JP Stock MarketDetailed Quotes

3680 Hotto Link

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  • 258
  • 00.00%
20min DelayMarket to Open Dec 4 15:30 JST
4.12BMarket Cap17.84P/E (Static)

Hotto Link Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-1.87%3.63B
15.58%3.7B
-2.82%3.5B
-2.82%3.5B
19.11%3.76B
48.44%3.7B
21.53%3.2B
38.41%3.6B
38.41%3.6B
23.00%3.16B
-Cash and cash equivalents
-1.87%3.63B
15.58%3.7B
-2.82%3.5B
-2.82%3.5B
19.11%3.76B
48.44%3.7B
21.53%3.2B
38.41%3.6B
38.41%3.6B
23.48%3.16B
Receivables
30.06%469.02M
1.67%525.94M
78.91%672.77M
78.91%672.77M
-1.99%383.61M
-22.02%360.61M
45.68%517.3M
-39.21%376.05M
-39.21%376.05M
-12.52%391.4M
-Accounts receivable
30.06%469.02M
1.67%525.94M
78.91%672.77M
78.91%672.77M
-1.99%383.61M
-22.02%360.61M
45.68%517.3M
-39.21%376.05M
-39.21%376.05M
-12.52%391.4M
Inventory
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----
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----
----
----
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203.61%277.64M
Tax assets-Current
--23.25M
-100.00%7K
-100.00%7K
-100.00%7K
--0
--0
--294.97M
--283.12M
--283.12M
----
Other current assets
15.29%88.24M
74.61%82.26M
35.80%72.05M
35.80%72.05M
-54.29%76.81M
-27.35%76.54M
-14.73%47.11M
-39.45%53.05M
-39.45%53.05M
40.13%168.03M
Total current assets
1.79%4.21B
6.10%4.31B
-1.59%4.24B
-1.59%4.24B
5.68%4.22B
28.72%4.14B
23.18%4.06B
25.11%4.31B
25.11%4.31B
23.78%4B
Non current assets
Net PPE
-16.74%386.21M
-15.71%405M
-13.93%430.89M
-13.93%430.89M
-8.68%454.31M
-9.46%463.88M
-8.33%480.51M
-6.95%500.63M
-6.95%500.63M
-10.17%497.46M
-Gross PP&E
-16.74%386.21M
-15.71%405M
-13.93%430.89M
-13.93%430.89M
-8.68%454.31M
-9.46%463.88M
-8.33%480.51M
-6.95%500.63M
-6.95%500.63M
-10.17%497.46M
Total investment
-1.20%1.69B
-11.20%1.49B
-13.69%1.46B
-13.69%1.46B
48.88%1.7B
54.36%1.71B
60.66%1.68B
43.59%1.69B
43.59%1.69B
18.96%1.14B
-Long-term equity investment
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----
----
----
----
----
----
----
----
--0
-Financial asset investment
-1.20%1.69B
-11.20%1.49B
-13.69%1.46B
-13.69%1.46B
48.88%1.7B
54.36%1.71B
90.59%1.68B
66.85%1.69B
66.85%1.69B
43.18%1.14B
-Including:Available-for-sale securities
-1.20%1.69B
-11.20%1.49B
-13.69%1.46B
-13.69%1.46B
48.88%1.7B
54.36%1.71B
90.59%1.68B
66.85%1.69B
66.85%1.69B
43.18%1.14B
Goodwill and other intangible assets
11.08%2.66B
12.90%2.51B
19.73%2.36B
19.73%2.36B
-5.50%2.47B
-4.39%2.4B
-2.44%2.23B
-8.52%1.97B
-8.52%1.97B
23.52%2.61B
-Goodwill
7.80%1.8B
9.49%1.71B
24.46%1.62B
24.46%1.62B
-8.28%1.72B
-6.73%1.67B
-4.17%1.56B
-15.16%1.3B
-15.16%1.3B
26.34%1.87B
-Other intangible assets
18.68%857.05M
20.90%804.01M
10.61%744.98M
10.61%744.98M
1.56%750.79M
1.53%722.16M
1.88%665.03M
7.77%673.54M
7.77%673.54M
16.90%739.25M
Other non current assets
-33.33%2K
0.00%1K
-91.67%1K
-91.67%1K
-83.33%2K
-72.73%3K
-91.67%1K
-7.69%12K
-7.69%12K
-95.71%12K
Total non current assets
3.66%4.74B
0.53%4.41B
2.11%4.25B
2.11%4.25B
8.70%4.62B
10.77%4.57B
13.90%4.39B
7.55%4.16B
7.55%4.16B
16.92%4.25B
Total assets
2.77%8.95B
3.21%8.72B
0.23%8.49B
0.23%8.49B
7.24%8.84B
18.63%8.71B
18.18%8.45B
15.81%8.47B
15.81%8.47B
20.14%8.24B
Liabilities
Current liabilities
Financial liabilities
-5.65%194.25M
12.06%197.43M
20.85%213.19M
20.85%213.19M
-5.24%211.9M
-37.65%205.88M
34.44%176.18M
45.84%176.41M
45.84%176.41M
109.67%223.62M
-Current debt and capital lease obligation
-5.65%194.25M
12.06%197.43M
20.85%213.19M
20.85%213.19M
-5.24%211.9M
-37.65%205.88M
34.44%176.18M
45.84%176.41M
45.84%176.41M
109.67%223.62M
-Including:Current debt
29.31%147.13M
34.25%143.8M
23.80%132.6M
23.80%132.6M
-12.82%123.79M
-53.62%113.78M
131.62%107.11M
206.35%107.11M
206.35%107.11M
251.87%141.99M
-Including:Current capital Lease obligation
-48.84%47.12M
-22.34%53.64M
16.30%80.59M
16.30%80.59M
7.94%88.11M
8.55%92.1M
-18.55%69.07M
-19.42%69.3M
-19.42%69.3M
23.13%81.63M
Payables
-5.33%532.67M
8.07%617.54M
25.74%615.46M
25.74%615.46M
-39.33%574.07M
-13.07%562.69M
-2.92%571.45M
-22.42%489.49M
-22.42%489.49M
57.21%946.29M
-accounts payable
-1.27%513.65M
-0.49%566.56M
17.68%574.6M
17.68%574.6M
-39.70%545.44M
-11.90%520.25M
-1.05%569.33M
-16.52%488.29M
-16.52%488.29M
58.01%904.51M
-Total tax payable
-55.19%19.02M
2,311.73%50.98M
3,319.16%40.86M
3,319.16%40.86M
-31.48%28.63M
-25.18%42.44M
-84.00%2.11M
-97.41%1.2M
-97.41%1.2M
41.66%41.78M
Other current liabilities
31.46%190.83M
31.10%187.53M
-15.85%191.13M
-15.85%191.13M
-17.68%165.13M
-35.93%145.16M
-53.41%143.05M
-38.86%227.13M
-38.86%227.13M
-24.36%200.59M
Current liabilities
0.44%917.75M
12.56%1B
14.19%1.02B
14.19%1.02B
-30.60%951.1M
-24.11%913.72M
-13.25%890.67M
-20.51%893.03M
-20.51%893.03M
40.74%1.37B
Non current liabilities
Non current financial liabilities
-18.09%873.45M
-18.82%920.62M
-17.60%970.15M
-17.60%970.15M
-43.25%1.02B
-19.57%1.07B
-24.51%1.13B
-20.82%1.18B
-20.82%1.18B
17.45%1.79B
-Long term debt and capital lease obligation
-18.09%873.45M
-18.82%920.62M
-17.60%970.15M
-17.60%970.15M
-43.25%1.02B
-19.57%1.07B
-24.51%1.13B
-20.82%1.18B
-20.82%1.18B
17.45%1.79B
-Including:Long term debt
-20.50%566.07M
-19.29%601.66M
-17.17%639.63M
-17.17%639.63M
-51.97%675.23M
-23.13%712.01M
-31.63%745.46M
-27.31%772.24M
-27.31%772.24M
31.65%1.41B
-Including:Long term capital lease obligation
-13.27%307.38M
-17.93%318.96M
-18.43%330.51M
-18.43%330.51M
-11.59%342.26M
-11.30%354.4M
-5.68%388.64M
-4.56%405.17M
-4.56%405.17M
-15.62%387.14M
Non current deferred liabilities
-9.89%411.91M
-18.22%373.87M
-21.97%344.43M
-21.97%344.43M
14.24%430.92M
20.90%457.11M
15.19%457.16M
-4.27%441.41M
-4.27%441.41M
-13.24%377.2M
Other non current liabilities
-37.26%11.73M
-37.27%11.73M
60.18%18.72M
60.18%18.72M
60.22%18.71M
60.26%18.7M
60.31%18.69M
-89.54%11.69M
-89.54%11.69M
-89.56%11.68M
Total non current liabilities
-15.89%1.3B
-18.87%1.31B
-18.23%1.33B
-18.23%1.33B
-32.76%1.47B
-10.10%1.54B
-15.75%1.61B
-20.84%1.63B
-20.84%1.63B
5.24%2.18B
Total liabilities
-9.82%2.21B
-7.67%2.31B
-6.75%2.35B
-6.75%2.35B
-31.93%2.42B
-15.88%2.46B
-14.87%2.5B
-20.72%2.52B
-20.72%2.52B
16.58%3.55B
Shareholders'equity
Share capital
0.00%2.44B
0.37%2.44B
0.46%2.44B
0.46%2.44B
0.46%2.44B
0.46%2.44B
0.09%2.43B
0.00%2.43B
0.00%2.43B
0.01%2.43B
-common stock
0.00%2.44B
0.37%2.44B
0.46%2.44B
0.46%2.44B
0.46%2.44B
0.46%2.44B
0.09%2.43B
0.00%2.43B
0.00%2.43B
0.01%2.43B
Additional paid-in capital
0.00%2.96B
0.30%2.96B
0.38%2.96B
0.38%2.96B
0.38%2.96B
0.38%2.96B
0.07%2.95B
0.00%2.95B
0.00%2.95B
0.01%2.95B
Retained earnings
43.73%1.04B
45.01%912.5M
39.22%804.43M
39.22%804.43M
170.42%823.76M
156.46%726.24M
148.92%629.25M
146.57%577.83M
146.57%577.83M
19.80%-1.17B
Less: Treasury stock
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
0.00%140.22M
Other equity interest
61.64%432.36M
211.68%238.19M
-45.50%70.85M
-45.50%70.85M
4.75%337.12M
34.70%267.48M
557.90%76.42M
198.13%130M
198.13%130M
279.85%321.82M
Total stockholders'equity
7.71%6.74B
7.78%6.41B
3.19%6.14B
3.19%6.14B
46.25%6.42B
50.66%6.26B
51.13%5.95B
53.82%5.95B
53.82%5.95B
21.93%4.39B
Noncontrolling interests
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----
----
----
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40.81%300.26M
Total equity
7.71%6.74B
7.78%6.41B
3.19%6.14B
3.19%6.14B
36.89%6.42B
41.41%6.26B
41.23%5.95B
43.96%5.95B
43.96%5.95B
22.99%4.69B
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
Audit Opinions
--
--
Unqualified Opinion
--
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--
--
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(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -1.87%3.63B15.58%3.7B-2.82%3.5B-2.82%3.5B19.11%3.76B48.44%3.7B21.53%3.2B38.41%3.6B38.41%3.6B23.00%3.16B
-Cash and cash equivalents -1.87%3.63B15.58%3.7B-2.82%3.5B-2.82%3.5B19.11%3.76B48.44%3.7B21.53%3.2B38.41%3.6B38.41%3.6B23.48%3.16B
Receivables 30.06%469.02M1.67%525.94M78.91%672.77M78.91%672.77M-1.99%383.61M-22.02%360.61M45.68%517.3M-39.21%376.05M-39.21%376.05M-12.52%391.4M
-Accounts receivable 30.06%469.02M1.67%525.94M78.91%672.77M78.91%672.77M-1.99%383.61M-22.02%360.61M45.68%517.3M-39.21%376.05M-39.21%376.05M-12.52%391.4M
Inventory ------------------------------------203.61%277.64M
Tax assets-Current --23.25M-100.00%7K-100.00%7K-100.00%7K--0--0--294.97M--283.12M--283.12M----
Other current assets 15.29%88.24M74.61%82.26M35.80%72.05M35.80%72.05M-54.29%76.81M-27.35%76.54M-14.73%47.11M-39.45%53.05M-39.45%53.05M40.13%168.03M
