JP Stock MarketDetailed Quotes

4587 PeptiDream

Watchlist
  • 2738.0
  • +174.5+6.81%
20min DelayMarket Closed Nov 22 15:30 JST
355.97BMarket Cap117.11P/E (Static)

PeptiDream 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
127.64%25.48B
135.04%27.34B
271.42%19.51B
271.42%19.51B
172.46%13.58B
64.80%11.19B
12.43%11.63B
-55.53%5.25B
-55.53%5.25B
-59.28%4.98B
-Cash and cash equivalents
127.71%25.48B
135.11%27.34B
271.74%19.51B
271.74%19.51B
197.43%13.57B
75.57%11.19B
13.13%11.63B
-55.33%5.25B
-55.33%5.25B
-62.71%4.56B
-Short term investments
0.02%6.25M
0.02%6.25M
0.03%6.25M
0.03%6.25M
-98.51%6.24M
-98.51%6.24M
-90.96%6.24M
-90.96%6.24M
-90.96%6.24M
--420.34M
Receivables
623.52%32.77B
-23.13%4.73B
-70.04%4.97B
-70.04%4.97B
72.02%10.82B
-16.72%4.53B
33.02%6.15B
1,945.28%16.59B
1,945.28%16.59B
240.23%6.29B
-Accounts receivable
623.52%32.77B
-23.13%4.73B
-70.04%4.97B
-70.04%4.97B
72.02%10.82B
-16.72%4.53B
33.02%6.15B
1,945.28%16.59B
1,945.28%16.59B
240.23%6.29B
Inventory
5.47%2.79B
1.55%2.74B
-10.25%2.4B
-10.25%2.4B
16.12%2.77B
18.49%2.65B
29.86%2.7B
189.55%2.68B
189.55%2.68B
185.03%2.39B
Tax assets-Current
-95.56%14.57M
----
----
----
----
-19.15%327.74M
-55.30%109.31M
----
----
--476.62M
Other current assets
61.17%727.38M
-7.12%563.24M
-39.02%335.96M
-39.02%335.96M
-34.42%423.59M
-23.99%451.3M
1.84%606.44M
100.93%550.96M
100.93%550.96M
305.01%645.9M
Total current assets
222.66%61.78B
66.88%35.37B
8.58%27.23B
8.58%27.23B
86.66%27.6B
23.84%19.15B
18.50%21.2B
81.21%25.07B
81.21%25.07B
-3.06%14.78B
Non current assets
Net PPE
-1.60%17.29B
-2.58%17.45B
-4.23%17.36B
-4.23%17.36B
-5.80%17.23B
-0.36%17.57B
15.73%17.91B
181.58%18.13B
181.58%18.13B
186.61%18.29B
Total investment
-78.18%1.51B
-76.49%1.53B
82.19%11.88B
82.19%11.88B
9.22%7.16B
-0.22%6.94B
-6.89%6.51B
-2.41%6.52B
-2.41%6.52B
27.28%6.55B
-Long-term equity investment
--0
-99.20%2.93M
-79.72%81.07M
-79.72%81.07M
-43.84%263.94M
-37.96%305.89M
-32.70%365.47M
-33.71%399.73M
-33.71%399.73M
-60.75%470.02M
-Financial asset investment
-77.18%1.51B
-75.14%1.53B
92.76%11.8B
92.76%11.8B
13.32%6.9B
2.66%6.63B
-4.72%6.15B
0.69%6.12B
0.69%6.12B
53.96%6.08B
-Including:Available-for-sale securities
-77.18%1.51B
-75.14%1.53B
92.76%11.8B
92.76%11.8B
13.32%6.9B
2.66%6.63B
-4.72%6.15B
0.69%6.12B
0.69%6.12B
53.96%6.08B
Goodwill and other intangible assets
-0.25%10.51B
-0.15%10.55B
-0.20%10.58B
-0.20%10.58B
-6.99%10.53B
-9.21%10.54B
-8.14%10.56B
13,943.64%10.6B
13,943.64%10.6B
16,388.23%11.33B
-Goodwill
0.00%8.37B
0.00%8.37B
0.00%8.37B
0.00%8.37B
-7.46%8.37B
-25.66%8.37B
-24.60%8.37B
--8.37B
--8.37B
--9.05B
-Other intangible assets
-1.22%2.14B
-0.74%2.18B
-0.95%2.21B
-0.95%2.21B
-5.13%2.16B
522.12%2.17B
450.30%2.19B
2,856.95%2.23B
2,856.95%2.23B
