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ENS EnerSys

Watchlist
94.530 -1.030-1.08% Close 09/22 16:00 ET
94.5300.0000.00% Post 16:16 ET
96.050High94.490Low269.16KVolume

EnerSys Key Stats

Quarterly+Annual
YOY
Hide blank lines
(Q1)2023/07/02
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2023/01/01
(Q2)2022/10/02
(Q1)2022/07/03
(FY)2022/03/31
(Q4)2022/03/31
(Q3)2022/01/02
(Q2)2021/10/03
Assets
Current assets
Cash, cash equivalents and short term investments
-32.59%258.34M
-13.87%346.67M
-13.87%346.67M
-24.93%298.08M
-27.75%294.42M
-5.66%383.24M
-10.92%402.49M
-10.92%402.49M
-18.74%397.06M
--407.51M
-Cash and cash equivalents
-32.59%258.34M
-13.87%346.67M
-13.87%346.67M
-24.93%298.08M
-27.75%294.42M
-5.66%383.24M
-10.92%402.49M
-10.92%402.49M
-18.74%397.06M
--407.51M
Receivables
-18.74%566.5M
-12.89%693.41M
-12.89%693.41M
-8.54%581.75M
20.68%705.48M
19.99%697.12M
20.44%796.03M
20.44%796.03M
16.18%636.05M
--584.58M
-Accounts receivable
-18.74%566.5M
-11.34%637.82M
-11.34%637.82M
-8.54%581.75M
20.68%705.48M
19.99%697.12M
19.19%719.43M
19.19%719.43M
16.18%636.05M
--584.58M
-Other receivables
----
-27.42%55.59M
-27.42%55.59M
----
----
----
33.49%76.59M
33.49%76.59M
----
----
Inventory
4.08%809.4M
11.47%797.8M
11.47%797.8M
24.40%835.2M
26.68%812M
37.90%777.66M
38.10%715.71M
38.10%715.71M
30.25%671.4M
--641M
Prepaid assets
----
-30.19%22.86M
-30.19%22.86M
----
----
----
2.94%32.75M
2.94%32.75M
----
----
Other current assets
-22.94%118.8M
-23.96%35.15M
-23.96%35.15M
11.67%155.16M
9.58%148.77M
3.69%154.18M
62.21%46.22M
62.21%46.22M
4.81%138.94M
--135.77M
Total current assets
-12.88%1.75B
-4.88%1.9B
-4.88%1.9B
1.45%1.87B
10.84%1.96B
18.38%2.01B
17.85%1.99B
17.85%1.99B
9.46%1.84B
--1.77B
Non current assets
Net PPE
4.84%512.97M
1.99%513.28M
1.99%513.28M
-1.22%495.75M
-3.71%481.55M
-1.98%489.29M
1.25%503.26M
1.25%503.26M
-1.18%501.89M
--500.09M
-Gross PPE
----
2.81%1.27B
2.81%1.27B
----
----
----
3.18%1.23B
3.18%1.23B
----
----
-Accumulated depreciation
----
-3.37%-755.26M
-3.37%-755.26M
----
----
----
-4.56%-730.63M
-4.56%-730.63M
----
----
Goodwill and other intangible assets
-2.29%1.04B
-5.44%1.04B
-5.44%1.04B
-5.84%1.04B
-7.57%1.03B
-6.06%1.07B
-3.49%1.1B
-3.49%1.1B
-3.51%1.11B
--1.12B
-Goodwill
0.93%688.44M
-3.41%676.72M
-3.41%676.72M
-3.87%673.7M
-6.39%658.27M
-4.32%682.11M
-0.70%700.64M
-0.70%700.64M
-0.90%700.83M
--703.16M
-Other intangible assets
-7.99%354.66M
-9.03%360.41M
-9.03%360.41M
-9.24%367.71M
-9.57%374.05M
-9.01%385.45M
-8.05%396.2M
-8.05%396.2M
-7.72%405.13M
--413.65M
Non current deferred assets
-9.16%49.15M
-18.73%49.15M
-18.73%49.15M
-12.78%57.21M
-13.96%56.16M
-17.94%54.11M
-7.26%60.48M
-7.26%60.48M
7.80%65.59M
--65.28M
Other non current assets
24.25%122.7M
46.29%121.23M
46.29%121.23M
