Sakurasaku Plus
7097
Timee
215A
Wintest
6721
Heartseed
219A
Raksul
4384
(Q2)Sep 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -15.52%199.46B | -17.64%209.41B | -17.64%209.41B | -0.34%242.07B | -13.84%236.08B | -4.84%256.76B | -9.97%254.28B | -9.97%254.28B | -2.43%242.89B | 2.66%274B |
-Cash and cash equivalents | -15.25%191.69B | -20.63%196.28B | -20.63%196.28B | -1.05%223.28B | -16.00%226.19B | -2.92%245.48B | -8.97%247.29B | -8.97%247.29B | -3.39%225.64B | 5.93%269.27B |
-Short term investments | -21.53%7.77B | 87.94%13.14B | 87.94%13.14B | 8.96%18.79B | 109.48%9.9B | -33.48%11.28B | -35.16%6.99B | -35.16%6.99B | 12.24%17.25B | -62.77%4.73B |
Receivables | 6.06%821.77B | 4.03%826.97B | 4.03%826.97B | -13.06%801.5B | -13.20%774.81B | -10.54%773.04B | 0.43%794.9B | 0.43%794.9B | 27.84%921.89B | 27.74%892.68B |
-Accounts receivable | 6.06%821.77B | 4.03%826.97B | 4.03%826.97B | -13.06%801.5B | -13.20%774.81B | -10.54%773.04B | 0.43%794.9B | 0.43%794.9B | 27.84%921.89B | 27.74%892.68B |
Inventory | 1.95%294.67B | 2.61%288.3B | 2.61%288.3B | 1.68%304.82B | -9.25%289.04B | 2.53%304.23B | 20.70%280.98B | 20.70%280.98B | 32.97%299.78B | 41.69%318.52B |
Tax assets-Current | -20.11%4.72B | 3.64%11.4B | 3.64%11.4B | -20.91%7.27B | 32.33%5.9B | 184.15%16.24B | 946.81%11B | 946.81%11B | 897.83%9.19B | 46.52%4.46B |
Hedging assets-current | 20.21%6.19B | 17.28%5.44B | 17.28%5.44B | -46.89%4.93B | -60.60%5.15B | -61.66%5.38B | -56.79%4.64B | -56.79%4.64B | 71.71%9.29B | 122.49%13.06B |
Holding assets for sale | -99.77%160M | -58.06%16.25B | -58.06%16.25B | -59.35%11.97B | 434.02%69.72B | 485.34%41.36B | 426.97%38.74B | 426.97%38.74B | 37.02%29.45B | 53.57%13.06B |
Other current assets | 108.04%141.87B | 74.57%104.74B | 74.57%104.74B | 8.80%67.02B | 3.29%68.19B | -8.70%68.5B | -12.27%60B | -12.27%60B | -4.53%61.6B | 27.65%66.02B |
Total current assets | 1.38%1.47T | 1.24%1.46T | 1.24%1.46T | -8.55%1.44T | -8.40%1.45T | -4.37%1.47T | 3.61%1.44T | 3.61%1.44T | 22.22%1.57T | 25.57%1.58T |
Non current assets | ||||||||||
Net PPE | 12.19%330.27B | 27.15%331.89B | 27.15%331.89B | 10.59%292.86B | 2.30%294.4B | -0.15%285B | -3.75%261.02B | -3.75%261.02B | 1.18%264.82B | 11.74%287.78B |
-Gross PP&E | 12.19%330.27B | 27.15%331.89B | 27.15%331.89B | 10.59%292.86B | 2.30%294.4B | -0.15%285B | -3.75%261.02B | -3.75%261.02B | 1.18%264.82B | 11.74%287.78B |
Investment properties | -0.85%9.71B | 22.99%9.98B | 22.99%9.98B | -1.32%9.56B | -27.67%9.79B | -39.86%8.07B | -38.80%8.12B | -38.80%8.12B | -26.88%9.69B | 17.52%13.54B |
Total investment | 8.86%773.6B | 8.31%747.05B | 8.31%747.05B | 2.25%739B | -4.57%710.64B | -1.84%698.59B | 2.39%689.72B | 2.39%689.72B | 14.84%722.76B | 16.47%744.7B |
