117.47B 127.87B 126.73B 130.9B 124.6B 121B 114.7B 124.69B 118.5B 116.5B 110.1B 108.6B 110.3B 103.5B 97.4B 112.43B 97.5B n/a 103.9B
Other Expenses
-73.39B -99.48B -138B n/a n/a -1.29B n/a n/a 32.46B 647M -1.86B -4.31B -13.89B 13.24B -20.35B 8.53B 40.6B 9.61B 1.12B -23.52B
Operating Expenses
541.24B 564.57B 526.75B 547.4B 565.64B 534.73B 508.67B 496.08B 554.32B 483.58B 478.81B 457.6B 461.27B 452.44B 382.73B 415.6B 520.99B 417.31B 392.63B 364.57B
Interest Expense
6.6B 9.1B 7.09B 5.94B 5.76B 7.29B 6.65B 4.99B 5.14B 5.84B 6.24B 3.92B 4.76B 5.3B 4.8B 4.39B n/a 7.26B 6.11B 5.54B
Selling & Marketing Expenses
n/a n/a n/a n/a -130.9B n/a n/a n/a 98.22B n/a n/a n/a 83.56B n/a n/a n/a 241.49B n/a n/a n/a
Cost & Expenses
1,976.1B 2,020.3B 2,007.5B 2,037.9B 2,124.5B 2,053.5B 1,991.7B 1,937.5B 2,104.6B 2,075.3B 2,008B 1,903.9B 1,881.1B 1,815.6B 1,640.4B 1,681.5B 1,790.9B 1,681B 1,573.3B 1,374.3B
Income Tax Expense
15.01B 34.88B 23.54B 28.47B 5.19B 28.24B 24.13B -97.77B -47.02B 32.24B 29.65B 20.98B 19.77B 30.54B 17.36B 27.29B 1.1B 39.62B 26.22B 9.98B
Shares Outstanding (Basic)
2.33B 2.34B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B
Shares Outstanding (Diluted)
2.33B 2.34B 2.34B 2.33B 2.34B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B 2.33B
EPS (Basic)
33.33 42.61 50.68 30.26 19.20 47.47 37.47 86.08 43.97 23.79 25.02 20.97 25.58 18.25 32.78 32.80 14.97 34.83 25.16 -4.21
EPS (Diluted)
33.32 42.61 50.68 30.25 19.19 47.45 37.45 86.06 43.96 23.78 25.01 20.97 25.57 18.24 32.77 32.79 14.97 34.82 25.14 -4.21
EBITDA
193.31B 224.58B 223.64B 216.68B 162.86B 254.1B 216.74B 211.92B 159.01B 191.8B 190.69B 176.9B 180.16B 168.02B 186.71B 196.55B 125.89B 213.07B 174.12B 87.05B
EBIT
91.8B 122.55B 145B 114.17B 62.21B 117.24B 122.25B 113.73B 66.1B 94.67B 99.31B 77.46B 85.78B 78.92B 102.03B 112.92B 40.46B 134.17B 96.21B 8.61B
Depreciation & Amortization
101.51B 102.03B 99.69B 102.5B 104.34B 100.31B 98.92B 96.41B 97.48B 96.28B 95.37B 93.16B 93.45B 87.82B 80.8B 77.08B 82.32B 78.9B 77.91B 78.44B