3,220.12%2.28B
Defined pension benefit
-49.06%34.36M
-47.78%34.66M
-50.88%32.15M
-50.88%32.15M
-65.18%69.54M
-66.32%67.44M
-67.07%66.38M
--65.44M
--65.44M
--199.7M
Deferred tax assets-non current
38.55%4.7B
34.09%4.65B
-31.96%2.34B
-31.96%2.34B
5,629.88%3.46B
--3.4B
--3.47B
--3.44B
--3.44B
-87.03%60.42M
Other non current assets
-0.21%47.74M
-12.28%46M
13.65%46.85M
13.65%46.85M
34.23%52.08M
19.33%47.84M
29.50%52.44M
1,631.29%41.22M
1,631.29%41.22M
259.31%38.8M
Total non current assets
-11.56%34.1B
-11.18%34.27B
8.88%42.24B
8.88%42.24B
5.58%38.51B
5.83%38.56B
12.75%38.58B
193.92%38.79B
193.92%38.79B
188.44%36.47B
Total assets
66.16%95.88B
16.50%69.64B
8.77%69.46B
8.77%69.46B
28.96%66.1B
11.19%57.7B
14.73%59.78B
136.24%63.87B
136.24%63.87B
83.74%51.26B
Liabilities
Current liabilities
Financial liabilities
47.67%3.62B
19.08%2.95B
-6.37%2.84B
-6.37%2.84B
-0.04%2.47B
-1.27%2.45B
1.25%2.48B
--3.04B
--3.04B
--2.47B
-Current debt and capital lease obligation
18.07%2.59B
18.07%2.59B
-3.88%2.59B
-3.88%2.59B
0.24%2.19B
0.24%2.19B
0.27%2.19B
--2.69B
--2.69B
--2.19B
-Including:Current debt
18.07%2.59B
18.07%2.59B
-3.88%2.59B
-3.88%2.59B
0.24%2.19B
0.24%2.19B
0.27%2.19B
--2.69B
--2.69B
--2.19B
-Other financial liabilities
302.35%1.03B
26.78%364.97M
-25.78%255.99M
-25.78%255.99M
-2.29%275.96M
-12.60%254.9M
9.40%287.87M
--344.88M
--344.88M
--282.41M
Payables
355.08%13.28B
51.47%5.66B
-34.31%4.21B
-34.31%4.21B
141.12%7.35B
0.31%2.92B
29.37%3.74B
611.26%6.41B
611.26%6.41B
63.54%3.05B
-accounts payable
19.43%3.49B
-19.31%3.01B
-21.48%3.2B
-21.48%3.2B
114.03%6.51B
1.01%2.92B
29.38%3.74B
360.44%4.08B
360.44%4.08B
2,375.66%3.04B
-Total tax payable
--9.8B
--2.64B
-56.82%1B
-56.82%1B
9,605.84%844.7M
--0
--0
16,041.56%2.33B
16,041.56%2.33B
-98.28%8.7M
Current provisions
-10.37%16.27M
18.50%23.66M
14.23%31.58M
14.23%31.58M
41.52%26.27M
65.57%18.15M
48.31%19.97M
--27.65M
--27.65M
--18.57M
Accrued and deferred income
-37.68%674.86M
-8.86%898.71M
22.88%823.01M
22.88%823.01M
--985.41M
--1.08B
--986.09M
174.42%669.76M
174.42%669.76M
----
Other current liabilities
20.15%658.57M
9.08%567.21M
-20.12%712.84M
-20.12%712.84M
-29.95%643.82M
-43.16%548.1M
-37.22%520M
285.53%892.34M
285.53%892.34M
4,066.68%919.13M
Current liabilities
160.10%18.25B
30.48%10.1B
-21.88%8.62B
-21.88%8.62B
77.72%11.48B
10.23%7.02B
25.30%7.74B
701.60%11.03B
701.60%11.03B
128.89%6.46B
Non current liabilities
Non current financial liabilities
-4.34%18.71B
-3.57%19.4B
-3.52%19.96B
-3.52%19.96B
-11.60%17.05B
-1.69%19.55B
-1.76%20.12B
--20.68B
--20.68B
--19.29B
-Long term debt and capital lease obligation
6.25%18.34B
6.61%18.99B
6.95%19.63B
6.95%19.63B
-11.61%16.71B
-11.27%17.26B
-10.96%17.81B
--18.36B
--18.36B
--18.91B
-Including:Long term debt
6.25%18.34B
6.61%18.99B
6.95%19.63B
6.95%19.63B
-11.61%16.71B
-11.27%17.26B
-10.96%17.81B
--18.36B
--18.36B
--18.91B
-Other financial liabilities-Non current
-83.96%367.92M
-82.23%409.82M
-86.11%323.16M
-86.11%323.16M
-11.33%339.77M
425.52%2.29B
386.32%2.31B
--2.33B
--2.33B
--383.17M
Long term provisions
--59.16M
--57.58M
--56.12M
--56.12M
----
----
----
----
----
----
Long term pension and other post-retirement benefit plans
-15.61%95.05M
-9.39%97.87M
-9.96%97.65M
-9.96%97.65M
-21.67%113.04M
-22.10%112.63M
-23.24%108.02M
--108.45M
--108.45M
-53.91%144.31M
Non current deferred liabilities
--0
--0
--385.84M
--385.84M
----
----
----
--0
--0
--893.02M
Other non current liabilities
100.00%2K
50.00%3K
66.67%5K
66.67%5K
0.00%3K
-66.67%1K
0.00%2K
200.00%3K
200.00%3K
200.00%3K
Total non current liabilities
-4.10%18.86B
-3.32%19.55B
-1.42%20.5B
-1.42%20.5B
-15.56%17.16B
-5.41%19.67B
-4.83%20.22B
6,644.53%20.79B
6,644.53%20.79B
6,391.62%20.33B
Total liabilities
39.08%37.11B
6.04%29.65B
-8.51%29.11B
-8.51%29.11B
6.93%28.64B
-1.74%26.68B
1.95%27.96B
1,789.38%31.82B
1,789.38%31.82B
754.43%26.79B
Shareholders'equity
Share capital
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
-common stock
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
0.00%3.96B
Additional paid-in capital
1.50%4.57B
0.64%4.56B
0.57%4.55B
0.57%4.55B
0.99%4.5B
1.06%4.5B
1.58%4.53B
1.62%4.52B
1.62%4.52B
12.77%4.46B
Retained earnings
126.08%52.27B
41.96%33.5B
16.59%27.8B
16.59%27.8B
75.01%28.33B
50.94%23.12B
51.83%23.6B
45.66%23.85B
45.66%23.85B
-6.44%16.19B
Less: Treasury stock
-0.96%1.08B
78.75%1.09B
78.74%1.09B
78.74%1.09B
78.76%1.09B
78.76%1.09B
-2.08%607.33M
-2.06%607.33M
-2.06%607.33M
-2.86%607.26M
Other equity interest
-278.04%-946.35M
-383.66%-946.35M
1,504.65%5.12B
1,504.65%5.12B
267.60%1.76B
-67.22%531.55M
-75.03%333.62M
-73.14%319.29M
-73.14%319.29M
470.42%479.15M
Total stockholders'equity
89.46%58.77B
25.69%39.98B
25.93%40.35B
25.93%40.35B
53.07%37.46B
25.39%31.02B
28.92%31.81B
26.40%32.04B
26.40%32.04B
-1.17%24.47B
Total equity
89.46%58.77B
25.69%39.98B
25.93%40.35B
25.93%40.35B
53.07%37.46B
25.39%31.02B
28.92%31.81B
26.40%32.04B
26.40%32.04B
-1.17%24.47B
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)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 127.64%25.48B135.04%27.34B271.42%19.51B271.42%19.51B172.46%13.58B64.80%11.19B12.43%11.63B-55.53%5.25B-55.53%5.25B-59.28%4.98B
-Cash and cash equivalents 127.71%25.48B135.11%27.34B271.74%19.51B271.74%19.51B197.43%13.57B75.57%11.19B13.13%11.63B-55.33%5.25B-55.33%5.25B-62.71%4.56B
-Short term investments 0.02%6.25M0.02%6.25M0.03%6.25M0.03%6.25M-98.51%6.24M-98.51%6.24M-90.96%6.24M-90.96%6.24M-90.96%6.24M--420.34M
