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4384 Raksul

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  • 1046
  • -19-1.78%
20min DelayNot Open Mar 28 15:30 JST
61.87BMarket Cap30.30P/E (Static)

Raksul Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jan 31, 2025
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
7.35%13.46B
56.08%15.96B
16.18%17.01B
16.18%17.01B
33.53%18.58B
-14.13%12.54B
-29.27%10.22B
7.03%14.64B
7.03%14.64B
38.78%13.92B
-Cash and cash equivalents
7.35%13.46B
56.08%15.96B
16.18%17.01B
16.18%17.01B
33.53%18.58B
-14.13%12.54B
-29.27%10.22B
7.03%14.64B
7.03%14.64B
38.78%13.92B
Receivables
5.87%5.25B
23.14%6.03B
22.30%5.77B
22.30%5.77B
4.40%5.03B
21.04%4.95B
10.74%4.9B
-3.77%4.72B
-3.77%4.72B
8.33%4.81B
-Accounts receivable
5.87%5.25B
23.14%6.03B
22.30%5.77B
22.30%5.77B
4.40%5.03B
21.04%4.95B
10.74%4.9B
-3.77%4.72B
-3.77%4.72B
8.33%4.81B
-Gross accounts receivable
5.87%5.25B
23.14%6.03B
22.30%5.77B
22.30%5.77B
4.40%5.03B
21.04%4.95B
10.74%4.9B
-3.77%4.72B
-3.77%4.72B
8.33%4.81B
Inventory
23.64%842M
24.66%819M
172.54%804M
172.54%804M
102.90%700M
171.31%681M
218.93%657M
41.15%295M
41.15%295M
42.46%345M
Prepaid assets
-17.69%498M
-25.07%532M
-22.77%424M
-22.77%424M
-3.10%438M
26.30%605M
38.13%710M
-5.83%549M
-5.83%549M
-4.63%452M
Other current assets
105.57%1.66B
103.16%1.09B
153.00%969M
153.00%969M
56.08%693M
118.38%808M
37.95%538M
35.34%383M
35.34%383M
95.57%444M
Total current assets
10.83%21.7B
43.50%24.43B
21.33%24.98B
21.33%24.98B
27.38%25.44B
-1.05%19.58B
-14.81%17.02B
4.73%20.59B
4.73%20.59B
29.56%19.97B
Non current assets
Net PPE
131.21%2.36B
43.94%1.6B
351.70%1.33B
351.70%1.33B
232.34%1.01B
211.59%1.02B
220.75%1.11B
-21.18%294M
-21.18%294M
-24.14%303M
-Gross PP&E
88.43%4.61B
40.70%3.44B
184.98%3.06B
184.98%3.06B
137.89%2.54B
128.91%2.45B
128.72%2.45B
0.19%1.07B
0.19%1.07B
-0.61%1.07B
-Accumulated depreciation
-57.75%-2.25B
-38.09%-1.84B
-122.11%-1.73B
-122.11%-1.73B
-101.18%-1.54B
-92.57%-1.43B
-84.60%-1.33B
-11.62%-778M
-11.62%-778M
-13.00%-764M
Prepaid assets-non current
-62.50%3M
-85.19%4M
-85.71%8M
-85.71%8M
-85.54%12M
-93.10%8M
-80.71%27M
-72.28%56M
-72.28%56M
-68.92%83M
Total investment
2.28%7.95B
1.30%7.9B
23.17%7.98B
23.17%7.98B
173.63%7.82B
166.23%7.77B
170.17%7.8B
213.05%6.48B
213.05%6.48B
31.22%2.86B
-Long-term equity investment
-49.93%339M
-50.51%385M
-68.73%454M
-68.73%454M
-71.15%596M
-69.79%677M
-65.16%778M
1.11%1.45B
1.11%1.45B
12.88%2.07B
-Financial asset investment
7.26%7.61B
7.04%7.51B
49.73%7.52B
49.73%7.52B
813.80%7.22B
945.21%7.1B
974.89%7.02B
693.84%5.03B
