JP Stock MarketDetailed Quotes

253A ETS Group

Watchlist
  • 637
  • +3+0.47%
20min DelayMarket Closed Nov 1 15:00 JST
4.06BMarket Cap53.35P/E (Static)

ETS Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(Q4)Sep 30, 2022
(Q3)Jun 30, 2022
(Q2)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-8.81%2.71B
-23.18%2.57B
--2.87B
15.73%2.87B
-12.44%2.93B
21.71%2.97B
24.30%3.34B
8.04%2.48B
51.14%3.34B
6.09%2.44B
-Cash and cash equivalents
-8.81%2.71B
-23.18%2.57B
--2.87B
15.73%2.87B
-12.44%2.93B
21.71%2.97B
24.30%3.34B
8.04%2.48B
51.14%3.34B
6.09%2.44B
Receivables
22.57%2.88B
34.05%2.17B
--1.71B
-5.64%1.71B
25.38%1.68B
51.44%2.35B
14.89%1.62B
47.00%1.81B
31.35%1.34B
35.93%1.55B
-Accounts receivable
----
----
--1.71B
-5.64%1.71B
----
----
----
47.00%1.81B
----
--0
-Gross accounts receivable
----
----
--1.71B
-5.64%1.71B
----
----
----
47.00%1.81B
----
--0
-Other receivables
22.57%2.88B
34.05%2.17B
----
----
25.38%1.68B
51.44%2.35B
14.89%1.62B
----
--1.34B
--1.55B
Inventory
-51.70%123.85M
-73.49%185.59M
--167.86M
-58.45%167.86M
122.31%388.15M
441.05%256.45M
684.84%700.13M
128.19%403.95M
101.71%174.6M
-44.38%47.4M
Prepaid assets
----
----
--0
--0
--0
--0
--172M
--172M
-61.00%172M
--172M
Tax assets-Current
----
----
--314.44M
--314.44M
11,092.48%217.36M
2,173.56%175.16M
2,336.12%59.95M
--0
-70.46%1.94M
-74.76%7.7M
Other current assets
1,240.87%199.63M
229.60%235.63M
--93.71M
-29.19%93.71M
-53.95%46.27M
-29.81%14.89M
199.84%71.49M
322.50%132.34M
576.83%100.48M
488.34%21.21M
Total current assets
2.52%5.92B
-13.52%5.16B
--5.16B
3.12%5.16B
2.49%5.26B
35.98%5.77B
41.58%5.96B
33.81%5B
35.72%5.14B
19.37%4.25B
Non current assets
Net PPE
17.96%1.51B
7.13%1.39B
--1.26B
-4.22%1.26B
-5.83%1.26B
4.59%1.28B
8.39%1.3B
21.69%1.32B
161.83%1.34B
131.90%1.22B
-Gross PP&E
8.94%3.31B
3.64%3.14B
--3B
-0.76%3B
1.71%3.06B
28.59%3.04B
29.98%3.03B
39.61%3.02B
131.34%3.01B
82.33%2.37B
-Accumulated depreciation
-2.40%-1.8B
-1.01%-1.75B
---1.74B
-1.91%-1.74B
-7.79%-1.79B
-54.30%-1.76B
-52.87%-1.73B
-57.55%-1.71B
-111.44%-1.66B
-48.37%-1.14B
Prepaid assets-non current
-43.01%64.98M
-43.36%63.77M
--119.03M
279.71%119.03M
--117.38M
--114.01M
--112.58M
--31.35M
----
----
Total investment
-46.28%67.75M
-46.44%68.8M
--68.83M
-47.53%68.83M
-6.83%120.69M
-31.13%126.13M
-38.83%128.47M
19.19%131.2M
159.09%129.55M
266.26%183.13M
-Financial asset investment
-46.28%67.75M
-46.44%68.8M
--68.83M
-47.53%68.83M
-6.83%120.69M
-31.13%126.13M
-38.83%128.47M
19.19%131.2M
159.09%129.55M
266.26%183.13M
-Including:Available-for-sale securities
-46.28%67.75M
-46.44%68.8M
--68.83M
-47.53%68.83M
-6.83%120.69M
-31.13%126.13M
-38.83%128.47M
19.19%131.2M
159.09%129.55M
266.26%183.13M
Long-term accounts receivable and other receivables
----
----
--35.68M
--35.68M
----
----
----
----
--408K
--408K