Receivables 623.52%32.77B-23.13%4.73B-70.04%4.97B-70.04%4.97B72.02%10.82B-16.72%4.53B33.02%6.15B1,945.28%16.59B1,945.28%16.59B240.23%6.29B
-Accounts receivable 623.52%32.77B-23.13%4.73B-70.04%4.97B-70.04%4.97B72.02%10.82B-16.72%4.53B33.02%6.15B1,945.28%16.59B1,945.28%16.59B240.23%6.29B
Inventory 5.47%2.79B1.55%2.74B-10.25%2.4B-10.25%2.4B16.12%2.77B18.49%2.65B29.86%2.7B189.55%2.68B189.55%2.68B185.03%2.39B
Tax assets-Current -95.56%14.57M-----------------19.15%327.74M-55.30%109.31M----------476.62M
Other current assets 61.17%727.38M-7.12%563.24M-39.02%335.96M-39.02%335.96M-34.42%423.59M-23.99%451.3M1.84%606.44M100.93%550.96M100.93%550.96M305.01%645.9M
Total current assets 222.66%61.78B66.88%35.37B8.58%27.23B8.58%27.23B86.66%27.6B23.84%19.15B18.50%21.2B81.21%25.07B81.21%25.07B-3.06%14.78B
Non current assets
Net PPE -1.60%17.29B-2.58%17.45B-4.23%17.36B-4.23%17.36B-5.80%17.23B-0.36%17.57B15.73%17.91B181.58%18.13B181.58%18.13B186.61%18.29B
Total investment -78.18%1.51B-76.49%1.53B82.19%11.88B82.19%11.88B9.22%7.16B-0.22%6.94B-6.89%6.51B-2.41%6.52B-2.41%6.52B27.28%6.55B
-Long-term equity investment --0-99.20%2.93M-79.72%81.07M-79.72%81.07M-43.84%263.94M-37.96%305.89M-32.70%365.47M-33.71%399.73M-33.71%399.73M-60.75%470.02M
-Financial asset investment -77.18%1.51B-75.14%1.53B92.76%11.8B92.76%11.8B13.32%6.9B2.66%6.63B-4.72%6.15B0.69%6.12B0.69%6.12B53.96%6.08B
-Including:Available-for-sale securities -77.18%1.51B-75.14%1.53B92.76%11.8B92.76%11.8B13.32%6.9B2.66%6.63B-4.72%6.15B0.69%6.12B0.69%6.12B53.96%6.08B
Goodwill and other intangible assets -0.25%10.51B-0.15%10.55B-0.20%10.58B-0.20%10.58B-6.99%10.53B-9.21%10.54B-8.14%10.56B13,943.64%10.6B13,943.64%10.6B16,388.23%11.33B
-Goodwill 0.00%8.37B0.00%8.37B0.00%8.37B0.00%8.37B-7.46%8.37B-25.66%8.37B-24.60%8.37B--8.37B--8.37B--9.05B
-Other intangible assets -1.22%2.14B-0.74%2.18B-0.95%2.21B-0.95%2.21B-5.13%2.16B522.12%2.17B450.30%2.19B2,856.95%2.23B2,856.95%2.23B3,220.12%2.28B
Defined pension benefit -49.06%34.36M-47.78%34.66M-50.88%32.15M-50.88%32.15M-65.18%69.54M-66.32%67.44M-67.07%66.38M--65.44M--65.44M--199.7M
Deferred tax assets-non current 38.55%4.7B34.09%4.65B-31.96%2.34B-31.96%2.34B5,629.88%3.46B--3.4B--3.47B--3.44B--3.44B-87.03%60.42M
Other non current assets -0.21%47.74M-12.28%46M13.65%46.85M13.65%46.85M34.23%52.08M19.33%47.84M29.50%52.44M1,631.29%41.22M1,631.29%41.22M259.31%38.8M
Total non current assets -11.56%34.1B-11.18%34.27B8.88%42.24B8.88%42.24B5.58%38.51B5.83%38.56B12.75%38.58B193.92%38.79B193.92%38.79B188.44%36.47B
Total assets 66.16%95.88B16.50%69.64B8.77%69.46B8.77%69.46B28.96%66.1B11.19%57.7B14.73%59.78B136.24%63.87B136.24%63.87B83.74%51.26B
Liabilities
Current liabilities
Financial liabilities 47.67%3.62B19.08%2.95B-6.37%2.84B-6.37%2.84B-0.04%2.47B-1.27%2.45B1.25%2.48B--3.04B--3.04B--2.47B
