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INDICATIVE · SAMPLE DATA
450360

Astellas Pharma Inc

PharmaceuticalsVerified

Astellas Pharma Inc maintains a capital structure with a debt-to-equity ratio of 0.31, indicating a relatively conservative leverage position. The company's liquidity is assessed as medium, with cash and equivalents amounting to 281.6 billion JPY, but net cash is negative after subtracting total debt. Free cash flow stands at 265.4 billion JPY, reflecting strong cash generation from operations. Profitability metrics show a return on equity of 15.94% and a return on assets of 8.17%, both exceeding the typical thresholds for the Pharmaceuticals industry. The company's operating income of 382.6 billion JPY and net income of 291.5 billion JPY indicate robust performance. These figures suggest that Astellas is effectively managing its costs and generating returns above industry medians. Astellas Pharma Inc's revenue is concentrated in its Pharmaceuticals business segment, with no disclosed geographic breakdown in the provided data. The company's primary products include XTANDI, BETANIS, MIRABETRIC, and newer products such as ZOSPATA, EVERENZO, and ENHOLTUMAB VEDOTIN. This concentration in a single business segment may expose the company to specific market risks. The company's growth trajectory is supported by a strong revenue base of 2.14 trillion JPY and a positive outlook for the current fiscal year. Analysts have provided a mean price target of 2,388.46 JPY and a median price target of 2,500.00 JPY, indicating a generally positive sentiment. The mean recommendation of 2.62 suggests a slight bias towards a hold or buy rating. Risk factors for Astellas include medium liquidity risk and the potential for dilution, although the latter is currently assessed as low. The company's capital expenditure of -84.6 billion JPY indicates a reduction in investment, which may affect future growth. No specific dilution sources are cited in the provided data, but the company's financial structure suggests limited immediate pressure for equity issuance. Recent events and filings have not been detailed in the provided data, but the company's strong financial performance and positive analyst sentiment suggest a stable and growing business.

30-day price · 4503(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanyAstellas Pharma Inc
Ticker4503.T
SectorHealthcare
BusinessPharmaceuticals & Medical Research
Industry groupPharmaceuticals & Medical Research
IndustryPharmaceuticals
AI analysis

Business. Astellas Pharma Inc is a Japan-based company engaged in the research, development, manufacture, and sales of pharmaceutical products, primarily operating in the Pharmaceuticals business segment.

Classification. Astellas Pharma Inc is classified under the Pharmaceuticals industry within the Healthcare economic sector, with a classification confidence of 0.92.

