(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 | 66.47%1.25B | 80.76%1.49B | 70.59%808.95M | 70.59%808.95M | 112.09%1.21B | 86.38%749.83M | 87.48%822.55M | -29.85%474.19M | -29.85%474.19M | 74.24%571.68M |
-Cash and cash equivalents | 66.47%1.25B | 80.76%1.49B | 70.59%808.95M | 70.59%808.95M | 112.09%1.21B | 86.38%749.83M | 87.48%822.55M | -29.85%474.19M | -29.85%474.19M | 74.24%571.68M |
Receivables | 16.26%849.57M | 13.53%1.15B | 71.15%786.84M | 71.15%786.84M | 42.33%611.82M | 113.18%730.77M | 75.90%1.02B | -7.66%459.72M | -7.66%459.72M | 10.05%429.86M |
-Accounts receivable | 16.26%849.57M | 13.53%1.15B | 71.15%786.84M | 71.15%786.84M | 42.33%611.82M | 113.18%730.77M | 75.90%1.02B | -7.66%459.72M | -7.66%459.72M | 10.05%429.86M |
-Gross accounts receivable | 16.26%849.57M | 13.53%1.15B | 71.15%786.84M | 71.15%786.84M | 42.33%611.82M | 113.18%730.77M | 75.90%1.02B | -7.66%459.72M | -7.66%459.72M | 10.05%429.86M |
Inventory | 12.00%749.69M | 34.77%772.9M | 16.72%744.08M | 16.72%744.08M | 2.94%791.84M | -17.00%669.35M | -17.46%573.51M | 38.65%637.48M | 38.65%637.48M | 46.65%769.24M |
Prepaid assets | 21.29%62.1M | 50.01%62.13M | 38.05%41.84M | 38.05%41.84M | 24.67%44.65M | 83.63%51.2M | 39.93%41.42M | -2.47%30.31M | -2.47%30.31M | 13.70%35.81M |
Tax assets-Current | 8.18%119K | -99.61%160K | -99.52%162K | -99.52%162K | -99.49%170K | -99.50%110K | --40.65M | --33.81M | --33.81M | --33.03M |
Other current assets | -16.31%28.42M | 75.89%25.78M | 68.65%26.46M | 68.65%26.46M | -25.78%31.29M | 31.17%33.96M | -34.99%14.66M | -18.72%15.69M | -18.72%15.69M | 99.58%42.16M |
Total current assets | 31.45%2.94B | 39.55%3.5B | 45.85%2.41B | 45.85%2.41B | 43.07%2.69B | 37.37%2.24B | 42.29%2.51B | -1.95%1.65B | -1.95%1.65B | 45.21%1.88B |
Non current assets | ||||||||||
Net PPE | 7.02%225.47M | 2.47%219.42M | 1.20%219.66M | 1.20%219.66M | -5.80%211.29M | 88.97%210.68M | 86.59%214.14M | 83.73%217.06M | 83.73%217.06M | 81.84%224.3M |
-Gross PP&E | 13.10%334.13M | 9.93%324.44M | 8.88%318.58M | 8.88%318.58M | 2.25%302.52M | 63.25%295.42M | 64.31%295.14M | 63.92%292.58M | 63.92%292.58M | 65.86%295.87M |
-Accumulated depreciation | -28.23%-108.66M | -29.66%-105.02M | -30.98%-98.92M | -30.98%-98.92M | -27.48%-91.23M | -21.98%-84.74M | -24.87%-81M | -25.14%-75.52M | -25.14%-75.52M | -30.03%-71.56M |
Total investment | 802.19%169.94M | 113.49%18.84M | 113.49%18.84M | 113.49%18.84M | -15.53%18.84M | -15.53%18.84M | -60.43%8.82M | -60.43%8.82M | -60.43%8.82M | 0.00%22.3M |
-Financial asset investment | 802.19%169.94M | 113.49%18.84M | 113.49%18.84M | 113.49%18.84M | -15.53%18.84M | -15.53%18.84M | -60.43%8.82M | -60.43%8.82M | -60.43%8.82M | 0.00%22.3M |
-Including:Available-for-sale securities | 802.19%169.94M | 113.49%18.84M | 113.49%18.84M | 113.49%18.84M | -15.53%18.84M | -15.53%18.84M | -60.43%8.82M | -60.43%8.82M | -60.43%8.82M | 0.00%22.3M |
Goodwill and other intangible assets | 334.51%323.34M | 309.66%336.56M | -40.63%53.43M | -40.63%53.43M | -26.58%67.27M | -25.13%74.41M | -22.62%82.16M | -17.37%89.99M | -17.37%89.99M | -12.74%91.62M |