693.84%5.03B
128.14%790M
-Including:Available-for-sale securities
7.26%7.61B
7.04%7.51B
49.73%7.52B
49.73%7.52B
813.80%7.22B
945.21%7.1B
974.89%7.02B
693.84%5.03B
693.84%5.03B
128.14%790M
Goodwill and other intangible assets
8.04%7.99B
6.37%8.09B
79.98%8.32B
79.98%8.32B
56.14%7.41B
51.95%7.39B
52.57%7.6B
-11.19%4.63B
-11.19%4.63B
-11.06%4.75B
-Goodwill
6.35%7.23B
6.31%7.45B
83.52%7.73B
83.52%7.73B
57.06%6.81B
52.44%6.8B
52.79%7B
-10.54%4.21B
-10.54%4.21B
-10.27%4.34B
-Other intangible assets
27.36%754M
7.04%639M
43.83%594M
43.83%594M
46.47%602M
46.53%592M
50.00%597M
-17.40%413M
-17.40%413M
-18.68%411M
Deferred tax assets-non current
-25.00%192M
-19.92%213M
11.86%217M
11.86%217M
-60.35%224M
-61.45%256M
-64.91%266M
-79.96%194M
-79.96%194M
163.22%565M
Deferred assets-non current
----
----
----
----
--22M
----
----
----
----
----
Other non current assets
93.66%1.28B
50.38%997M
139.34%1.02B
139.34%1.02B
91.03%703M
294.05%662M
285.47%663M
182.78%427M
182.78%427M
137.18%368M
Total non current assets
15.56%19.78B
7.63%18.8B
56.36%18.88B
56.36%18.88B
92.73%17.2B
88.89%17.11B
88.12%17.47B
34.58%12.07B
34.58%12.07B
4.35%8.92B
Total assets
13.03%41.48B
25.33%43.23B
34.28%43.86B
34.28%43.86B
47.56%42.64B
27.19%36.7B
17.84%34.49B
14.08%32.67B
14.08%32.67B
20.58%28.9B
Liabilities
Current liabilities
Financial liabilities
145.19%6.34B
280.62%9.15B
283.61%9.39B
283.61%9.39B
274.63%9.35B
4.31%2.59B
-3.06%2.4B
-1.92%2.45B
-1.92%2.45B
-3.04%2.5B
-Current debt and capital lease obligation
145.19%6.34B
280.62%9.15B
283.61%9.39B
283.61%9.39B
274.63%9.35B
4.31%2.59B
-3.06%2.4B
-1.92%2.45B
-1.92%2.45B
-3.04%2.5B
-Including:Current debt
145.19%6.34B
280.62%9.15B
283.61%9.39B
283.61%9.39B
274.63%9.35B
4.31%2.59B
-3.06%2.4B
-1.92%2.45B
-1.92%2.45B
-3.04%2.5B
Payables
22.45%6.53B
21.87%6.63B
27.76%6.88B
27.76%6.88B
7.71%5.4B
13.97%5.34B
7.73%5.44B
8.20%5.38B
8.20%5.38B
29.07%5.02B
-accounts payable
-0.95%3.35B
21.33%4.02B
15.94%3.83B
15.94%3.83B
11.97%3.37B
15.89%3.38B
0.49%3.31B
2.01%3.3B
2.01%3.3B
6.02%3.01B
-Total tax payable
65.38%1.24B
55.53%773M
-11.83%924M
-11.83%924M
-47.07%533M
-25.50%751M
-41.25%497M
109.18%1.05B
109.18%1.05B
380.86%1.01B
-Other payable
61.18%1.95B
12.70%1.84B
105.51%2.13B
105.51%2.13B
49.95%1.5B
58.95%1.21B
79.71%1.63B
-16.46%1.04B
-16.46%1.04B
19.19%1B
Current provisions
--65M
--122M
--122M
--122M
--114M
----
----
----
----
----
Pension and other retirement benefit plans
51.63%279M
81.52%167M
36.50%273M
36.50%273M
114.49%148M
19.48%184M
26.03%92M
48.15%200M
48.15%200M
16.18%69M
Accrued and deferred income
65.84%602M