38.63%103.3M
40.71%93.46M
38.99%98.75M
13.95%82.87M
13.95%82.87M
-2.22%74.52M
--66.42M
Total non current assets
1.07%1.73B
-1.30%1.72B
-1.30%1.72B
-2.88%1.7B
-4.87%1.66B
-3.55%1.71B
-1.58%1.74B
-1.58%1.74B
-2.41%1.75B
--1.75B
Total assets
-6.47%3.48B
-3.21%3.62B
-3.21%3.62B
-0.66%3.57B
3.03%3.62B
7.18%3.72B
7.91%3.74B
7.91%3.74B
3.34%3.59B
--3.52B
Liabilities
Current liabilities
Payables
-0.00%343.34M
-2.11%402.11M
-2.11%402.11M
8.71%345.26M
16.94%344.94M
17.03%343.34M
17.37%410.78M
17.37%410.78M
18.05%317.59M
--294.98M
-accounts payable
-0.00%343.34M
-3.68%378.64M
-3.68%378.64M
8.71%345.26M
16.94%344.94M
17.03%343.34M
21.37%393.1M
21.37%393.1M
18.05%317.59M
--294.98M
-Total tax payable
----
32.71%23.47M
32.71%23.47M
----
----
----
-32.29%17.69M
-32.29%17.69M
----
----
Current accrued expenses
-1.92%261.35M
0.99%204.11M
0.99%204.11M
8.01%292.69M
6.98%292.97M
-1.71%266.46M
-13.75%202.11M
-13.75%202.11M
-8.56%270.97M
--273.85M
Current provisions
----
16.94%24.23M
16.94%24.23M
----
----
----
9.13%20.72M
9.13%20.72M
----
----
Current debt and capital lease obligation
-32.14%30.96M
-31.04%51.96M
-31.04%51.96M
-4.43%32.02M
-3.96%34.58M
13.33%45.63M
34.17%75.36M
34.17%75.36M
-16.80%33.5M
--36.01M
-Current debt
-32.14%30.96M
-44.37%30.64M
-44.37%30.64M
-4.43%32.02M
-3.96%34.58M
13.33%45.63M
61.29%55.08M
61.29%55.08M
-16.80%33.5M
--36.01M
-Current capital lease obligation
----
5.17%21.32M
5.17%21.32M
----
----
----
-7.90%20.27M
-7.90%20.27M
----
----
Current deferred liabilities
----
24.13%34.59M
24.13%34.59M
----
----
----
74.27%27.87M
74.27%27.87M
----
----
Current liabilities
-3.02%635.65M
-2.68%718.32M
-2.68%718.32M
7.70%669.96M
11.19%672.49M
8.38%655.43M
9.03%738.13M
9.03%738.13M
2.71%622.06M
--604.83M
Non current liabilities
Long term provisions
----
-5.42%32.4M
-5.42%32.4M
----
----
----
-14.30%34.26M
-14.30%34.26M
----
----
Long term debt and capital lease obligation
-34.06%907.77M
-14.45%1.11B
-14.45%1.11B
-7.25%1.11B
20.43%1.3B
34.91%1.38B
28.00%1.3B
28.00%1.3B
13.02%1.19B
--1.08B
-Long term debt
-34.06%907.77M
-16.17%1.04B
-16.17%1.04B
-7.25%1.11B
20.43%1.3B
34.91%1.38B
28.20%1.24B
28.20%1.24B
13.02%1.19B
--1.08B
-Long term capital lease obligation
----
25.73%66.81M
25.73%66.81M
----
----
----
23.68%53.14M
23.68%53.14M
----
----
Non current deferred liabilities
-21.62%60.77M
-21.43%62.56M
-21.43%62.56M
-2.91%74.53M
-0.42%76.75M
0.19%77.53M
1.44%79.62M
1.44%79.62M
-4.56%76.76M
--77.07M
Employee benefits
----
-14.14%24.53M
-14.14%24.53M
----
----
----
-29.38%28.57M
-29.38%28.57M
----
----
Other non current liabilities
11.60%193.61M
85.30%27.54M
85.30%27.54M
-3.21%186.91M
-11.32%164.68M
-14.32%173.49M
41.45%14.86M
41.45%14.86M
-5.14%193.1M
--185.71M
Total non current liabilities
-28.60%1.16B
-14.00%1.29B
-14.00%1.29B
-6.49%1.37B
14.83%1.54B
25.18%1.63B
21.17%1.51B
21.17%1.51B
9.20%1.46B
--1.34B
Total liabilities
-21.26%1.8B
-10.28%2.01B
-10.28%2.01B
-2.25%2.04B
13.69%2.21B
19.85%2.28B
16.89%2.24B
16.89%2.24B
7.18%2.08B
--1.94B
Shareholders'equity
Share capital
1.25%565K
0.54%560K
0.54%560K
0.54%560K
0.36%559K
0.36%558K
0.36%557K
0.36%557K
0.54%557K
--557K
-common stock
1.25%565K
0.54%560K
0.54%560K
0.54%560K
0.36%559K
0.36%558K
0.36%557K
0.36%557K
0.54%557K
--557K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
10.09%1.99B
8.22%1.93B
8.22%1.93B
6.16%1.87B
5.79%1.83B
5.93%1.81B
6.82%1.78B
6.82%1.78B
7.26%1.76B
--1.73B
Paid-in capital
6.25%612.3M
4.37%596.46M
4.37%596.46M
4.02%585.41M
3.83%577.52M
4.09%576.29M
3.12%571.46M
3.12%571.46M
3.01%562.81M
--556.2M
Less: Treasury stock
-0.14%740.74M
3.04%740.96M
3.04%740.96M
9.41%741.2M
24.70%741.51M
24.71%741.79M
27.62%719.12M
27.62%719.12M
20.19%677.48M
--594.65M
Gains losses not affecting retained earnings
11.87%-179.48M
-27.86%-183.47M
-27.86%-183.47M
-31.98%-186.07M
-110.74%-257.41M
-111.09%-203.65M
-23.83%-143.5M
-23.83%-143.5M
-49.94%-140.99M
---122.15M
Other equity interest
31.96%-2.46M
31.96%-2.46M
31.96%-2.46M
31.96%-2.46M
33.59%-2.66M
32.40%-3.62M
32.40%-3.62M
32.40%-3.62M
31.35%-3.62M
---4M
Total stockholders'equity
17.05%1.68B
7.45%1.6B
7.45%1.6B
1.57%1.53B
-10.13%1.41B
-8.22%1.44B
-3.27%1.49B
-3.27%1.49B
-1.53%1.5B
--1.57B
Noncontrolling interests
-7.58%3.41M
-7.69%3.6M
-7.69%3.6M
-7.88%3.59M
-9.38%3.48M
-3.43%3.69M
2.12%3.9M
2.12%3.9M
0.96%3.89M
--3.84M
Total equity
16.99%1.68B
7.41%1.6B
7.41%1.6B
1.55%1.53B
-10.13%1.41B
-8.21%1.44B
-3.26%1.49B
-3.26%1.49B
-1.53%1.51B
--1.57B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)2023/07/02(FY)2023/03/31(Q4)2023/03/31(Q3)2023/01/01(Q2)2022/10/02(Q1)2022/07/03(FY)2022/03/31(Q4)2022/03/31(Q3)2022/01/02(Q2)2021/10/03
Assets
Current assets
Cash, cash equivalents and short term investments -32.59%258.34M-13.87%346.67M-13.87%346.67M-24.93%298.08M-27.75%294.42M-5.66%383.24M-10.92%402.49M-10.92%402.49M-18.74%397.06M--407.51M
-Cash and cash equivalents -32.59%258.34M-13.87%346.67M-13.87%346.67M-24.93%298.08M-27.75%294.42M-5.66%383.24M-10.92%402.49M-10.92%402.49M-18.74%397.06M--407.51M
Receivables -18.74%566.5M-12.89%693.41M-12.89%693.41M-8.54%581.75M20.68%705.48M19.99%697.12M20.44%796.03M20.44%796.03M16.18%636.05M--584.58M
-Accounts receivable -18.74%566.5M-11.34%637.82M-11.34%637.82M-8.54%581.75M20.68%705.48M19.99%697.12M19.19%719.43M19.19%719.43M16.18%636.05M--584.58M
-Other receivables -----27.42%55.59M-27.42%55.59M------------33.49%76.59M33.49%76.59M--------
Inventory 4.08%809.4M11.47%797.8M11.47%797.8M24.40%835.2M26.68%812M37.90%777.66M38.10%715.71M38.10%715.71M30.25%671.4M--641M
Prepaid assets -----30.19%22.86M-30.19%22.86M------------2.94%32.75M2.94%32.75M--------
Other current assets -22.94%118.8M-23.96%35.15M-23.96%35.15M11.67%155.16M9.58%148.77M3.69%154.18M62.21%46.22M62.21%46.22M4.81%138.94M--135.77M
Total current assets -12.88%1.75B-4.88%1.9B-4.88%1.9B1.45%1.87B10.84%1.96B18.38%2.01B17.85%1.99B17.85%1.99B9.46%1.84B--1.77B
Non current assets
Net PPE 4.84%512.97M1.99%513.28M1.99%513.28M-1.22%495.75M-3.71%481.55M-1.98%489.29M1.25%503.26M1.25%503.26M-1.18%501.89M--500.09M
-Gross PPE ----2.81%1.27B2.81%1.27B------------3.18%1.23B3.18%1.23B--------
-Accumulated depreciation -----3.37%-755.26M-3.37%-755.26M-------------4.56%-730.63M-4.56%-730.63M--------
Goodwill and other intangible assets -2.29%1.04B-5.44%1.04B-5.44%1.04B-5.84%1.04B-7.57%1.03B-6.06%1.07B-3.49%1.1B-3.49%1.1B-3.51%1.11B--1.12B
-Goodwill 0.93%688.44M-3.41%676.72M-3.41%676.72M-3.87%673.7M-6.39%658.27M-4.32%682.11M-0.70%700.64M-0.70%700.64M-0.90%700.83M--703.16M
-Other intangible assets -7.99%354.66M-9.03%360.41M-9.03%360.41M-9.24%367.71M-9.57%374.05M-9.01%385.45M-8.05%396.2M-8.05%396.2M-7.72%405.13M--413.65M
Non current deferred assets -9.16%49.15M-18.73%49.15M-18.73%49.15M-12.78%57.21M-13.96%56.16M-17.94%54.11M-7.26%60.48M-7.26%60.48M7.80%65.59M--65.28M
Other non current assets 24.25%122.7M46.29%121.23M46.29%121.23M38.63%103.3M40.71%93.46M38.99%98.75M13.95%82.87M13.95%82.87M-2.22%74.52M--66.42M
Total non current assets 1.07%1.73B-1.30%1.72B-1.30%1.72B-2.88%1.7B-4.87%1.66B-3.55%1.71B-1.58%1.74B-1.58%1.74B-2.41%1.75B--1.75B
Total assets -6.47%3.48B-3.21%3.62B-3.21%3.62B-0.66%3.57B3.03%3.62B7.18%3.72B7.91%3.74B7.91%3.74B3.34%3.59B--3.52B
Liabilities
Current liabilities
Payables -0.00%343.34M-2.11%402.11M-2.11%402.11M8.71%345.26M16.94%344.94M17.03%343.34M17.37%410.78M17.37%410.78M18.05%317.59M--294.98M
-accounts payable -0.00%343.34M-3.68%378.64M-3.68%378.64M8.71%345.26M16.94%344.94M17.03%343.34M21.37%393.1M21.37%393.1M18.05%317.59M--294.98M
-Total tax payable ----32.71%23.47M32.71%23.47M-------------32.29%17.69M-32.29%17.69M--------
Current accrued expenses -1.92%261.35M0.99%204.11M0.99%204.11M8.01%292.69M6.98%292.97M-1.71%266.46M-13.75%202.11M-13.75%202.11M-8.56%270.97M--273.85M
Current provisions ----16.94%24.23M16.94%24.23M------------9.13%20.72M9.13%20.72M--------
Current debt and capital lease obligation -32.14%30.96M-31.04%51.96M-31.04%51.96M-4.43%32.02M-3.96%34.58M13.33%45.63M34.17%75.36M34.17%75.36M-16.80%33.5M--36.01M
-Current debt -32.14%30.96M-44.37%30.64M-44.37%30.64M-4.43%32.02M-3.96%34.58M13.33%45.63M61.29%55.08M61.29%55.08M-16.80%33.5M--36.01M
-Current capital lease obligation ----5.17%21.32M5.17%21.32M-------------7.90%20.27M-7.90%20.27M--------
Current deferred liabilities ----24.13%34.59M24.13%34.59M------------74.27%27.87M74.27%27.87M--------