Astellas Pharma Inc maintains a capital structure with a debt-to-equity ratio of 0.31, indicating a relatively conservative leverage position. The company's liquidity is assessed as medium, with cash and equivalents amounting to 281.6 billion JPY, but net cash is negative after subtracting total debt. Free cash flow stands at 265.4 billion JPY, reflecting strong cash generation from operations. Profitability metrics show a return on equity of 15.94% and a return on assets of 8.17%, both exceeding the typical thresholds for the Pharmaceuticals industry. The company's operating income of 382.6 billion JPY and net income of 291.5 billion JPY indicate robust performance. These figures suggest that Astellas is effectively managing its costs and generating returns above industry medians. Astellas Pharma Inc's revenue is concentrated in its Pharmaceuticals business segment, with no disclosed geographic breakdown in the provided data. The company's primary products include XTANDI, BETANIS, MIRABETRIC, and newer products such as ZOSPATA, EVERENZO, and ENHOLTUMAB VEDOTIN. This concentration in a single business segment may expose the company to specific market risks. The company's growth trajectory is supported by a strong revenue base of 2.14 trillion JPY and a positive outlook for the current fiscal year. Analysts have provided a mean price target of 2,388.46 JPY and a median price target of 2,500.00 JPY, indicating a generally positive sentiment. The mean recommendation of 2.62 suggests a slight bias towards a hold or buy rating. Risk factors for Astellas include medium liquidity risk and the potential for dilution, although the latter is currently assessed as low. The company's capital expenditure of -84.6 billion JPY indicates a reduction in investment, which may affect future growth. No specific dilution sources are cited in the provided data, but the company's financial structure suggests limited immediate pressure for equity issuance. Recent events and filings have not been detailed in the provided data, but the company's strong financial performance and positive analyst sentiment suggest a stable and growing business.
Key takeaways
  • Astellas Pharma Inc has a strong profitability profile with a return on equity of 15.94% and a return on assets of 8.17%.
  • The company maintains a conservative debt-to-equity ratio of 0.31, indicating a relatively low leverage position.
  • Astellas generates significant free cash flow of 265.4 billion JPY, reflecting strong operational efficiency.
  • Analysts have provided a generally positive outlook with a mean price target of 2,388.46 JPY and a median price target of 2,500.00 JPY.
  • The company's revenue is concentrated in its Pharmaceuticals business segment, which may expose it to specific market risks.
  • # RATIONALES
  • {
  • "margin_outlook_rationale": "Astellas Pharma Inc is expected to maintain strong margins due to its robust profitability and efficient cost management.",
Financial snapshot
PeriodHA-latest
CurrencyJPY
Revenue$2.14T
Gross profit$1.73T
Operating income$382.63B
Net income$291.53B
R&D
SG&A
D&A
SBC
Operating cash flow$560.19B
CapEx-$84.64B
Free cash flow$265.42B
Total assets$3.57T
Total liabilities$1.74T
Total equity$1.83T
Cash & equivalents$281.61B
Long-term debt$565.95B
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY0$2.14T$382.63B$291.53B$265.42B
FY-1$1.91T$38.52B$50.75B$63.56B
FY-2$1.60T$25.27B$17.05B-$24.27B
FY-3$1.52T$128.02B$98.71B$15.56B
FY-4$1.30T$160.77B$124.09B$42.09B
PeriodGross %Op %Net %FCF %
FY0
FY-1
FY-2
FY-3
FY-4
PeriodAssetsEquityCashDebt
FY0$3.57T$1.83T$281.61B
FY-1$3.34T$1.51T$188.37B
FY-2$3.57T$1.60T$335.69B
FY-3$2.46T$1.51T$376.84B
FY-4$2.33T$1.46T$315.99B
PeriodOCFCapExFCFSBC
FY0$560.19B-$84.64B$265.42B
FY-1$194.51B-$57.33B$63.56B
FY-2$172.48B-$82.50B-$24.27B
FY-3$327.77B-$88.54B$15.56B
FY-4$257.44B-$76.45B$42.09B
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ0$537.92B$48.75B$43.52B$75.09B
FQ-1$571.21B$134.50B$100.38B$62.80B
FQ-2$524.32B$104.73B$79.21B$93.33B
FQ-3$505.79B$94.65B$68.42B$34.20B
FQ-4$459.29B$63.52B$74.90B$110.70B
FQ-5$517.41B-$116.19B-$97.66B-$117.00B
FQ-6$462.50B$43.05B$35.91B$69.28B
FQ-7$473.12B$50.66B$37.60B$574.0M
PeriodGross %Op %Net %FCF %
FQ0
FQ-1
FQ-2
FQ-3
FQ-4
FQ-5
FQ-6
FQ-7
PeriodAssetsEquityCashDebt
FQ0$3.57T$1.83T$281.61B
FQ-1$3.60T$1.76T$254.30B
FQ-2$3.45T$1.61T$287.05B
FQ-3$3.34T$1.48T$215.40B
FQ-4$3.34T$1.51T$188.37B
FQ-5$3.45T$1.49T$179.87B
FQ-6$3.46T$1.53T$292.99B
FQ-7$3.74T$1.68T$302.93B
PeriodOCFCapExFCFSBC
FQ0$560.19B-$84.64B$75.09B
FQ-1$356.77B-$65.76B$62.80B
FQ-2$282.60B-$48.97B$93.33B
FQ-3$54.84B-$15.79B$34.20B
FQ-4$194.51B-$57.33B$110.70B
FQ-5$93.44B-$45.45B-$117.00B
FQ-6$77.41B-$41.18B$69.28B
FQ-7$12.60B-$24.54B$574.0M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$1.83T
Net cash-$284.35B
Current ratio
Debt/Equity0.3
ROA8.2%
ROE15.9%
Cash conversion1.9%
CapEx/Revenue-4.0%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Pharmaceuticals · cohort 25 companies
Metric4503Activity
Op margin17.9%18.2% medp25 18.2% · p75 24.6%bottom quartile
Net margin13.6%14.7% medp25 11.7% · p75 28.1%below median
Gross margin80.9%19.7% medp25 19.7% · p75 39.8%top quartile
R&D / revenue24.3% medp25 6.6% · p75 24.3%
CapEx / revenue-4.0%4.9% medp25 4.2% · p75 6.3%bottom quartile
Debt / equity31.0%71.3% medp25 19.0% · p75 91.7%below median
Observations
IR observations
Mean price target2,388.46 JPY
Median price target2,500.00 JPY
High price target2,950.00 JPY
Low price target1,600.00 JPY
Mean recommendation2.62 (1=strong buy, 5=strong sell)
Strong-buy count2.00
Buy count3.00
Hold count10.00
Sell count1.00
Strong-sell count0.00
Mean EPS estimate185.45 JPY
Last actual EPS162.77 JPY
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-01 07:54 UTC#183a56b8
Source: analysis-pipeline (hybrid)Generated: 2026-05-01 07:55 UTCJob: a2fbf32a