22.89%596M
269.38%591M
269.38%591M
269.44%399M
168.89%363M
239.16%485M
75.82%160M
75.82%160M
-70.03%108M
Other current liabilities
8.06%684M
-1.38%717M
612.62%734M
612.62%734M
443.57%761M
1,050.91%633M
1,764.10%727M
30.38%103M
30.38%103M
121.72%140M
Current liabilities
59.37%14.51B
90.03%17.38B
116.87%17.98B
116.87%17.98B
106.58%16.17B
21.28%9.1B
17.51%9.15B
6.66%8.29B
6.66%8.29B
12.76%7.83B
Non current liabilities
Non current financial liabilities
-16.88%8.79B
-5.85%8.56B
-4.84%9.01B
-4.84%9.01B
-4.93%9.59B
-0.21%10.57B
-16.88%9.09B
-17.27%9.46B
-17.27%9.46B
19.48%10.09B
-Long term debt and capital lease obligation
-16.88%8.79B
-5.85%8.56B
-4.84%9.01B
-4.84%9.01B
-4.93%9.59B
-0.21%10.57B
-16.88%9.09B
-17.27%9.46B
-17.27%9.46B
19.48%10.09B
-Including:Long term debt
-16.88%8.79B
-5.85%8.56B
-4.84%9.01B
-4.84%9.01B
-4.93%9.59B
-0.21%10.57B
-16.88%9.09B
-17.27%9.46B
-17.27%9.46B
19.48%10.09B
Long term provisions
-3.51%110M
-3.51%110M
4.76%110M
4.76%110M
----
8.57%114M
8.57%114M
-0.94%105M
-0.94%105M
-0.82%105M
Non current deferred liabilities
-7.21%1.03B
11.87%1.07B
21.52%1.08B
21.52%1.08B
--1.29B
--1.11B
--952M
--892M
--892M
----
Other non current liabilities
-57.14%3M
0.00%5M
-50.00%2M
-50.00%2M
33.33%4M
133.33%7M
150.00%5M
300.00%4M
300.00%4M
99,900.00%3M
Total non current liabilities
-15.87%9.93B
-4.16%9.74B
-2.51%10.2B
-2.51%10.2B
6.73%10.88B
10.28%11.8B
-7.98%10.16B
-9.37%10.47B
-9.37%10.47B
19.27%10.2B
Total liabilities
16.89%24.44B
40.46%27.11B
50.26%28.19B
50.26%28.19B
50.10%27.06B
14.81%20.91B
2.56%19.3B
-2.92%18.76B
-2.92%18.76B
16.35%18.03B
Shareholders'equity
Share capital
4.15%2.88B
1.74%2.81B
2.04%2.8B
2.04%2.8B
1.72%2.78B
1.54%2.77B
2.34%2.76B
1.78%2.74B
1.78%2.74B
2.36%2.73B
-common stock
4.15%2.88B
1.74%2.81B
2.04%2.8B
2.04%2.8B
1.72%2.78B
1.54%2.77B
2.34%2.76B
1.78%2.74B
1.78%2.74B
2.36%2.73B
Additional paid-in capital
2.12%5.69B
0.90%5.61B
1.03%5.61B
1.03%5.61B
0.88%5.59B
0.76%5.58B
1.15%5.56B
0.87%5.55B
0.87%5.55B
1.16%5.54B
Retained earnings
61.04%5.35B
43.55%3.99B
137.60%3.66B
137.60%3.66B
122.80%3.65B
115.80%3.32B
130.02%2.78B
833.33%1.54B
833.33%1.54B
415.54%1.64B
Less: Treasury stock
393.67%1.48B
233.67%1B
233.67%1B
233.67%1B
233.67%1B
0.00%300M
--300M
--300M
--300M
34,865.03%300M
Other reserves
3.79%3.15B
3.73%3.14B
2.70%3.12B
2.70%3.12B
23,915.38%3.12B
23,215.38%3.03B
21,550.00%3.03B
13,700.00%3.04B
13,700.00%3.04B
319.08%13M
Other equity interest
6.56%1.46B
22.40%1.56B
11.71%1.5B
11.71%1.5B
16.03%1.45B
20.69%1.37B
23.62%1.28B
44.19%1.34B
44.19%1.34B
48.38%1.25B
Total stockholders'equity
8.14%17.05B