-Long-term equity investment | 9.29%634.78B | 10.04%616.15B | 10.04%616.15B | 5.01%607.71B | 1.15%580.82B | 5.37%562.68B | 14.20%559.94B | 14.20%559.94B | 27.11%578.7B | 24.61%574.2B |
-Other investment | 6.93%138.82B | 0.87%130.91B | 0.87%130.91B | -8.87%131.29B | -23.86%129.82B | -23.50%135.91B | -29.20%129.78B | -29.20%129.78B | -17.26%144.07B | -4.55%170.5B |
Long-term accounts receivable and other receivables | -9.15%95.16B | 1.93%87.96B | 1.93%87.96B | 7.36%92.35B | 8.91%104.74B | 3.32%95.81B | -27.04%86.29B | -27.04%86.29B | -42.57%86.02B | -28.90%96.17B |
Financial assets | 55.90%2.1B | -7.91%1.22B | -7.91%1.22B | -31.76%1.04B | -20.90%1.35B | -44.83%1.68B | -31.65%1.33B | -31.65%1.33B | 316.39%1.52B | --1.7B |
Goodwill and other intangible assets | 19.52%225.53B | 43.56%224.77B | 43.56%224.77B | 14.21%202.99B | 1.74%188.7B | 5.10%189.34B | -6.56%156.57B | -6.56%156.57B | 19.35%177.74B | 45.71%185.47B |
-Goodwill | 23.54%133.63B | 54.67%132.6B | 54.67%132.6B | 43.47%122.8B | 19.29%108.17B | 19.13%106.01B | 3.89%85.73B | 3.89%85.73B | 1.27%85.59B | 39.83%90.68B |
-Other intangible assets | 14.12%91.9B | 30.12%92.17B | 30.12%92.17B | -12.97%80.2B | -15.04%80.53B | -8.60%83.33B | -16.70%70.83B | -16.70%70.83B | 43.07%92.15B | 51.81%94.79B |
Deferred tax assets-non current | 15.47%10.12B | 73.67%11.48B | 73.67%11.48B | -1.22%8.67B | -2.12%8.76B | 5.11%9.22B | -23.21%6.61B | -23.21%6.61B | 27.42%8.77B | 11.17%8.95B |
Other non current assets | -13.86%6.42B | 50.42%10B | 50.42%10B | -35.39%6.55B | -44.09%7.45B | -30.68%9.89B | -48.89%6.65B | -48.89%6.65B | -7.64%10.14B | 17.87%13.32B |
Total non current assets | 9.59%1.45T | 17.10%1.42T | 17.10%1.42T | 5.58%1.35T | -1.91%1.33T | -0.91%1.3T | -4.04%1.22T | -4.04%1.22T | 4.93%1.28T | 13.55%1.35T |
Total assets | 5.30%2.92T | 8.49%2.89T | 8.49%2.89T | -2.20%2.79T | -5.41%2.77T | -2.77%2.76T | -0.03%2.66T | -0.03%2.66T | 13.81%2.86T | 19.73%2.93T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 20.30%243.88B | -1.26%188.16B | -1.26%188.16B | -0.56%180.12B | -10.01%202.73B | 3.49%266.1B | -25.93%190.56B | -25.93%190.56B | 13.37%181.13B | 28.00%225.28B |
-Financial or other derivative investment liabilities | -48.56%4.36B | -14.56%4.68B | -14.56%4.68B | -39.21%5.15B | -46.20%8.47B | -36.47%9.44B | -36.38%5.48B | -36.38%5.48B | 63.67%8.48B | 139.78%15.74B |
-Current debt and capital lease obligation | 23.30%239.53B | -0.87%183.48B | -0.87%183.48B | 1.34%174.97B | -7.29%194.26B | 5.94%256.66B | -25.56%185.08B | -25.56%185.08B | 11.68%172.66B | 23.66%209.54B |
