(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 | (Q1)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -6.47%7.25B | -6.47%7.25B | -11.24%7.54B | -19.54%7.89B | 4.79%8.18B | -6.45%7.76B | -6.45%7.76B | 1.86%8.5B | 21.52%9.8B | -0.90%7.81B |
-Cash and cash equivalents | -6.47%7.25B | -6.47%7.25B | -11.24%7.54B | -19.54%7.89B | 4.79%8.18B | -6.45%7.76B | -6.45%7.76B | 1.86%8.5B | 21.52%9.8B | -0.90%7.81B |
Receivables | 7.99%1.04B | 7.99%1.04B | 21.90%821.26M | 5.50%839.35M | -7.45%656.9M | -4.75%962.37M | -4.75%962.37M | -8.44%673.71M | 10.77%795.57M | -7.39%709.74M |
-Accounts receivable | 8.31%1.02B | 8.31%1.02B | 22.02%801.07M | 5.51%823.03M | -10.54%621.77M | -3.82%945.46M | -3.82%945.46M | -7.97%656.5M | 11.64%780.04M | -5.11%694.99M |
-Gross accounts receivable | 8.31%1.02B | 8.31%1.02B | 22.02%801.07M | 5.51%823.03M | -10.54%621.77M | -3.82%945.46M | -3.82%945.46M | -7.97%656.5M | 11.64%780.04M | -5.11%694.99M |
-Other receivables | -9.87%15.23M | -9.87%15.23M | 17.32%20.2M | 5.07%16.32M | 138.13%35.13M | -38.09%16.9M | -38.09%16.9M | -23.26%17.21M | -20.45%15.53M | -56.57%14.75M |
Inventory | 3.61%128.32M | 3.61%128.32M | 18.87%177.93M | -4.38%150.71M | 6.92%160.19M | -15.52%123.85M | -15.52%123.85M | 0.26%149.69M | 20.25%157.61M | 12.26%149.82M |
Prepaid assets | --0 | --0 | --0 | -62.18%143.17M | -85.00%150M | --48.99M | --48.99M | --43.9M | --378.54M | --1B |
Restricted cash | --0 | --0 | --0 | --0 | --0 | --200M | --200M | ---- | ---- | ---- |
Other current assets | 22.25%664.38M | 22.25%664.38M | 55.90%346.62M | 64.07%337.77M | 87.46%453.12M | 53.35%543.45M | 53.35%543.45M | 12.20%222.34M | 12.59%205.87M | 34.23%241.72M |
Total current assets | -5.69%9.09B | -5.69%9.09B | -7.29%8.89B | -17.48%9.36B | -3.10%9.6B | -1.71%9.63B | -1.71%9.63B | 1.71%9.59B | 24.63%11.34B | 10.61%9.91B |
Non current assets | ||||||||||
Net PPE | 25.80%608.58M | 25.80%608.58M | 27.88%631.76M | 22.59%626.19M | -6.43%489.07M | 0.68%483.78M | 0.68%483.78M | -1.44%494.02M | -1.01%510.79M | 0.88%522.68M |
-Gross PP&E | 22.36%1.02B | 22.36%1.02B | 24.20%1.02B | 19.42%994.74M | 2.86%852.28M | 7.76%831.52M | 7.76%831.52M | 7.88%824.92M | 8.89%832.95M | 10.11%828.61M |
-Accumulated depreciation | -17.59%-408.9M | -17.59%-408.9M | -18.70%-392.78M | -14.40%-368.56M | -18.73%-363.22M | -19.44%-347.74M | -19.44%-347.74M | -25.63%-330.9M | -29.42%-322.16M | -30.51%-305.93M |
Prepaid assets-non current | -0.93%472.55M | -0.93%472.55M | 0.87%498.65M | 1.80%524.1M | -8.19%456.48M | -7.53%476.97M | -7.53%476.97M | -4.02%494.35M | -3.37%514.84M | -2.92%497.23M |
Total investment | 72.45%3.63B | 72.45%3.63B | 87.67%3.49B | 84.05%2.89B | 45.77%2.31B | 39.44%2.11B | 39.44%2.11B | 15.75%1.86B | -18.30%1.57B | -22.05%1.58B |
-Financial asset investment | 72.45%3.63B | 72.45%3.63B | 87.67%3.49B | 84.05%2.89B | 45.77%2.31B | 39.44%2.11B | 39.44%2.11B | 15.75%1.86B | -18.30%1.57B | -22.05%1.58B |