6.66%16.12B
12.73%15.68B
12.73%15.68B
43.35%15.58B
48.07%15.77B
44.58%15.11B
49.36%13.91B
49.36%13.91B
28.31%10.87B
Noncontrolling interests
--0
--0
----
----
----
--32M
--80M
----
----
----
Total equity
7.92%17.05B
6.10%16.12B
12.73%15.68B
12.73%15.68B
43.35%15.58B
48.37%15.8B
45.34%15.19B
49.36%13.91B
49.36%13.91B
28.31%10.87B
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)Jan 31, 2025(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 7.35%13.46B56.08%15.96B16.18%17.01B16.18%17.01B33.53%18.58B-14.13%12.54B-29.27%10.22B7.03%14.64B7.03%14.64B38.78%13.92B
-Cash and cash equivalents 7.35%13.46B56.08%15.96B16.18%17.01B16.18%17.01B33.53%18.58B-14.13%12.54B-29.27%10.22B7.03%14.64B7.03%14.64B38.78%13.92B
Receivables 5.87%5.25B23.14%6.03B22.30%5.77B22.30%5.77B4.40%5.03B21.04%4.95B10.74%4.9B-3.77%4.72B-3.77%4.72B8.33%4.81B
-Accounts receivable 5.87%5.25B23.14%6.03B22.30%5.77B22.30%5.77B4.40%5.03B21.04%4.95B10.74%4.9B-3.77%4.72B-3.77%4.72B8.33%4.81B
-Gross accounts receivable 5.87%5.25B23.14%6.03B22.30%5.77B22.30%5.77B4.40%5.03B21.04%4.95B10.74%4.9B-3.77%4.72B-3.77%4.72B8.33%4.81B
Inventory 23.64%842M24.66%819M172.54%804M172.54%804M102.90%700M171.31%681M218.93%657M41.15%295M41.15%295M42.46%345M
Prepaid assets -17.69%498M-25.07%532M-22.77%424M-22.77%424M-3.10%438M26.30%605M38.13%710M-5.83%549M-5.83%549M-4.63%452M
Other current assets 105.57%1.66B103.16%1.09B153.00%969M153.00%969M56.08%693M118.38%808M37.95%538M35.34%383M35.34%383M95.57%444M
Total current assets 10.83%21.7B43.50%24.43B21.33%24.98B21.33%24.98B27.38%25.44B-1.05%19.58B-14.81%17.02B4.73%20.59B4.73%20.59B29.56%19.97B
Non current assets
Net PPE 131.21%2.36B43.94%1.6B351.70%1.33B351.70%1.33B232.34%1.01B211.59%1.02B220.75%1.11B-21.18%294M-21.18%294M-24.14%303M
-Gross PP&E 88.43%4.61B40.70%3.44B184.98%3.06B184.98%3.06B137.89%2.54B128.91%2.45B128.72%2.45B0.19%1.07B0.19%1.07B-0.61%1.07B
-Accumulated depreciation -57.75%-2.25B-38.09%-1.84B-122.11%-1.73B-122.11%-1.73B-101.18%-1.54B-92.57%-1.43B-84.60%-1.33B-11.62%-778M-11.62%-778M-13.00%-764M
Prepaid assets-non current -62.50%3M-85.19%4M-85.71%8M-85.71%8M-85.54%12M-93.10%8M-80.71%27M-72.28%56M-72.28%56M-68.92%83M
Total investment 2.28%7.95B1.30%7.9B23.17%7.98B23.17%7.98B173.63%7.82B166.23%7.77B170.17%7.8B213.05%6.48B213.05%6.48B31.22%2.86B
-Long-term equity investment -49.93%339M-50.51%385M-68.73%454M-68.73%454M-71.15%596M-69.79%677M-65.16%778M1.11%1.45B1.11%1.45B12.88%2.07B
-Financial asset investment 7.26%7.61B7.04%7.51B49.73%7.52B49.73%7.52B813.80%7.22B945.21%7.1B974.89%7.02B693.84%5.03B693.84%5.03B128.14%790M