Goodwill and other intangible assets
-48.42%12.3M
-44.97%14.68M
--17.77M
-40.31%17.77M
-36.94%20.79M
-31.75%23.84M
-31.55%26.68M
283.86%29.77M
754.29%32.97M
1,101.58%34.93M
-Goodwill
-60.45%7.43M
-52.52%10.27M
--13.12M
-46.42%13.12M
-41.60%15.96M
-37.68%18.8M
-36.13%21.64M
859.58%24.48M
--27.32M
--30.16M
-Other intangible assets
-3.55%4.86M
-12.54%4.41M
--4.66M
-11.99%4.66M
-14.41%4.83M
5.72%5.04M
-1.10%5.04M
1.63%5.29M
--5.65M
--4.77M
Deferred tax assets-non current
----
----
--22.87M
123.34%22.87M
167.54%34.55M
22.48%39.69M
-36.13%24.9M
-76.71%10.24M
-76.29%12.91M
-43.53%32.4M
Deferred assets-non current
-18.73%9.36M
-18.03%9.9M
--10.44M
--10.44M
--10.98M
--11.52M
--12.07M
--0
----
----
Other non current assets
351.24%244.35M
117.88%50.88M
---19.31M
-139.35%-19.31M
-85.66%16.68M
-46.23%54.15M
-71.61%23.35M
-39.42%49.07M
60.89%116.34M
39.91%100.71M
Total non current assets
15.72%1.91B
-1.68%1.6B
--1.52B
-3.31%1.52B
-3.02%1.59B
4.69%1.65B
3.70%1.63B
18.35%1.57B
135.76%1.64B
121.88%1.57B
Total assets
5.45%7.83B
-10.98%6.76B
--6.67B
1.58%6.67B
1.16%6.85B
27.52%7.42B
31.29%7.59B
29.76%6.57B
51.22%6.77B
36.42%5.82B
Liabilities
Current liabilities
Financial liabilities
-8.61%1.24B
-26.63%1.15B
--969.97M
-3.82%969.97M
-3.27%1.23B
18.50%1.35B
28.33%1.57B
-3.22%1.01B
60.89%1.27B
296.95%1.14B
-Current debt and capital lease obligation
-8.61%1.24B
-26.63%1.15B
--969.97M
-3.82%969.97M
-3.27%1.23B
18.50%1.35B
28.33%1.57B
-3.22%1.01B
60.89%1.27B
296.95%1.14B
-Including:Current debt
-12.66%1.16B
-28.59%1.11B
--949.65M
-4.01%949.65M
-4.88%1.21B
16.80%1.33B
26.58%1.55B
-4.75%989.37M
60.89%1.27B
296.95%1.14B
-Including:Current capital Lease obligation
268.84%71.86M
115.28%46.15M
--20.32M
6.14%20.32M
--20.42M
--19.48M
--21.44M
475.56%19.14M
----
----
Payables
5.81%1.41B
-48.68%637.87M
--909.26M
-32.23%909.26M
-16.68%892.28M
37.47%1.33B
52.49%1.24B
86.07%1.34B
112.29%1.07B
45.73%966.42M
-accounts payable
-29.25%840.96M
-63.41%443.77M
--775.9M
-29.65%775.9M
-2.69%763.32M
70.53%1.19B
79.11%1.21B
95.78%1.1B
109.41%784.39M
16.21%697.06M
-Total tax payable
303.76%564.71M
544.48%194.11M
--133.37M
-44.12%133.37M
-54.99%128.97M
-48.08%139.87M
-78.17%30.12M
51.39%238.65M
120.61%286.53M
325.31%269.37M
Current provisions
-99.22%570K
-84.59%11.23M
--16.85M
10,428.75%16.85M
43,109.41%73.46M
6,294.81%72.65M
15,409.79%72.9M
-71.43%160K
-62.22%170K
170.48%1.14M
Pension and other retirement benefit plans
220.36%44.78M
191.37%21.17M
--14.44M
-0.61%14.44M
-50.89%7.22M
16.79%13.98M
-1.13%7.26M
1.16%14.53M
94.56%14.7M
-0.11%11.97M
Accrued and deferred income
3.77%340.52M
68.32%511.98M
--425.02M
125.55%425.02M
199.97%280.1M
348.43%328.13M
22.29%304.16M
17.96%188.44M
-66.72%93.38M
-82.28%73.17M
Other current liabilities
19.63%227.36M
65.30%245.36M
--227.83M
8.83%227.83M
-39.40%222.41M
100.61%190.06M
20.82%148.44M