-Goodwill | --282.6M | --290.03M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Other intangible assets | -45.25%40.74M | -43.37%46.52M | -40.63%53.43M | -40.63%53.43M | -26.58%67.27M | -25.13%74.41M | -22.62%82.16M | -17.37%89.99M | -17.37%89.99M | -12.74%91.62M |
Deferred tax assets-non current | 198.00%49.38M | 149.58%49.56M | 110.24%47.58M | 110.24%47.58M | --18.28M | --16.57M | -57.67%19.86M | -52.58%22.63M | -52.58%22.63M | ---- |
Other non current assets | 841.10%18.55M | 435.73%13.03M | -42.47%1.9M | -42.47%1.9M | -4.21%1.94M | 28,057.14%1.97M | 16,113.33%2.43M | 658.85%3.3M | 658.85%3.3M | --2.02M |
Total non current assets | 143.95%786.67M | 94.68%637.4M | -0.12%341.4M | -0.12%341.4M | -6.65%317.61M | 38.29%322.47M | 12.84%327.4M | 14.89%341.8M | 14.89%341.8M | 17.35%340.24M |
Total assets | 45.63%3.72B | 45.91%4.14B | 37.97%2.75B | 37.97%2.75B | 35.46%3.01B | 37.49%2.56B | 38.13%2.84B | 0.58%1.99B | 0.58%1.99B | 40.12%2.22B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 40.79%505.45M | 0.06%707.47M | 19.30%404.93M | 19.30%404.93M | -10.27%511.96M | 71.15%359.01M | 227.43%707.05M | 6.02%339.42M | 6.02%339.42M | 154.33%570.55M |
-Current debt and capital lease obligation | 40.79%505.45M | 0.06%707.47M | 19.30%404.93M | 19.30%404.93M | -10.27%511.96M | 71.15%359.01M | 227.43%707.05M | 6.02%339.42M | 6.02%339.42M | 154.33%570.55M |
-Including:Current debt | 44.01%503.92M | 0.86%703.92M | 21.08%399.92M | 21.08%399.92M | -10.06%504.91M | 74.44%349.92M | 237.56%697.95M | 6.22%330.3M | 6.22%330.3M | 160.97%561.42M |
-Including:Current capital Lease obligation | -83.18%1.53M | -61.04%3.55M | -45.06%5.01M | -45.06%5.01M | -22.92%7.04M | -0.80%9.08M | -0.81%9.1M | -0.81%9.12M | -0.81%9.12M | -0.79%9.14M |
Payables | -10.26%495.83M | 29.86%729.48M | 97.77%458.85M | 97.77%458.85M | 122.58%611.89M | 78.33%552.54M | 34.76%561.76M | -24.65%232.01M | -24.65%232.01M | -34.00%274.9M |
-accounts payable | -19.69%363.75M | 16.43%569.34M | 50.77%342.59M | 50.77%342.59M | 87.67%510.04M | 50.65%452.92M | 19.59%488.98M | -4.36%227.23M | -4.36%227.23M | -25.44%271.78M |
-Total tax payable | 32.59%132.09M | 120.03%160.14M | 2,330.35%116.27M | 2,330.35%116.27M | 3,156.99%101.85M | 982.74%99.62M | 812.42%72.78M | -93.20%4.78M | -93.20%4.78M | -93.98%3.13M |
Pension and other retirement benefit plans | 36.00%50.77M | 59.17%26.99M | 56.27%48.11M | 56.27%48.11M | 10.32%17.97M | 38.49%37.33M | 5.82%16.96M | 0.52%30.78M | 0.52%30.78M | 0.49%16.28M |
Accrued and deferred income | 60.07%359.62M | 50.91%282.15M | 22.68%281.95M | 22.68%281.95M | 44.14%259.91M | 33.29%224.67M | 38.71%186.96M | 76.38%229.83M | 76.38%229.83M | 44.72%180.32M |
Other current liabilities | 67.34%11.24M | 324.01%21.64M | -39.86%4.12M | -39.86%4.12M | 19.76%5.54M | 24.02%6.72M | 12.62%5.1M | 352.01%6.86M | 352.01%6.86M | 32.55%4.63M |
Current liabilities | 20.56%1.42B | 19.62%1.77B | 42.80%1.2B | 42.80%1.2B | 34.45%1.41B | 63.81%1.18B | 86.29%1.48B | 5.43%838.91M | 5.43%838.91M | 32.44%1.05B |
Non current liabilities | ||||||||||
Non current financial liabilities | 216.18%976.71M | 204.92%1.05B | 70.80%475.24M | 70.80%475.24M | 133.11%524.69M | 154.20%308.91M | 139.28%345.36M | 54.12%278.24M | 54.12%278.24M | 11.27%225.08M |
-Long term debt and capital lease obligation | 216.18%976.71M | 204.92%1.05B | 70.80%475.24M | 70.80%475.24M | 133.11%524.69M | 154.20%308.91M | 139.28%345.36M | 54.12%278.24M | 54.12%278.24M | 11.27%225.08M |
-Including:Long term debt | 216.47%974.58M | 207.05%1.05B | 74.06%474.76M | 74.06%474.76M | 141.10%523.97M | 176.24%307.95M | 159.17%342.14M | 64.38%272.75M | 64.38%272.75M | 17.22%217.32M |
-Including:Long term capital lease obligation | 122.42%2.13M | -21.91%2.52M | -91.24%481K | -91.24%481K | -90.71%721K | -90.45%959K | -73.84%3.22M | -62.41%5.49M | -62.41%5.49M | -54.07%7.76M |
Long term provisions | -16.20%16.95M | -15.46%17.3M | -16.72%17.65M | -16.72%17.65M | 15.06%19.97M | 13.36%20.23M | 46.33%20.47M | 48.21%21.19M | 48.21%21.19M | 6.69%17.36M |
Long term pension and other post-retirement benefit plans | --15.96M | --11.27M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Non current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --5.82M |
Non current accrued and deferred income | 230.45%70.95M | 249.41%62.84M | 192.13%36.58M | 192.13%36.58M | 218.05%34.31M | 122.16%21.47M | 127.69%17.98M | 59.67%12.52M | 59.67%12.52M | 34.80%10.79M |
Other non current liabilities | 50.00%3K | 25.00%5K | --2K | --2K | -33.33%2K | -33.33%2K | 33.33%4K | ---- | ---- | 0.00%3K |
Total non current liabilities | 208.20%1.08B | 198.19%1.14B | 69.73%529.47M | 69.73%529.47M | 123.50%578.96M | 130.53%350.61M | 130.91%383.82M | 53.91%311.95M | 53.91%311.95M | 14.05%259.05M |
Total liabilities | 63.53%2.5B | 56.43%2.91B | 50.10%1.73B | 50.10%1.73B | 52.12%1.99B | 75.44%1.53B | 94.02%1.86B | 15.27%1.15B | 15.27%1.15B | 28.34%1.31B |
Shareholders'equity | ||||||||||
Share capital | 0.98%544.74M | 0.88%541.83M | 0.75%540.83M | 0.75%540.83M | 0.84%540.83M | 1.01%539.45M | 0.57%537.08M | 9.51%536.81M | 9.51%536.81M | 82.43%536.34M |
-common stock | 0.98%544.74M | 0.88%541.83M | 0.75%540.83M | 0.75%540.83M | 0.84%540.83M | 1.01%539.45M | 0.57%537.08M | 9.51%536.81M | 9.51%536.81M | 82.43%536.34M |
Additional paid-in capital | 1.26%425.74M | 1.13%422.83M | 0.96%421.83M | 0.96%421.83M | 1.07%421.83M | 1.30%420.45M | 0.73%418.1M | 12.55%417.82M | 12.55%417.82M | 138.47%417.35M |
Retained earnings | 345.97%244.21M | 1,509.00%256.8M | 153.01%58.48M | 153.01%58.48M | 201.65%52.64M | 83.70%54.76M | -88.48%15.96M | -194.03%-110.31M | -194.03%-110.31M | -155.05%-51.78M |
Less: Treasury stock | 86.32%218K | --117K | --117K | --117K | --117K | --117K | ---- | --0 | --0 | ---- |
Other reserves | -44.67%6.71M | 44.95%5.64M | 151.49%1.12M | 151.49%1.12M | -42.21%8.32M | 37.59%12.12M | -41.35%3.89M | -150.40%-2.18M | -150.40%-2.18M | 170.80%14.39M |
Other equity interest | 0.00%160K | 0.00%160K | --160K | --160K | --160K | --160K | --160K | ---- | ---- | ---- |
Total stockholders'equity | 18.94%1.22B | 25.84%1.23B | 21.39%1.02B | 21.39%1.02B | 11.72%1.02B | 3.96%1.03B | -10.88%975.19M | -14.34%842.14M | -14.34%842.14M | 61.21%916.3M |
Total equity | 18.94%1.22B | 25.84%1.23B | 21.39%1.02B | 21.39%1.02B | 11.72%1.02B | 3.96%1.03B | -10.88%975.19M | -14.34%842.14M | -14.34%842.14M | 61.21%916.3M |
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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