-Including:Available-for-sale securities 7.26%7.61B7.04%7.51B49.73%7.52B49.73%7.52B813.80%7.22B945.21%7.1B974.89%7.02B693.84%5.03B693.84%5.03B128.14%790M
Goodwill and other intangible assets 8.04%7.99B6.37%8.09B79.98%8.32B79.98%8.32B56.14%7.41B51.95%7.39B52.57%7.6B-11.19%4.63B-11.19%4.63B-11.06%4.75B
-Goodwill 6.35%7.23B6.31%7.45B83.52%7.73B83.52%7.73B57.06%6.81B52.44%6.8B52.79%7B-10.54%4.21B-10.54%4.21B-10.27%4.34B
-Other intangible assets 27.36%754M7.04%639M43.83%594M43.83%594M46.47%602M46.53%592M50.00%597M-17.40%413M-17.40%413M-18.68%411M
Deferred tax assets-non current -25.00%192M-19.92%213M11.86%217M11.86%217M-60.35%224M-61.45%256M-64.91%266M-79.96%194M-79.96%194M163.22%565M
Deferred assets-non current ------------------22M--------------------
Other non current assets 93.66%1.28B50.38%997M139.34%1.02B139.34%1.02B91.03%703M294.05%662M285.47%663M182.78%427M182.78%427M137.18%368M
Total non current assets 15.56%19.78B7.63%18.8B56.36%18.88B56.36%18.88B92.73%17.2B88.89%17.11B88.12%17.47B34.58%12.07B34.58%12.07B4.35%8.92B
Total assets 13.03%41.48B25.33%43.23B34.28%43.86B34.28%43.86B47.56%42.64B27.19%36.7B17.84%34.49B14.08%32.67B14.08%32.67B20.58%28.9B
Liabilities
Current liabilities
Financial liabilities 145.19%6.34B280.62%9.15B283.61%9.39B283.61%9.39B274.63%9.35B4.31%2.59B-3.06%2.4B-1.92%2.45B-1.92%2.45B-3.04%2.5B
-Current debt and capital lease obligation 145.19%6.34B280.62%9.15B283.61%9.39B283.61%9.39B274.63%9.35B4.31%2.59B-3.06%2.4B-1.92%2.45B-1.92%2.45B-3.04%2.5B
-Including:Current debt 145.19%6.34B280.62%9.15B283.61%9.39B283.61%9.39B274.63%9.35B4.31%2.59B-3.06%2.4B-1.92%2.45B-1.92%2.45B-3.04%2.5B
Payables 22.45%6.53B21.87%6.63B27.76%6.88B27.76%6.88B7.71%5.4B13.97%5.34B7.73%5.44B8.20%5.38B8.20%5.38B29.07%5.02B
-accounts payable -0.95%3.35B21.33%4.02B15.94%3.83B15.94%3.83B11.97%3.37B15.89%3.38B0.49%3.31B2.01%3.3B2.01%3.3B6.02%3.01B
-Total tax payable 65.38%1.24B55.53%773M-11.83%924M-11.83%924M-47.07%533M-25.50%751M-41.25%497M109.18%1.05B109.18%1.05B380.86%1.01B
-Other payable 61.18%1.95B12.70%1.84B105.51%2.13B105.51%2.13B49.95%1.5B58.95%1.21B79.71%1.63B-16.46%1.04B-16.46%1.04B19.19%1B
Current provisions --65M--122M--122M--122M--114M--------------------
Pension and other retirement benefit plans 51.63%279M81.52%167M36.50%273M36.50%273M114.49%148M19.48%184M26.03%92M48.15%200M48.15%200M16.18%69M
Accrued and deferred income 65.84%602M22.89%596M269.38%591M269.38%591M269.44%399M168.89%363M239.16%485M75.82%160M75.82%160M-70.03%108M
Other current liabilities 8.06%684M-1.38%717M612.62%734M612.62%734M443.57%761M1,050.91%633M1,764.10%727M30.38%103M30.38%103M121.72%140M