153.36%209.34M
489.55%367.04M
34.30%94.74M
Current liabilities
-0.94%3.26B
-22.91%2.58B
--2.56B
-7.21%2.56B
-3.98%2.7B
43.56%3.29B
38.36%3.35B
36.74%2.76B
71.24%2.81B
58.22%2.29B
Non current liabilities
Non current financial liabilities
15.86%1.49B
-11.05%1.31B
--1.25B
21.91%1.25B
26.11%1.31B
58.31%1.28B
82.66%1.47B
131.75%1.03B
250.79%1.04B
154.20%810.15M
-Long term debt and capital lease obligation
15.86%1.49B
-11.05%1.31B
--1.25B
21.91%1.25B
26.11%1.31B
58.31%1.28B
82.66%1.47B
131.75%1.03B
250.79%1.04B
154.20%810.15M
-Including:Long term debt
-7.36%1.11B
-22.37%1.07B
--1.18B
25.08%1.18B
18.60%1.23B
48.44%1.2B
71.74%1.38B
112.92%941.41M
250.79%1.04B
154.20%810.15M
-Including:Long term capital lease obligation
365.15%371.9M
167.01%234.28M
--73.15M
-13.45%73.15M
--78.21M
--79.95M
--87.74M
15,157.22%84.53M
----
----
Long term provisions
-12.07%33.45M
-12.14%33.39M
--38.1M
0.33%38.1M
0.33%38.07M
0.33%38.04M
0.33%38.01M
0.33%37.98M
--37.95M
--37.91M
Long term pension and other post-retirement benefit plans
51.93%99.9M
-38.52%98.26M
--106.48M
65.85%106.48M
-63.90%67.4M
5.59%65.75M
159.31%159.83M
5.44%64.2M
242.17%186.71M
15.47%62.27M
Non current deferred liabilities
0.00%6.16M
0.00%6.16M
--6.16M
-11.03%6.16M
16.08%7.15M
0.00%6.16M
-11.03%6.16M
12.40%6.93M
0.00%6.16M
0.00%6.16M
Other non current liabilities
-39.45%1.19M
55.98%4.23M
--4.33M
103.19%4.33M
-98.18%1.91M
-96.63%1.97M
-71.33%2.71M
-7.98%2.13M
5,564.29%104.68M
2,083.77%58.55M
Total non current liabilities
16.65%1.63B
-13.54%1.45B
--1.41B
23.62%1.41B
3.70%1.43B
43.01%1.39B
82.11%1.67B
106.79%1.14B
283.06%1.38B
155.60%975.04M
Total liabilities
4.30%4.88B
-19.79%4.03B
--3.97B
1.78%3.97B
-1.46%4.13B
43.40%4.68B
50.40%5.02B
51.73%3.9B
109.26%4.19B
78.54%3.26B
Shareholders'equity
Share capital
0.00%989.67M
0.00%989.67M
--989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
-common stock
0.00%989.67M
0.00%989.67M
--989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
0.00%989.67M
Additional paid-in capital
0.00%763.69M
0.00%763.69M
--763.69M
0.00%763.69M
0.00%763.69M
0.00%763.69M
0.00%763.69M
0.00%763.69M
0.00%763.69M
0.00%763.69M
Retained earnings
17.27%1.36B
16.10%1.15B
--1.13B
2.87%1.13B
13.74%1.14B
18.83%1.16B
14.29%988.36M
19.81%1.09B
12.20%1B
14.13%979.44M
Less: Treasury stock
0.65%2.02M
0.65%2.02M
--2.02M
0.65%2.02M
0.65%2.02M
0.00%2.01M
0.00%2.01M
0.00%2.01M
0.00%2.01M
3.40%2.01M
Fixed asset revaluation reserve
0.00%-176.17M
0.00%-176.17M
---176.17M
0.00%-176.17M
0.00%-176.17M
0.00%-176.17M
0.00%-176.17M
0.00%-176.17M
0.00%-176.17M
0.00%-176.17M
Other reserves
487.66%4.24M
162.24%2.49M
--3M
1,450.45%3M
13,607.14%1.89M
692.31%721K
288.84%948K
---222K
---14K
--91K
Other equity interest
----
0.00%1.1M
--1.1M
0.00%1.1M
0.00%1.1M
0.00%1.1M
22.22%1.1M
-75.56%1.1M
-75.56%1.1M
-75.56%1.1M
Total stockholders'equity
7.42%2.94B
6.26%2.73B
--2.7B
1.30%2.7B
5.42%2.72B
7.24%2.74B
5.13%2.57B
7.11%2.67B
4.27%2.58B
4.83%2.56B
Total equity
7.42%2.94B
6.26%2.73B
--2.7B
1.30%2.7B
5.42%2.72B
7.24%2.74B
5.13%2.57B
7.11%2.67B
4.27%2.58B
4.83%2.56B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Mar 31, 2024(Q1)Dec 31, 2023(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(Q4)Sep 30, 2022(Q3)Jun 30, 2022(Q2)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -8.81%2.71B-23.18%2.57B--2.87B15.73%2.87B-12.44%2.93B21.71%2.97B24.30%3.34B8.04%2.48B51.14%3.34B6.09%2.44B
-Cash and cash equivalents -8.81%2.71B-23.18%2.57B--2.87B15.73%2.87B-12.44%2.93B21.71%2.97B24.30%3.34B8.04%2.48B51.14%3.34B6.09%2.44B
Receivables 22.57%2.88B34.05%2.17B--1.71B-5.64%1.71B25.38%1.68B51.44%2.35B14.89%1.62B47.00%1.81B31.35%1.34B35.93%1.55B
-Accounts receivable ----------1.71B-5.64%1.71B------------47.00%1.81B------0
-Gross accounts receivable ----------1.71B-5.64%1.71B------------47.00%1.81B------0
-Other receivables 22.57%2.88B34.05%2.17B--------25.38%1.68B51.44%2.35B14.89%1.62B------1.34B--1.55B
Inventory -51.70%123.85M-73.49%185.59M--167.86M-58.45%167.86M122.31%388.15M441.05%256.45M684.84%700.13M128.19%403.95M101.71%174.6M-44.38%47.4M
Prepaid assets ----------0--0--0--0--172M--172M-61.00%172M--172M
Tax assets-Current ----------314.44M--314.44M11,092.48%217.36M2,173.56%175.16M2,336.12%59.95M--0-70.46%1.94M-74.76%7.7M
Other current assets 1,240.87%199.63M229.60%235.63M--93.71M-29.19%93.71M-53.95%46.27M-29.81%14.89M199.84%71.49M322.50%132.34M576.83%100.48M488.34%21.21M
Total current assets 2.52%5.92B-13.52%5.16B--5.16B3.12%5.16B2.49%5.26B35.98%5.77B41.58%5.96B33.81%5B35.72%5.14B19.37%4.25B
Non current assets
Net PPE 17.96%1.51B7.13%1.39B--1.26B-4.22%1.26B-5.83%1.26B4.59%1.28B8.39%1.3B21.69%1.32B161.83%1.34B131.90%1.22B
-Gross PP&E 8.94%3.31B3.64%3.14B--3B-0.76%3B1.71%3.06B28.59%3.04B29.98%3.03B39.61%3.02B131.34%3.01B82.33%2.37B
-Accumulated depreciation -2.40%-1.8B-1.01%-1.75B---1.74B-1.91%-1.74B-7.79%-1.79B-54.30%-1.76B-52.87%-1.73B-57.55%-1.71B-111.44%-1.66B-48.37%-1.14B
Prepaid assets-non current -43.01%64.98M-43.36%63.77M--119.03M279.71%119.03M--117.38M--114.01M--112.58M--31.35M--------
Total investment -46.28%67.75M-46.44%68.8M--68.83M-47.53%68.83M-6.83%120.69M-31.13%126.13M-38.83%128.47M19.19%131.2M159.09%129.55M266.26%183.13M
-Financial asset investment -46.28%67.75M-46.44%68.8M--68.83M-47.53%68.83M-6.83%120.69M-31.13%126.13M-38.83%128.47M19.19%131.2M159.09%129.55M266.26%183.13M
-Including:Available-for-sale securities -46.28%67.75M-46.44%68.8M--68.83M-47.53%68.83M-6.83%120.69M-31.13%126.13M-38.83%128.47M19.19%131.2M159.09%129.55M266.26%183.13M
Long-term accounts receivable and other receivables ----------35.68M--35.68M------------------408K--408K