-Including:Current debt | 25.60%220.3B | -2.17%164.14B | -2.17%164.14B | -0.32%156.06B | -8.74%175.4B | 5.88%237.88B | -27.44%167.78B | -27.44%167.78B | 12.38%156.56B | 24.80%192.19B |
-Including:Current capital Lease obligation | 1.89%19.22B | 11.76%19.34B | 11.76%19.34B | 17.49%18.91B | 8.76%18.87B | 6.76%18.79B | -0.70%17.31B | -0.70%17.31B | 5.33%16.09B | 12.37%17.35B |
Payables | -13.01%559.58B | 12.03%672.04B | 12.03%672.04B | -6.14%652.6B | 0.30%643.24B | -7.98%586.91B | 6.18%599.89B | 6.18%599.89B | 26.65%695.31B | 17.62%641.3B |
-accounts payable | -13.13%551.52B | 14.48%663.14B | 14.48%663.14B | -4.65%644.78B | 2.06%634.87B | -7.39%566.91B | 6.10%579.25B | 6.10%579.25B | 24.42%676.22B | 15.25%622.04B |
-Total tax payable | -3.63%8.06B | -56.87%8.9B | -56.87%8.9B | -59.05%7.82B | -56.55%8.37B | -21.99%20B | 8.55%20.63B | 8.55%20.63B | 245.49%19.09B | 248.47%19.26B |
Current provisions | 95.84%3.48B | 62.29%3.96B | 62.29%3.96B | -1.71%1.55B | -22.74%1.78B | -38.91%2.26B | -41.09%2.44B | -41.09%2.44B | -54.87%1.58B | -40.37%2.3B |
Held for sale liabilities | --0 | -75.00%4.82B | -75.00%4.82B | --0 | --21.35B | --19.52B | --19.26B | --19.26B | -46.99%4.88B | ---- |
Other current liabilities | 47.42%126.03B | 31.13%104.49B | 31.13%104.49B | 7.28%75.6B | 17.85%85.49B | 7.24%77.91B | 11.81%79.68B | 11.81%79.68B | -6.41%70.47B | 5.73%72.54B |
Current liabilities | -2.26%932.97B | 9.15%973.45B | 9.15%973.45B | -4.56%909.87B | 1.40%954.59B | -1.91%952.69B | -0.65%891.82B | -0.65%891.82B | 19.65%953.36B | 17.83%941.42B |
Non current liabilities | ||||||||||
Non current financial liabilities | 14.36%873.11B | 7.64%828.87B | 7.64%828.87B | -7.00%824.84B | -20.28%763.47B | -15.19%766.12B | -12.44%770.07B | -12.44%770.07B | -0.61%886.95B | 12.29%957.68B |
-Long term debt and capital lease obligation | 14.18%871.6B | 7.57%828.32B | 7.57%828.32B | -6.99%824.8B | -20.26%763.38B | -15.17%766.05B | -12.43%770.03B | -12.43%770.03B | -0.57%886.81B | 12.35%957.37B |
-Including:Long term debt | 11.95%786.84B | 3.72%742.57B | 3.72%742.57B | -8.58%762.73B | -22.01%702.84B | -16.42%706.71B | -12.85%715.93B | -12.85%715.93B | -0.10%834.3B | 13.01%901.15B |
-Including:Long term capital lease obligation | 40.00%84.76B | 58.49%85.75B | 58.49%85.75B | 18.20%62.07B | 7.68%60.54B | 3.21%59.34B | -6.45%54.1B | -6.45%54.1B | -7.48%52.51B | 2.77%56.22B |
-Derivative product liabilities | 1,610.23%1.51B | 1,360.53%555M | 1,360.53%555M | -69.18%45M | -71.24%88M | -71.77%70M | -67.52%38M | -67.52%38M | -72.96%146M | -58.87%306M |
Long term accounts payable and other payables | 2.11%9.85B | 4.73%9.67B | 4.73%9.67B | 33.78%11.56B | 7.15%9.65B | 39.79%12.19B | 12.57%9.23B | 12.57%9.23B | -18.30%8.64B | 31.74%9B |