Current liabilities 59.37%14.51B90.03%17.38B116.87%17.98B116.87%17.98B106.58%16.17B21.28%9.1B17.51%9.15B6.66%8.29B6.66%8.29B12.76%7.83B
Non current liabilities
Non current financial liabilities -16.88%8.79B-5.85%8.56B-4.84%9.01B-4.84%9.01B-4.93%9.59B-0.21%10.57B-16.88%9.09B-17.27%9.46B-17.27%9.46B19.48%10.09B
-Long term debt and capital lease obligation -16.88%8.79B-5.85%8.56B-4.84%9.01B-4.84%9.01B-4.93%9.59B-0.21%10.57B-16.88%9.09B-17.27%9.46B-17.27%9.46B19.48%10.09B
-Including:Long term debt -16.88%8.79B-5.85%8.56B-4.84%9.01B-4.84%9.01B-4.93%9.59B-0.21%10.57B-16.88%9.09B-17.27%9.46B-17.27%9.46B19.48%10.09B
Long term provisions -3.51%110M-3.51%110M4.76%110M4.76%110M----8.57%114M8.57%114M-0.94%105M-0.94%105M-0.82%105M
Non current deferred liabilities -7.21%1.03B11.87%1.07B21.52%1.08B21.52%1.08B--1.29B--1.11B--952M--892M--892M----
Other non current liabilities -57.14%3M0.00%5M-50.00%2M-50.00%2M33.33%4M133.33%7M150.00%5M300.00%4M300.00%4M99,900.00%3M
Total non current liabilities -15.87%9.93B-4.16%9.74B-2.51%10.2B-2.51%10.2B6.73%10.88B10.28%11.8B-7.98%10.16B-9.37%10.47B-9.37%10.47B19.27%10.2B
Total liabilities 16.89%24.44B40.46%27.11B50.26%28.19B50.26%28.19B50.10%27.06B14.81%20.91B2.56%19.3B-2.92%18.76B-2.92%18.76B16.35%18.03B
Shareholders'equity
Share capital 4.15%2.88B1.74%2.81B2.04%2.8B2.04%2.8B1.72%2.78B1.54%2.77B2.34%2.76B1.78%2.74B1.78%2.74B2.36%2.73B
-common stock 4.15%2.88B1.74%2.81B2.04%2.8B2.04%2.8B1.72%2.78B1.54%2.77B2.34%2.76B1.78%2.74B1.78%2.74B2.36%2.73B
Additional paid-in capital 2.12%5.69B0.90%5.61B1.03%5.61B1.03%5.61B0.88%5.59B0.76%5.58B1.15%5.56B0.87%5.55B0.87%5.55B1.16%5.54B
Retained earnings 61.04%5.35B43.55%3.99B137.60%3.66B137.60%3.66B122.80%3.65B115.80%3.32B130.02%2.78B833.33%1.54B833.33%1.54B415.54%1.64B
Less: Treasury stock 393.67%1.48B233.67%1B233.67%1B233.67%1B233.67%1B0.00%300M--300M--300M--300M34,865.03%300M
Other reserves 3.79%3.15B3.73%3.14B2.70%3.12B2.70%3.12B23,915.38%3.12B23,215.38%3.03B21,550.00%3.03B13,700.00%3.04B13,700.00%3.04B319.08%13M
Other equity interest 6.56%1.46B22.40%1.56B11.71%1.5B11.71%1.5B16.03%1.45B20.69%1.37B23.62%1.28B44.19%1.34B44.19%1.34B48.38%1.25B
Total stockholders'equity 8.14%17.05B6.66%16.12B12.73%15.68B12.73%15.68B43.35%15.58B48.07%15.77B44.58%15.11B49.36%13.91B49.36%13.91B28.31%10.87B
Noncontrolling interests --0--0--------------32M--80M------------
Total equity 7.92%17.05B6.10%16.12B12.73%15.68B12.73%15.68B43.35%15.58B48.37%15.8B45.34%15.19B49.36%13.91B49.36%13.91B28.31%10.87B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP