Kioxia Holdings Corporation (see below note)
285A
dely inc.
299A
Reiwa Accounting Holdings Co.,Ltd.
296A
Synspective Inc.
290A
Reskill Corp.
291A
(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 | 13.72%591.05B | -5.85%476.31B | 8.24%529.4B | 8.24%529.4B | 8.45%536.26B | 9.15%519.76B | 11.36%505.88B | 13.55%489.12B | 13.55%489.12B | 4.40%494.47B |
-Cash and cash equivalents | -2.56%485.89B | -13.73%411.62B | 8.84%513.34B | 8.84%513.34B | 8.66%518.64B | 9.17%498.66B | 12.70%477.14B | 14.84%471.63B | 14.84%471.63B | 6.38%477.29B |
-Short term investments | 398.37%105.16B | 125.08%64.68B | -8.12%16.06B | -8.12%16.06B | 2.56%17.62B | 8.56%21.1B | -7.02%28.74B | -12.92%17.48B | -12.92%17.48B | -31.20%17.18B |
Receivables | 20.81%530.61B | 21.38%469.64B | 11.96%474.09B | 11.96%474.09B | 26.66%499.87B | 12.72%439.21B | 9.59%386.91B | 11.37%423.43B | 11.37%423.43B | 10.09%394.66B |
-Accounts receivable | 20.81%530.61B | 21.38%469.64B | 11.96%474.09B | 11.96%474.09B | 26.66%499.87B | 12.72%439.21B | 9.59%386.91B | 11.37%423.43B | 11.37%423.43B | 10.09%394.66B |
Inventory | 18.28%296.78B | 14.62%273.83B | 11.67%249.58B | 11.67%249.58B | 9.54%251.15B | 15.26%250.92B | 21.68%238.9B | 23.93%223.51B | 23.93%223.51B | 28.16%229.26B |
Tax assets-Current | 60.58%4.79B | 521.93%19.49B | 563.88%19.61B | 563.88%19.61B | -29.71%2.97B | -57.40%2.98B | -65.26%3.13B | -65.42%2.95B | -65.42%2.95B | 71.12%4.22B |
Holding assets for sale | ---- | ---- | --0 | --0 | -32.39%96M | -97.62%96M | -98.29%6M | -93.97%91M | -93.97%91M | -80.71%142M |
Other current assets | 23.61%76.01B | 18.37%65.9B | 2.23%54.12B | 2.23%54.12B | 9.64%63.2B | 6.75%61.49B | 5.32%55.68B | 10.20%52.94B | 10.20%52.94B | 15.73%57.65B |
Total current assets | 17.64%1.5T | 9.63%1.31T | 11.31%1.33T | 11.31%1.33T | 14.67%1.35T | 10.61%1.27T | 11.69%1.19T | 13.59%1.19T | 13.59%1.19T | 10.93%1.18T |
Non current assets | ||||||||||
Net PPE | 11.30%595.01B | 11.64%569.13B | 8.36%553.36B | 8.36%553.36B | 4.70%539.04B | 5.56%534.58B | 3.02%509.79B | 4.84%510.67B | 4.84%510.67B | 6.57%514.86B |
Total investment | 11.81%530.75B | 14.51%507.48B | 13.67%476.45B | 13.67%476.45B | 10.58%478.18B | 13.65%474.67B | 7.80%443.18B | 4.34%419.16B | 4.34%419.16B | 7.36%432.44B |
-Long-term equity investment | 14.83%310.41B | 16.48%295.67B | 15.23%278.56B | 15.23%278.56B | 12.15%279.63B | 8.26%270.32B | 5.09%253.84B | 6.13%241.74B | 6.13%241.74B | 10.89%249.34B |
-Financial asset investment | 7.82%220.34B | 11.87%211.81B | 11.54%197.89B | 11.54%197.89B | 8.44%198.55B | 21.67%204.36B | 11.67%189.34B | 1.99%177.42B | 1.99%177.42B | 2.89%183.1B |
-Including:Available-for-sale securities | 7.82%220.34B | 11.87%211.81B | 11.54%197.89B | 11.54%197.89B | 8.44%198.55B | 21.67%204.36B | 11.67%189.34B | 1.99%177.42B | 1.99%177.42B | 2.89%183.1B |
Goodwill and other intangible assets | -9.50%851.91B | 0.21%917.31B | -4.94%870.02B | -4.94%870.02B | -4.84%942.25B | -2.00%941.32B | 8.29%915.4B | 11.83%915.23B | 11.83%915.23B | 22.81%990.18B |
-Goodwill | 21.75%430.07B | 20.05%405.97B | 13.00%379.05B | 13.00%379.05B | -0.29%363.2B | 1.83%353.25B | 7.73%338.18B | 13.43%335.44B | 13.43%335.44B | 26.01%364.24B |
-Other intangible assets | -28.27%421.84B | -11.41%511.34B | -15.32%490.97B | -15.32%490.97B | -7.49%579.05B | -4.16%588.07B | 8.62%577.22B | 10.93%579.79B | 10.93%579.79B | 21.02%625.94B |