Total current assets 1.79%4.21B6.10%4.31B-1.59%4.24B-1.59%4.24B5.68%4.22B28.72%4.14B23.18%4.06B25.11%4.31B25.11%4.31B23.78%4B
Non current assets
Net PPE -16.74%386.21M-15.71%405M-13.93%430.89M-13.93%430.89M-8.68%454.31M-9.46%463.88M-8.33%480.51M-6.95%500.63M-6.95%500.63M-10.17%497.46M
-Gross PP&E -16.74%386.21M-15.71%405M-13.93%430.89M-13.93%430.89M-8.68%454.31M-9.46%463.88M-8.33%480.51M-6.95%500.63M-6.95%500.63M-10.17%497.46M
Total investment -1.20%1.69B-11.20%1.49B-13.69%1.46B-13.69%1.46B48.88%1.7B54.36%1.71B60.66%1.68B43.59%1.69B43.59%1.69B18.96%1.14B
-Long-term equity investment --------------------------------------0
-Financial asset investment -1.20%1.69B-11.20%1.49B-13.69%1.46B-13.69%1.46B48.88%1.7B54.36%1.71B90.59%1.68B66.85%1.69B66.85%1.69B43.18%1.14B
-Including:Available-for-sale securities -1.20%1.69B-11.20%1.49B-13.69%1.46B-13.69%1.46B48.88%1.7B54.36%1.71B90.59%1.68B66.85%1.69B66.85%1.69B43.18%1.14B
Goodwill and other intangible assets 11.08%2.66B12.90%2.51B19.73%2.36B19.73%2.36B-5.50%2.47B-4.39%2.4B-2.44%2.23B-8.52%1.97B-8.52%1.97B23.52%2.61B
-Goodwill 7.80%1.8B9.49%1.71B24.46%1.62B24.46%1.62B-8.28%1.72B-6.73%1.67B-4.17%1.56B-15.16%1.3B-15.16%1.3B26.34%1.87B
-Other intangible assets 18.68%857.05M20.90%804.01M10.61%744.98M10.61%744.98M1.56%750.79M1.53%722.16M1.88%665.03M7.77%673.54M7.77%673.54M16.90%739.25M
Other non current assets -33.33%2K0.00%1K-91.67%1K-91.67%1K-83.33%2K-72.73%3K-91.67%1K-7.69%12K-7.69%12K-95.71%12K
Total non current assets 3.66%4.74B0.53%4.41B2.11%4.25B2.11%4.25B8.70%4.62B10.77%4.57B13.90%4.39B7.55%4.16B7.55%4.16B16.92%4.25B
Total assets 2.77%8.95B3.21%8.72B0.23%8.49B0.23%8.49B7.24%8.84B18.63%8.71B18.18%8.45B15.81%8.47B15.81%8.47B20.14%8.24B
Liabilities
Current liabilities
Financial liabilities -5.65%194.25M12.06%197.43M20.85%213.19M20.85%213.19M-5.24%211.9M-37.65%205.88M34.44%176.18M45.84%176.41M45.84%176.41M109.67%223.62M
-Current debt and capital lease obligation -5.65%194.25M12.06%197.43M20.85%213.19M20.85%213.19M-5.24%211.9M-37.65%205.88M34.44%176.18M45.84%176.41M45.84%176.41M109.67%223.62M
-Including:Current debt 29.31%147.13M34.25%143.8M23.80%132.6M23.80%132.6M-12.82%123.79M-53.62%113.78M131.62%107.11M206.35%107.11M206.35%107.11M251.87%141.99M
-Including:Current capital Lease obligation -48.84%47.12M-22.34%53.64M16.30%80.59M16.30%80.59M7.94%88.11M8.55%92.1M-18.55%69.07M-19.42%69.3M-19.42%69.3M23.13%81.63M
Payables -5.33%532.67M8.07%617.54M25.74%615.46M25.74%615.46M-39.33%574.07M-13.07%562.69M-2.92%571.45M-22.42%489.49M-22.42%489.49M57.21%946.29M
-accounts payable -1.27%513.65M-0.49%566.56M17.68%574.6M17.68%574.6M-39.70%545.44M-11.90%520.25M-1.05%569.33M-16.52%488.29M-16.52%488.29M58.01%904.51M
-Total tax payable -55.19%19.02M2,311.73%50.98M3,319.16%40.86M3,319.16%40.86M-31.48%28.63M-25.18%42.44M-84.00%2.11M-97.41%1.2M-97.41%1.2M41.66%41.78M