Current liabilities -3.02%635.65M-2.68%718.32M-2.68%718.32M7.70%669.96M11.19%672.49M8.38%655.43M9.03%738.13M9.03%738.13M2.71%622.06M--604.83M
Non current liabilities
Long term provisions -----5.42%32.4M-5.42%32.4M-------------14.30%34.26M-14.30%34.26M--------
Long term debt and capital lease obligation -34.06%907.77M-14.45%1.11B-14.45%1.11B-7.25%1.11B20.43%1.3B34.91%1.38B28.00%1.3B28.00%1.3B13.02%1.19B--1.08B
-Long term debt -34.06%907.77M-16.17%1.04B-16.17%1.04B-7.25%1.11B20.43%1.3B34.91%1.38B28.20%1.24B28.20%1.24B13.02%1.19B--1.08B
-Long term capital lease obligation ----25.73%66.81M25.73%66.81M------------23.68%53.14M23.68%53.14M--------
Non current deferred liabilities -21.62%60.77M-21.43%62.56M-21.43%62.56M-2.91%74.53M-0.42%76.75M0.19%77.53M1.44%79.62M1.44%79.62M-4.56%76.76M--77.07M
Employee benefits -----14.14%24.53M-14.14%24.53M-------------29.38%28.57M-29.38%28.57M--------
Other non current liabilities 11.60%193.61M85.30%27.54M85.30%27.54M-3.21%186.91M-11.32%164.68M-14.32%173.49M41.45%14.86M41.45%14.86M-5.14%193.1M--185.71M
Total non current liabilities -28.60%1.16B-14.00%1.29B-14.00%1.29B-6.49%1.37B14.83%1.54B25.18%1.63B21.17%1.51B21.17%1.51B9.20%1.46B--1.34B
Total liabilities -21.26%1.8B-10.28%2.01B-10.28%2.01B-2.25%2.04B13.69%2.21B19.85%2.28B16.89%2.24B16.89%2.24B7.18%2.08B--1.94B
Shareholders'equity
Share capital 1.25%565K0.54%560K0.54%560K0.54%560K0.36%559K0.36%558K0.36%557K0.36%557K0.54%557K--557K
-common stock 1.25%565K0.54%560K0.54%560K0.54%560K0.36%559K0.36%558K0.36%557K0.36%557K0.54%557K--557K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 10.09%1.99B8.22%1.93B8.22%1.93B6.16%1.87B5.79%1.83B5.93%1.81B6.82%1.78B6.82%1.78B7.26%1.76B--1.73B
Paid-in capital 6.25%612.3M4.37%596.46M4.37%596.46M4.02%585.41M3.83%577.52M4.09%576.29M3.12%571.46M3.12%571.46M3.01%562.81M--556.2M
Less: Treasury stock -0.14%740.74M3.04%740.96M3.04%740.96M9.41%741.2M24.70%741.51M24.71%741.79M27.62%719.12M27.62%719.12M20.19%677.48M--594.65M
Gains losses not affecting retained earnings 11.87%-179.48M-27.86%-183.47M-27.86%-183.47M-31.98%-186.07M-110.74%-257.41M-111.09%-203.65M-23.83%-143.5M-23.83%-143.5M-49.94%-140.99M---122.15M
Other equity interest 31.96%-2.46M31.96%-2.46M31.96%-2.46M31.96%-2.46M33.59%-2.66M32.40%-3.62M32.40%-3.62M32.40%-3.62M31.35%-3.62M---4M
Total stockholders'equity 17.05%1.68B7.45%1.6B7.45%1.6B1.57%1.53B-10.13%1.41B-8.22%1.44B-3.27%1.49B-3.27%1.49B-1.53%1.5B--1.57B
Noncontrolling interests -7.58%3.41M-7.69%3.6M-7.69%3.6M-7.88%3.59M-9.38%3.48M-3.43%3.69M2.12%3.9M2.12%3.9M0.96%3.89M--3.84M
Total equity 16.99%1.68B7.41%1.6B7.41%1.6B1.55%1.53B-10.13%1.41B-8.21%1.44B-3.26%1.49B-3.26%1.49B-1.53%1.51B--1.57B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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