Long term provisions | -16.97%44.62B | -8.91%44.6B | -8.91%44.6B | -0.03%50.69B | 3.24%53.74B | 3.98%52.55B | 2.11%48.96B | 2.11%48.96B | 22.05%50.71B | 29.93%52.05B |
Long term pension and other post-retirement benefit plans | -2.11%23.58B | 6.17%24.11B | 6.17%24.11B | -2.72%23.93B | -3.79%24.08B | -3.82%23.56B | -5.09%22.71B | -5.09%22.71B | 11.67%24.6B | 14.90%25.03B |
Non current deferred liabilities | 10.36%38.91B | 46.28%38.09B | 46.28%38.09B | 2.11%32.13B | 4.24%35.25B | 6.43%35.26B | -17.94%26.04B | -17.94%26.04B | 9.37%31.47B | 28.07%33.82B |
Other non current liabilities | -28.53%8.64B | -19.28%12.45B | -19.28%12.45B | 29.10%11.74B | 31.90%12.09B | 57.42%14.96B | 73.38%15.42B | 73.38%15.42B | 13.60%9.1B | -23.53%9.16B |
Total non current liabilities | 11.18%998.69B | 7.32%957.8B | 7.32%957.8B | -5.59%954.9B | -17.34%898.27B | -12.15%904.64B | -10.77%892.45B | -10.77%892.45B | 0.81%1.01T | 13.21%1.09T |
Total liabilities | 4.25%1.93T | 8.24%1.93T | 8.24%1.93T | -5.09%1.86T | -8.64%1.85T | -7.18%1.86T | -5.98%1.78T | -5.98%1.78T | 9.15%1.96T | 15.31%2.03T |
Shareholders'equity | ||||||||||
Share capital | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B |
-common stock | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B | 0.00%160.34B |
Additional paid-in capital | 0.49%96.45B | -34.66%96.45B | -34.66%96.45B | -34.67%96.1B | -34.73%95.98B | -16.34%123.03B | 0.39%147.6B | 0.39%147.6B | 0.08%147.1B | 0.07%147.04B |
Retained earnings | 16.36%520.47B | 16.06%490.01B | 16.06%490.01B | 12.55%458.61B | 16.90%447.31B | 24.08%429.67B | 34.07%422.19B | 34.07%422.19B | 37.98%407.47B | 34.31%382.63B |
Less: Treasury stock | 168.79%24.77B | -29.44%21.92B | -29.44%21.92B | -70.12%9.27B | -70.27%9.22B | -34.69%20.26B | 0.14%31.06B | 0.14%31.06B | 0.22%31.03B | 0.51%31B |
Other equity interest | 6.71%207.13B | 43.68%199.19B | 43.68%199.19B | 15.88%191.53B | -4.53%194.1B | -3.66%172.16B | 1.38%138.64B | 1.38%138.64B | 60.46%165.29B | 111.12%203.31B |
Total stockholders'equity | 8.00%959.61B | 10.31%924.08B | 10.31%924.08B | 5.67%897.31B | 3.04%888.5B | 7.93%864.93B | 15.07%837.71B | 15.07%837.71B | 25.86%849.16B | 31.13%862.33B |
Noncontrolling interests | -8.66%30.47B | -18.82%31.55B | -18.82%31.55B | -26.58%30.53B | -22.32%33.36B | 3.07%40.83B | 8.36%38.86B | 8.36%38.86B | 21.05%41.58B | 28.27%42.95B |
Total equity | 7.40%990.09B | 9.02%955.63B | 9.02%955.63B | 4.16%927.84B | 1.83%921.86B | 7.70%905.77B | 14.75%876.58B | 14.75%876.58B | 25.63%890.74B | 30.99%905.27B |
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 |