Sony Group

6758 · TSE · JPY

3753,00 ¥Variación respecto al cierre anterior: −0,90 %Variación absoluta: −34,00 ¥

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+3,70 %
Ej. a mar 2026 frente a Ej. a mar 2025
Margen neto
-2,6 %
Ej. a mar 2025: 9,5 %

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 total16.047.30215.683.49015.884.97136.127.94935.134.51735.293.17335.991.54734.280.70134.677.80934.107.49033.643.62532.968.793
Activo corriente6.122.4985.949.9916.286.84727.237.20126.346.7927.454.9887.557.4746.767.5546.555.7376.776.8067.368.9147.026.975
Efectivo y equivalentes2.170.0192.208.8792.086.5001.497.8971.600.1092.980.9561.415.305790.765846.781993.298976.465696.303
Inversiones a corto plazo31.87028.16728.76524.43427.161———————
Cuentas por cobrar1.852.2911.821.9162.213.8012.039.5811.687.4621.943.1842.457.0672.151.1462.080.1432.158.1962.410.0402.168.756
Existencias1.365.0791.227.3511.263.6891.676.2311.464.8321.310.7701.389.0471.736.2061.692.7091.518.6441.629.8862.067.624
Inmovilizado material neto1.978.4991.978.1502.015.1351.837.1101.873.0352.035.3452.068.2282.053.4602.173.4002.026.0351.962.1501.929.080
Fondo de comercio1.701.7061.673.9061.601.6791.514.1771.476.5051.497.8871.562.4001.439.6351.583.0881.476.2661.394.8651.443.365
Otros activos intangibles3.333.2742.584.3573.143.8692.868.9702.844.7192.357.1183.062.8002.845.8202.981.1282.012.2392.394.5252.341.516
Inversiones a largo plazo349.5281.466.263559.083366.780365.9071.278.981361.979363.296424.185451.937406.024387.845
Pasivo corriente4.916.8605.032.6245.158.88226.028.33024.107.58310.688.78811.086.08210.271.03710.366.90810.192.04510.686.74510.603.054
Proveedores2.228.1092.101.5562.297.4862.303.3922.050.2551.976.6902.297.8062.280.1382.252.8602.064.9052.244.8322.314.691
Deuda a largo plazo993.702824.393889.5351.344.4521.349.6731.572.6861.289.8431.988.6091.443.1471.361.0551.147.5151.165.395
Deuda total1.870.5981.669.6691.656.8561.603.5451.611.382———————
Pasivo total7.272.3647.126.9967.365.87628.108.10326.546.84026.740.97127.466.62526.264.88126.528.85026.297.35726.174.91225.768.173
Patrimonio neto (incl. minoritarios)8.774.9388.556.4948.519.0958.019.8468.587.6778.552.2028.524.9228.015.8208.148.9597.810.1337.468.7137.200.620
Reservas5.560.0695.294.8905.174.8896.261.8496.855.4316.678.1686.469.0606.366.5506.025.3626.002.4075.775.3725.461.664
Intereses minoritarios405.679437.483355.994332.244292.065372.457339.723306.848291.507222.956160.54878.164