-Including:Available-for-sale securities | 72.45%3.63B | 72.45%3.63B | 87.67%3.49B | 84.05%2.89B | 45.77%2.31B | 39.44%2.11B | 39.44%2.11B | 15.75%1.86B | -18.30%1.57B | -22.05%1.58B |
Goodwill and other intangible assets | 8.43%684.03M | 8.43%684.03M | 13.80%690.9M | 13.37%670.07M | 13.70%649.34M | 12.84%630.84M | 12.84%630.84M | 8.38%607.13M | 9.65%591.04M | 16.66%571.08M |
-Other intangible assets | 8.43%684.03M | 8.43%684.03M | 13.80%690.9M | 13.37%670.07M | 13.70%649.34M | 12.84%630.84M | 12.84%630.84M | 8.38%607.13M | 9.65%591.04M | 16.66%571.08M |
Deferred tax assets-non current | --0 | --0 | 119.44%57.61M | 345.15%116.87M | 513.02%160.94M | 733.98%218.95M | 733.98%218.95M | 21.77%26.25M | --26.25M | 53.20%26.25M |
Restricted or pledged cash-non current | 2.35%979.4M | 2.35%979.4M | 1.92%973.35M | --972.35M | --975.1M | --956.95M | --956.95M | --955.05M | ---- | ---- |
Other non current assets | 13.41%364.16M | 13.41%364.16M | 12.99%351.1M | 13.04%338.12M | 12.30%325.83M | 14.97%321.11M | 14.97%321.11M | 11.30%310.72M | 16.34%299.13M | 16.27%290.15M |
Total non current assets | 29.76%6.74B | 29.76%6.74B | 41.02%6.7B | 74.75%6.14B | 53.68%5.36B | 54.09%5.19B | 54.09%5.19B | 36.25%4.75B | -6.76%3.51B | -8.56%3.49B |
Total assets | 6.73%15.83B | 6.73%15.83B | 8.71%15.59B | 4.33%15.5B | 11.69%14.97B | 12.57%14.83B | 12.57%14.83B | 11.04%14.34B | 15.44%14.85B | 4.88%13.4B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | --768.48M | --768.48M | --768.48M | --768.48M | --768.48M | ---- |
-Current debt and capital lease obligation | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | --768.48M | --768.48M | --768.48M | --768.48M | --768.48M | ---- |
-Including:Current debt | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | 0.00%768.48M | --768.48M | --768.48M | --768.48M | --768.48M | --768.48M | ---- |
Payables | 13.66%457M | 13.66%457M | 59.15%532.19M | 57.04%568.73M | 30.81%285.75M | -9.98%402.07M | -9.98%402.07M | -26.85%334.39M | 37.36%362.16M | -8.25%218.45M |
-accounts payable | -30.94%46.1M | -30.94%46.1M | 99.39%101.55M | -28.65%46.89M | -1.53%40.88M | -11.98%66.76M | -11.98%66.76M | -42.17%50.93M | 17.10%65.72M | -27.12%41.51M |
-Total tax payable | 31.40%286.28M | 31.40%286.28M | 94.77%195.79M | 48.33%266.96M | 6.23%72.73M | -24.28%217.87M | -24.28%217.87M | 2.21%100.52M | 104.03%179.98M | 15.49%68.47M |
-Other payable | 6.12%124.62M | 6.12%124.62M | 28.38%234.85M | 118.87%254.88M | 58.70%172.14M | 41.38%117.44M | 41.38%117.44M | -32.42%182.94M | -2.40%116.46M | -10.98%108.47M |
Pension and other retirement benefit plans | 6.64%26.75M | 6.64%26.75M | --11.67M | 9.02%21.21M | --5.42M | --25.08M | --25.08M | ---- | --19.46M | ---- |
Accrued and deferred income | 6.69%1.1B | 6.69%1.1B | 52.10%1.32B | 42.60%1.34B | 41.99%1.49B | 32.73%1.03B | 32.73%1.03B | 11.93%868.13M | 24.17%938.99M | 31.39%1.05B |
Other current liabilities | 26.70%176.35M | 26.70%176.35M | 7.66%140.58M | 48.98%143.8M | 26.84%154.86M | 4.14%139.18M | 4.14%139.18M | 34.90%130.57M | 11.57%96.52M | 24.43%122.1M |