Deferred tax assets-non current | 140.78%166.03B | 123.92%134.12B | 122.59%118.83B | 122.59%118.83B | 80.00%91.77B | 51.14%68.96B | 21.84%59.9B | 67.16%53.38B | 67.16%53.38B | 54.67%50.98B |
Other non current assets | 19.61%17.69B | 24.94%16.6B | 29.90%15.8B | 29.90%15.8B | -30.14%13.18B | -21.86%14.79B | -32.67%13.28B | -62.42%12.16B | -62.42%12.16B | -28.86%18.87B |
Total non current assets | 6.25%2.16T | 10.46%2.14T | 6.48%2.03T | 6.48%2.03T | 2.84%2.06T | 4.37%2.03T | 6.67%1.94T | 7.85%1.91T | 7.85%1.91T | 14.59%2.01T |
Total assets | 10.63%3.66T | 10.14%3.45T | 8.34%3.36T | 8.34%3.36T | 7.22%3.42T | 6.69%3.31T | 8.52%3.13T | 9.99%3.1T | 9.99%3.1T | 13.21%3.19T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 45.20%118.72B | -10.24%73.33B | 85.98%88.27B | 85.98%88.27B | 50.90%81.48B | 48.34%81.77B | 50.49%81.7B | -8.65%47.46B | -8.65%47.46B | 5.95%54B |
-Current debt and capital lease obligation | 95.78%118.58B | 13.77%71.98B | 99.90%88.27B | 99.90%88.27B | 16.96%59.14B | 16.87%60.57B | 21.06%63.27B | -11.64%44.16B | -11.64%44.16B | 3.23%50.57B |
-Including:Current debt | 132.64%98.58B | 15.69%52.68B | 162.58%69.43B | 162.58%69.43B | 24.28%40.83B | 24.41%42.37B | 30.40%45.53B | -19.58%26.44B | -19.58%26.44B | 1.96%32.86B |
-Including:Current capital Lease obligation | 9.95%20.01B | 8.83%19.3B | 6.38%18.85B | 6.38%18.85B | 3.40%18.31B | 2.43%18.2B | 2.25%17.73B | 3.63%17.72B | 3.63%17.72B | 5.67%17.71B |
-Other financial liabilities | -99.33%141M | -92.64%1.36B | ---- | ---- | 551.14%22.33B | 543.31%21.2B | 808.48%18.43B | 66.35%3.31B | 66.35%3.31B | 72.97%3.43B |
Payables | 31.42%276.45B | 29.85%239.53B | 15.27%261.31B | 15.27%261.31B | 12.85%227.62B | 3.62%210.35B | 10.21%184.46B | 25.53%226.7B | 25.53%226.7B | -0.35%201.71B |
-accounts payable | 23.01%214.3B | 17.52%193.43B | 4.04%206.37B | 4.04%206.37B | 9.59%185.63B | -3.32%174.22B | 6.50%164.59B | 16.61%198.36B | 16.61%198.36B | -11.99%169.38B |
-Total tax payable | 72.00%62.15B | 132.05%46.1B | 93.86%54.94B | 93.86%54.94B | 29.89%41.98B | 58.41%36.13B | 54.90%19.87B | 170.16%28.34B | 170.16%28.34B | 224.37%32.32B |
Current provisions | 58.13%1.24B | 38.74%1.06B | 20.45%919M | 20.45%919M | -91.61%788M | -91.68%781M | -91.88%764M | -92.00%763M | -92.00%763M | 189.58%9.39B |
Accrued and deferred income | 2.48%12.87B | 4.02%13.24B | 7.07%14.32B | 7.07%14.32B | 21.52%15.34B | 5.90%12.56B | 3.47%12.73B | 7.37%13.38B | 7.37%13.38B | -0.05%12.63B |
Other current liabilities | 14.19%314.54B | 10.41%304.31B | 20.53%302.41B | 20.53%302.41B | 15.03%306.31B | 10.91%275.46B | 19.42%275.63B | 17.62%250.89B | 17.62%250.89B | 23.64%266.28B |
Current liabilities | 24.60%723.82B | 13.72%631.47B | 23.75%667.23B | 23.75%667.23B | 16.09%631.54B | 9.74%580.92B | 17.11%555.28B | 15.23%539.19B | 15.23%539.19B | 12.24%544B |
Non current liabilities | ||||||||||
Non current financial liabilities | 7.10%149.71B | 3.54%145.98B | -20.96%142.69B | -20.96%142.69B | -22.53%141.92B | -24.40%139.78B | -24.04%140.99B | -3.62%180.52B | -3.62%180.52B | -4.39%183.19B |
-Long term debt and capital lease obligation | 1.79%129.38B | 0.14%127.49B | -16.06%125.92B | -16.06%125.92B | -18.86%125.76B | -19.15%127.11B | -20.23%127.32B | -7.68%150B | -7.68%150B | -9.13%154.99B |