Goodwill and other intangible assets -48.42%12.3M-44.97%14.68M--17.77M-40.31%17.77M-36.94%20.79M-31.75%23.84M-31.55%26.68M283.86%29.77M754.29%32.97M1,101.58%34.93M
-Goodwill -60.45%7.43M-52.52%10.27M--13.12M-46.42%13.12M-41.60%15.96M-37.68%18.8M-36.13%21.64M859.58%24.48M--27.32M--30.16M
-Other intangible assets -3.55%4.86M-12.54%4.41M--4.66M-11.99%4.66M-14.41%4.83M5.72%5.04M-1.10%5.04M1.63%5.29M--5.65M--4.77M
Deferred tax assets-non current ----------22.87M123.34%22.87M167.54%34.55M22.48%39.69M-36.13%24.9M-76.71%10.24M-76.29%12.91M-43.53%32.4M
Deferred assets-non current -18.73%9.36M-18.03%9.9M--10.44M--10.44M--10.98M--11.52M--12.07M--0--------
Other non current assets 351.24%244.35M117.88%50.88M---19.31M-139.35%-19.31M-85.66%16.68M-46.23%54.15M-71.61%23.35M-39.42%49.07M60.89%116.34M39.91%100.71M
Total non current assets 15.72%1.91B-1.68%1.6B--1.52B-3.31%1.52B-3.02%1.59B4.69%1.65B3.70%1.63B18.35%1.57B135.76%1.64B121.88%1.57B
Total assets 5.45%7.83B-10.98%6.76B--6.67B1.58%6.67B1.16%6.85B27.52%7.42B31.29%7.59B29.76%6.57B51.22%6.77B36.42%5.82B
Liabilities
Current liabilities
Financial liabilities -8.61%1.24B-26.63%1.15B--969.97M-3.82%969.97M-3.27%1.23B18.50%1.35B28.33%1.57B-3.22%1.01B60.89%1.27B296.95%1.14B
-Current debt and capital lease obligation -8.61%1.24B-26.63%1.15B--969.97M-3.82%969.97M-3.27%1.23B18.50%1.35B28.33%1.57B-3.22%1.01B60.89%1.27B296.95%1.14B
-Including:Current debt -12.66%1.16B-28.59%1.11B--949.65M-4.01%949.65M-4.88%1.21B16.80%1.33B26.58%1.55B-4.75%989.37M60.89%1.27B296.95%1.14B
-Including:Current capital Lease obligation 268.84%71.86M115.28%46.15M--20.32M6.14%20.32M--20.42M--19.48M--21.44M475.56%19.14M--------
Payables 5.81%1.41B-48.68%637.87M--909.26M-32.23%909.26M-16.68%892.28M37.47%1.33B52.49%1.24B86.07%1.34B112.29%1.07B45.73%966.42M
-accounts payable -29.25%840.96M-63.41%443.77M--775.9M-29.65%775.9M-2.69%763.32M70.53%1.19B79.11%1.21B95.78%1.1B109.41%784.39M16.21%697.06M
-Total tax payable 303.76%564.71M544.48%194.11M--133.37M-44.12%133.37M-54.99%128.97M-48.08%139.87M-78.17%30.12M51.39%238.65M120.61%286.53M325.31%269.37M
Current provisions -99.22%570K-84.59%11.23M--16.85M10,428.75%16.85M43,109.41%73.46M6,294.81%72.65M15,409.79%72.9M-71.43%160K-62.22%170K170.48%1.14M
Pension and other retirement benefit plans 220.36%44.78M191.37%21.17M--14.44M-0.61%14.44M-50.89%7.22M16.79%13.98M-1.13%7.26M1.16%14.53M94.56%14.7M-0.11%11.97M
Accrued and deferred income 3.77%340.52M68.32%511.98M--425.02M125.55%425.02M199.97%280.1M348.43%328.13M22.29%304.16M17.96%188.44M-66.72%93.38M-82.28%73.17M
Other current liabilities 19.63%227.36M65.30%245.36M--227.83M8.83%227.83M-39.40%222.41M100.61%190.06M20.82%148.44M153.36%209.34M489.55%367.04M34.30%94.74M
Current liabilities -0.94%3.26B-22.91%2.58B--2.56B-7.21%2.56B-3.98%2.7B43.56%3.29B38.36%3.35B36.74%2.76B71.24%2.81B58.22%2.29B