Other current liabilities 31.46%190.83M31.10%187.53M-15.85%191.13M-15.85%191.13M-17.68%165.13M-35.93%145.16M-53.41%143.05M-38.86%227.13M-38.86%227.13M-24.36%200.59M
Current liabilities 0.44%917.75M12.56%1B14.19%1.02B14.19%1.02B-30.60%951.1M-24.11%913.72M-13.25%890.67M-20.51%893.03M-20.51%893.03M40.74%1.37B
Non current liabilities
Non current financial liabilities -18.09%873.45M-18.82%920.62M-17.60%970.15M-17.60%970.15M-43.25%1.02B-19.57%1.07B-24.51%1.13B-20.82%1.18B-20.82%1.18B17.45%1.79B
-Long term debt and capital lease obligation -18.09%873.45M-18.82%920.62M-17.60%970.15M-17.60%970.15M-43.25%1.02B-19.57%1.07B-24.51%1.13B-20.82%1.18B-20.82%1.18B17.45%1.79B
-Including:Long term debt -20.50%566.07M-19.29%601.66M-17.17%639.63M-17.17%639.63M-51.97%675.23M-23.13%712.01M-31.63%745.46M-27.31%772.24M-27.31%772.24M31.65%1.41B
-Including:Long term capital lease obligation -13.27%307.38M-17.93%318.96M-18.43%330.51M-18.43%330.51M-11.59%342.26M-11.30%354.4M-5.68%388.64M-4.56%405.17M-4.56%405.17M-15.62%387.14M
Non current deferred liabilities -9.89%411.91M-18.22%373.87M-21.97%344.43M-21.97%344.43M14.24%430.92M20.90%457.11M15.19%457.16M-4.27%441.41M-4.27%441.41M-13.24%377.2M
Other non current liabilities -37.26%11.73M-37.27%11.73M60.18%18.72M60.18%18.72M60.22%18.71M60.26%18.7M60.31%18.69M-89.54%11.69M-89.54%11.69M-89.56%11.68M
Total non current liabilities -15.89%1.3B-18.87%1.31B-18.23%1.33B-18.23%1.33B-32.76%1.47B-10.10%1.54B-15.75%1.61B-20.84%1.63B-20.84%1.63B5.24%2.18B
Total liabilities -9.82%2.21B-7.67%2.31B-6.75%2.35B-6.75%2.35B-31.93%2.42B-15.88%2.46B-14.87%2.5B-20.72%2.52B-20.72%2.52B16.58%3.55B
Shareholders'equity
Share capital 0.00%2.44B0.37%2.44B0.46%2.44B0.46%2.44B0.46%2.44B0.46%2.44B0.09%2.43B0.00%2.43B0.00%2.43B0.01%2.43B
-common stock 0.00%2.44B0.37%2.44B0.46%2.44B0.46%2.44B0.46%2.44B0.46%2.44B0.09%2.43B0.00%2.43B0.00%2.43B0.01%2.43B
Additional paid-in capital 0.00%2.96B0.30%2.96B0.38%2.96B0.38%2.96B0.38%2.96B0.38%2.96B0.07%2.95B0.00%2.95B0.00%2.95B0.01%2.95B
Retained earnings 43.73%1.04B45.01%912.5M39.22%804.43M39.22%804.43M170.42%823.76M156.46%726.24M148.92%629.25M146.57%577.83M146.57%577.83M19.80%-1.17B
Less: Treasury stock 0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M0.00%140.22M
Other equity interest 61.64%432.36M211.68%238.19M-45.50%70.85M-45.50%70.85M4.75%337.12M34.70%267.48M557.90%76.42M198.13%130M198.13%130M279.85%321.82M
Total stockholders'equity 7.71%6.74B7.78%6.41B3.19%6.14B3.19%6.14B46.25%6.42B50.66%6.26B51.13%5.95B53.82%5.95B53.82%5.95B21.93%4.39B
Noncontrolling interests ------------------------------------40.81%300.26M
Total equity 7.71%6.74B7.78%6.41B3.19%6.14B3.19%6.14B36.89%6.42B41.41%6.26B41.23%5.95B43.96%5.95B43.96%5.95B22.99%4.69B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions ----Unqualified Opinion--------------
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