-Including:Long term debt | -5.36%67.9B | -5.52%68.67B | -26.21%69.2B | -26.21%69.2B | -26.37%70.34B | -25.84%71.75B | -27.62%72.68B | -8.74%93.78B | -8.74%93.78B | -12.86%95.53B |
-Including:Long term capital lease obligation | 11.06%61.48B | 7.66%58.82B | 0.86%56.72B | 0.86%56.72B | -6.81%55.41B | -8.44%55.36B | -7.71%54.63B | -5.86%56.23B | -5.86%56.23B | -2.43%59.46B |
-Other financial liabilities-Non current | 60.36%20.32B | 35.28%18.49B | -45.03%16.77B | -45.03%16.77B | -42.69%16.16B | -54.22%12.67B | -47.39%13.67B | 22.97%30.52B | 22.97%30.52B | 34.11%28.2B |
Long term provisions | 5.70%2.43B | 54.53%2.34B | 49.44%2.25B | 49.44%2.25B | 59.72%2.3B | 61.60%2.3B | 9.96%1.51B | 10.97%1.51B | 10.97%1.51B | 3.30%1.44B |
Long term pension and other post-retirement benefit plans | -4.98%15.54B | -3.67%15.1B | 3.41%16.56B | 3.41%16.56B | 1.91%16.45B | 5.98%16.36B | 10.16%15.68B | 13.75%16.01B | 13.75%16.01B | 5.53%16.14B |
Non current deferred liabilities | 5.04%29.09B | 7.11%28.09B | -7.93%27.17B | -7.93%27.17B | -10.98%28.45B | -12.28%27.7B | -11.29%26.22B | 7.08%29.51B | 7.08%29.51B | 19.95%31.96B |
Non current accrued and deferred income | -12.64%40.49B | -11.40%42.67B | -11.56%44.87B | -11.56%44.87B | -9.18%46.58B | -12.23%46.34B | -12.83%48.17B | -12.18%50.74B | -12.18%50.74B | -15.49%51.29B |
Other non current liabilities | 22.00%32.78B | 22.31%28.88B | 5.99%24.16B | 5.99%24.16B | -1.40%24.94B | 11.78%26.87B | 7.74%23.61B | 15.36%22.79B | 15.36%22.79B | 41.59%25.3B |
Total non current liabilities | 4.12%270.03B | 2.69%263.06B | -14.41%257.69B | -14.41%257.69B | -15.74%260.65B | -16.38%259.35B | -16.81%256.18B | -2.19%301.08B | -2.19%301.08B | -1.33%309.32B |
Total liabilities | 18.28%993.86B | 10.24%894.53B | 10.08%924.93B | 10.08%924.93B | 4.55%892.18B | 0.09%840.26B | 3.75%811.45B | 8.32%840.27B | 8.32%840.27B | 6.91%853.32B |
Shareholders'equity | ||||||||||
Share capital | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B |
-common stock | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B | 0.00%81.69B |
Additional paid-in capital | -0.20%505.69B | -0.10%506.22B | -0.07%506.23B | -0.07%506.23B | 0.06%506.78B | 0.07%506.68B | -0.03%506.72B | -0.03%506.58B | -0.03%506.58B | -0.02%506.47B |
Retained earnings | 4.24%1.7T | 5.00%1.67T | 4.39%1.62T | 4.39%1.62T | 7.82%1.66T | 6.74%1.63T | 7.40%1.59T | 4.78%1.55T | 4.78%1.55T | 4.19%1.54T |
Less: Treasury stock | -2.38%43.61B | -0.42%44.67B | -0.42%44.67B | -0.42%44.67B | -0.42%44.67B | -0.42%44.67B | -1.57%44.86B | -1.57%44.86B | -1.57%44.86B | -1.56%44.86B |
Other equity interest | 49.25%380.54B | 100.45%301.64B | 78.00%229.21B | 78.00%229.21B | 30.59%278.46B | 62.98%254.97B | 212.91%150.48B | 1,016.87%128.78B | 1,016.87%128.78B | 678.72%213.23B |
Total stockholders'equity | 8.02%2.62T | 10.09%2.51T | 7.57%2.39T | 7.57%2.39T | 8.10%2.48T | 9.07%2.43T | 10.26%2.28T | 10.65%2.23T | 10.65%2.23T | 15.76%2.3T |
Noncontrolling interests | 8.50%44.94B | 11.47%43.67B | 14.87%42.63B | 14.87%42.63B | 14.00%42.74B | 13.41%41.42B | 12.40%39.17B | 8.54%37.11B | 8.54%37.11B | 12.39%37.49B |
Total equity | 8.03%2.67T | 10.11%2.56T | 7.69%2.44T | 7.69%2.44T | 8.20%2.53T | 9.14%2.47T | 10.30%2.32T | 10.62%2.26T | 10.62%2.26T | 15.70%2.33T |
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 |