Current liabilities | 6.88%2.53B | 6.88%2.53B | 31.96%2.77B | 30.00%2.84B | 94.63%2.7B | 74.40%2.36B | 74.40%2.36B | 58.07%2.1B | 97.55%2.19B | 22.47%1.39B |
Non current liabilities | ||||||||||
Non current financial liabilities | -28.67%1.91B | -28.67%1.91B | -26.76%2.1B | -25.08%2.3B | --2.49B | --2.68B | --2.68B | --2.87B | --3.06B | ---- |
-Long term debt and capital lease obligation | -28.67%1.91B | -28.67%1.91B | -26.76%2.1B | -25.08%2.3B | --2.49B | --2.68B | --2.68B | --2.87B | --3.06B | ---- |
-Including:Long term debt | -28.67%1.91B | -28.67%1.91B | -26.76%2.1B | -25.08%2.3B | --2.49B | --2.68B | --2.68B | --2.87B | --3.06B | ---- |
Long term provisions | 19.65%92.98M | 19.65%92.98M | 10.13%85.54M | 10.11%85.48M | -10.21%77.75M | -19.93%77.71M | -19.93%77.71M | -24.23%77.67M | -24.24%77.63M | -15.46%86.59M |
Non current deferred liabilities | --37.73M | --37.73M | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Other non current liabilities | 100.00%4K | 100.00%4K | 0.00%2K | --1K | 0.00%1K | 100.00%2K | 100.00%2K | --2K | ---- | 0.00%1K |
Total non current liabilities | -25.94%2.04B | -25.94%2.04B | -25.78%2.19B | -24.21%2.38B | 2,863.08%2.57B | 2,741.64%2.76B | 2,741.64%2.76B | 2,777.69%2.95B | 2,630.04%3.14B | -15.46%86.59M |
Total liabilities | -10.80%4.57B | -10.80%4.57B | -1.76%4.96B | -1.97%5.22B | 257.13%5.27B | 252.70%5.12B | 252.70%5.12B | 252.75%5.05B | 336.17%5.33B | 19.32%1.48B |
Shareholders'equity | ||||||||||
Share capital | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.34%6.93B |
-common stock | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.00%6.93B | 0.34%6.93B |
Additional paid-in capital | 1.42%5.81B | 1.42%5.81B | 1.21%5.8B | 1.15%5.79B | 0.06%5.73B | -5.76%5.73B | -5.76%5.73B | -5.77%5.73B | -5.77%5.73B | -5.34%5.73B |
Retained earnings | 469.09%920.16M | 469.09%920.16M | 327.95%585.94M | 191.34%376.67M | 102.47%14.85M | 115.36%161.69M | 115.36%161.69M | 81.37%-257.05M | 72.22%-412.39M | 59.31%-601.77M |
Less: Treasury stock | -2.95%2.71B | -2.95%2.71B | -2.50%2.72B | 6.25%2.73B | 1,231,765.04%2.78B | 1,234,916.37%2.79B | 1,234,916.37%2.79B | 1,235,210.62%2.79B | 1,135,055.31%2.57B | 0.00%226K |
Other reserves | 178.27%282.15M | 178.27%282.15M | 99.90%-372K | 31.10%-133.47M | -31.47%-233.18M | -30.29%-360.49M | -30.29%-360.49M | -88.94%-364.47M | -345.99%-193.73M | -1,376.28%-177.37M |
Other equity interest | -36.09%25.4M | -36.09%25.4M | -20.94%32.42M | -16.75%34.39M | -16.06%35.1M | -6.53%39.74M | -6.53%39.74M | -7.31%41.01M | -7.47%41.31M | -4.16%41.81M |
Total stockholders'equity | 15.97%11.26B | 15.97%11.26B | 14.41%10.62B | 7.85%10.28B | -18.67%9.7B | -17.17%9.71B | -17.17%9.71B | -19.12%9.29B | -18.20%9.53B | 3.33%11.92B |
Total equity | 15.97%11.26B | 15.97%11.26B | 14.41%10.62B | 7.85%10.28B | -18.67%9.7B | -17.17%9.71B | -17.17%9.71B | -19.12%9.29B | -18.20%9.53B | 3.33%11.92B |
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 |
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