Non current liabilities
Non current financial liabilities 15.86%1.49B-11.05%1.31B--1.25B21.91%1.25B26.11%1.31B58.31%1.28B82.66%1.47B131.75%1.03B250.79%1.04B154.20%810.15M
-Long term debt and capital lease obligation 15.86%1.49B-11.05%1.31B--1.25B21.91%1.25B26.11%1.31B58.31%1.28B82.66%1.47B131.75%1.03B250.79%1.04B154.20%810.15M
-Including:Long term debt -7.36%1.11B-22.37%1.07B--1.18B25.08%1.18B18.60%1.23B48.44%1.2B71.74%1.38B112.92%941.41M250.79%1.04B154.20%810.15M
-Including:Long term capital lease obligation 365.15%371.9M167.01%234.28M--73.15M-13.45%73.15M--78.21M--79.95M--87.74M15,157.22%84.53M--------
Long term provisions -12.07%33.45M-12.14%33.39M--38.1M0.33%38.1M0.33%38.07M0.33%38.04M0.33%38.01M0.33%37.98M--37.95M--37.91M
Long term pension and other post-retirement benefit plans 51.93%99.9M-38.52%98.26M--106.48M65.85%106.48M-63.90%67.4M5.59%65.75M159.31%159.83M5.44%64.2M242.17%186.71M15.47%62.27M
Non current deferred liabilities 0.00%6.16M0.00%6.16M--6.16M-11.03%6.16M16.08%7.15M0.00%6.16M-11.03%6.16M12.40%6.93M0.00%6.16M0.00%6.16M
Other non current liabilities -39.45%1.19M55.98%4.23M--4.33M103.19%4.33M-98.18%1.91M-96.63%1.97M-71.33%2.71M-7.98%2.13M5,564.29%104.68M2,083.77%58.55M
Total non current liabilities 16.65%1.63B-13.54%1.45B--1.41B23.62%1.41B3.70%1.43B43.01%1.39B82.11%1.67B106.79%1.14B283.06%1.38B155.60%975.04M
Total liabilities 4.30%4.88B-19.79%4.03B--3.97B1.78%3.97B-1.46%4.13B43.40%4.68B50.40%5.02B51.73%3.9B109.26%4.19B78.54%3.26B
Shareholders'equity
Share capital 0.00%989.67M0.00%989.67M--989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M
-common stock 0.00%989.67M0.00%989.67M--989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M0.00%989.67M
Additional paid-in capital 0.00%763.69M0.00%763.69M--763.69M0.00%763.69M0.00%763.69M0.00%763.69M0.00%763.69M0.00%763.69M0.00%763.69M0.00%763.69M
Retained earnings 17.27%1.36B16.10%1.15B--1.13B2.87%1.13B13.74%1.14B18.83%1.16B14.29%988.36M19.81%1.09B12.20%1B14.13%979.44M
Less: Treasury stock 0.65%2.02M0.65%2.02M--2.02M0.65%2.02M0.65%2.02M0.00%2.01M0.00%2.01M0.00%2.01M0.00%2.01M3.40%2.01M
Fixed asset revaluation reserve 0.00%-176.17M0.00%-176.17M---176.17M0.00%-176.17M0.00%-176.17M0.00%-176.17M0.00%-176.17M0.00%-176.17M0.00%-176.17M0.00%-176.17M
Other reserves 487.66%4.24M162.24%2.49M--3M1,450.45%3M13,607.14%1.89M692.31%721K288.84%948K---222K---14K--91K
Other equity interest ----0.00%1.1M--1.1M0.00%1.1M0.00%1.1M0.00%1.1M22.22%1.1M-75.56%1.1M-75.56%1.1M-75.56%1.1M
Total stockholders'equity 7.42%2.94B6.26%2.73B--2.7B1.30%2.7B5.42%2.72B7.24%2.74B5.13%2.57B7.11%2.67B4.27%2.58B4.83%2.56B
Total equity 7.42%2.94B6.26%2.73B--2.7B1.30%2.7B5.42%2.72B7.24%2.74B5.13%2.57B7.11%2.67B4.27%2.58B4.83%2.56B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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