SONY

Sony Group (SONY) Stock Analysis

Research Sony Group (SONY) with company financials, earnings context, valuation indicators, risk analysis and related market news.

Research record updated: . Individual measures may refer to different reporting periods.

Ticker
SONY
Company
Sony Group
Sector
Technology
Industry
Consumer Electronics
Market cap
$140.15B
Financial data source
StockAnalysis.com financial statements + Yahoo Finance + StockAnalysis complete statements + FMP cash flow statements + FMP balance sheet + income statements
Annual revenue (reporting year not supplied)
$79.53B
Annual net income (reporting year not supplied)
$9.06B
Annual free cash flow (reporting year not supplied)
$9.48B
Trailing revenue
$80.91B
Trailing net income
$8.97B
Total assets
$99.95B
Total liabilities
$45.69B

Sony Group (SONY) Stock Analysis research

Sony Group Corporation is a diversified technology and entertainment company spanning PlayStation, games, music, films, television, electronics, cameras, and image sensors. Its strongest assets are recurring digital content, a powerful global gaming ecosystem, valuable intellectual property, and leadership in smartphone camera sensors. Recent market coverage has generally emphasized resilient PlayStation engagement, improving entertainment profitability, and continued demand for advanced sensors, while investors remain attentive to hardware cycles and blockbuster-content volatility. Sony is also developing AI tools for game production, virtual production, cloud-based creative workflows, and next-generation sensing systems. These could become game changers by lowering development costs, making digital worlds more realistic, and enabling devices or vehicles to interpret their surroundings with greater precision. The overall sentiment is constructive, though expectations depend on execution across several businesses rather than one single product. Within Technology, Sony is a large, diversified franchise with stronger intellectual property and consumer reach than many hardware peers, but its growth is less explosive than leading pure-play semiconductor or software companies; valuation appears reasonable and sentiment is moderately positive. I rate it 8/10 in the sector, with attractive strategic value and a fair-to-slightly-undervalued profile based on its ecosystem strength, recurring content, and improving operating leverage. Recent performance shows healthy momentum, but volatility and a weak risk-adjusted return indicate that the journey may be uneven. The company generates substantial cash, carries manageable obligations relative to its asset base, and remains profitable, supporting future investment; however, modest shareholder returns on capital, dependence on successful releases, currency movements, competition, and cyclical electronics demand remain meaningful risks. Bullish

Review the available company profile, financial history, valuation context and investor signals for Sony Group. Compare the reported operating results with the valuation and risk measures below.

The figures are cached research data and can change after new filings, earnings reports or market updates. Verify material facts with primary company disclosures before making an investment decision.