KDDI

9433 · TSE · JPY

2896,50 ¥Variación respecto al cierre anterior: −1,18 %Variación absoluta: −34,50 ¥

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+4,05 %
Ej. a mar 2026 frente a Ej. a mar 2025
Crecimiento del beneficio neto
+7,89 %
Ej. a mar 2026 frente a Ej. a mar 2025
Margen neto
11,6 %
Ej. a mar 2025: 11,2 %

Datos financieros

Importes en millones de JPY; valores por acción en JPY; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total18.854.23119.063.36418.364.68917.806.80317.594.33916.714.70816.284.38915.695.45515.534.59214.054.76213.375.50312.783.229
Activo corriente5.207.0905.578.4285.195.6165.030.6185.047.5284.706.5074.829.9864.524.9084.871.4904.223.2223.958.5233.728.638
Efectivo y equivalentes786.9261.078.807732.165910.451963.507921.175866.2431.134.1331.471.126887.207623.513499.979
Inversiones a corto plazo43.472904.48434.889578.24630.442443.08634.686—————
Cuentas por cobrar3.739.4643.231.2994.096.1932.976.2103.720.1472.945.1023.516.3352.676.7992.607.9962.663.8202.559.6342.490.925
Existencias152.489140.295138.066130.219113.655132.743130.855108.16792.99391.290124.650102.357
Inmovilizado material neto3.528.2083.521.2603.521.9313.422.2283.433.3343.292.1193.282.7223.222.0033.240.7063.208.6103.156.0713.135.501
Fondo de comercio580.482580.269584.055583.405597.190581.757579.954565.195566.846554.062568.704568.964
Otros activos intangibles1.061.1901.058.1511.019.2701.015.7131.067.9121.028.4631.031.356990.2581.002.4961.016.6861.044.6821.047.192
Inversiones a largo plazo1.992.9448.298.9961.928.8437.731.4271.633.3547.080.1391.578.7446.373.8065.832.1855.033.3924.617.3104.271.085
Pasivo corriente9.766.5179.937.9749.645.0539.232.6148.684.2038.007.3487.466.4257.202.4787.230.4915.953.3455.196.6075.209.871
Proveedores788.862973.109944.533855.008860.454943.333926.324943.564824.316884.708795.398801.816
Deuda a largo plazo2.511.4742.588.0582.312.4682.191.9822.218.2022.297.5632.265.9972.088.1091.786.2431.577.3711.673.9981.108.375
Deuda total—5.805.637—5.397.863—4.694.241——————
Pasivo total13.207.95313.470.67412.924.82412.445.09511.940.82811.159.71310.604.52210.113.6789.812.3108.322.8507.673.3217.094.800
Patrimonio neto (incl. minoritarios)5.646.2785.592.6905.439.8655.361.7085.653.5115.554.9955.679.8675.581.7775.722.2825.731.9125.702.1825.688.429
Reservas5.061.2595.406.9855.245.6175.211.7035.118.1245.400.1135.346.1175.225.3635.057.0115.457.2645.398.1185.370.811
Intereses minoritarios519.180515.952512.848508.205498.899522.500542.496526.345520.582543.864602.670591.961