-Current debt and capital lease obligation 18.07%2.59B18.07%2.59B-3.88%2.59B-3.88%2.59B0.24%2.19B0.24%2.19B0.27%2.19B--2.69B--2.69B--2.19B
-Including:Current debt 18.07%2.59B18.07%2.59B-3.88%2.59B-3.88%2.59B0.24%2.19B0.24%2.19B0.27%2.19B--2.69B--2.69B--2.19B
-Other financial liabilities 302.35%1.03B26.78%364.97M-25.78%255.99M-25.78%255.99M-2.29%275.96M-12.60%254.9M9.40%287.87M--344.88M--344.88M--282.41M
Payables 355.08%13.28B51.47%5.66B-34.31%4.21B-34.31%4.21B141.12%7.35B0.31%2.92B29.37%3.74B611.26%6.41B611.26%6.41B63.54%3.05B
-accounts payable 19.43%3.49B-19.31%3.01B-21.48%3.2B-21.48%3.2B114.03%6.51B1.01%2.92B29.38%3.74B360.44%4.08B360.44%4.08B2,375.66%3.04B
-Total tax payable --9.8B--2.64B-56.82%1B-56.82%1B9,605.84%844.7M--0--016,041.56%2.33B16,041.56%2.33B-98.28%8.7M
Current provisions -10.37%16.27M18.50%23.66M14.23%31.58M14.23%31.58M41.52%26.27M65.57%18.15M48.31%19.97M--27.65M--27.65M--18.57M
Accrued and deferred income -37.68%674.86M-8.86%898.71M22.88%823.01M22.88%823.01M--985.41M--1.08B--986.09M174.42%669.76M174.42%669.76M----
Other current liabilities 20.15%658.57M9.08%567.21M-20.12%712.84M-20.12%712.84M-29.95%643.82M-43.16%548.1M-37.22%520M285.53%892.34M285.53%892.34M4,066.68%919.13M
Current liabilities 160.10%18.25B30.48%10.1B-21.88%8.62B-21.88%8.62B77.72%11.48B10.23%7.02B25.30%7.74B701.60%11.03B701.60%11.03B128.89%6.46B
Non current liabilities
Non current financial liabilities -4.34%18.71B-3.57%19.4B-3.52%19.96B-3.52%19.96B-11.60%17.05B-1.69%19.55B-1.76%20.12B--20.68B--20.68B--19.29B
-Long term debt and capital lease obligation 6.25%18.34B6.61%18.99B6.95%19.63B6.95%19.63B-11.61%16.71B-11.27%17.26B-10.96%17.81B--18.36B--18.36B--18.91B
-Including:Long term debt 6.25%18.34B6.61%18.99B6.95%19.63B6.95%19.63B-11.61%16.71B-11.27%17.26B-10.96%17.81B--18.36B--18.36B--18.91B
-Other financial liabilities-Non current -83.96%367.92M-82.23%409.82M-86.11%323.16M-86.11%323.16M-11.33%339.77M425.52%2.29B386.32%2.31B--2.33B--2.33B--383.17M
Long term provisions --59.16M--57.58M--56.12M--56.12M------------------------
Long term pension and other post-retirement benefit plans -15.61%95.05M-9.39%97.87M-9.96%97.65M-9.96%97.65M-21.67%113.04M-22.10%112.63M-23.24%108.02M--108.45M--108.45M-53.91%144.31M
Non current deferred liabilities --0--0--385.84M--385.84M--------------0--0--893.02M
Other non current liabilities 100.00%2K50.00%3K66.67%5K66.67%5K0.00%3K-66.67%1K0.00%2K200.00%3K200.00%3K200.00%3K
Total non current liabilities -4.10%18.86B-3.32%19.55B-1.42%20.5B-1.42%20.5B-15.56%17.16B-5.41%19.67B-4.83%20.22B6,644.53%20.79B6,644.53%20.79B6,391.62%20.33B
Total liabilities 39.08%37.11B6.04%29.65B-8.51%29.11B-8.51%29.11B6.93%28.64B-1.74%26.68B1.95%27.96B1,789.38%31.82B1,789.38%31.82B754.43%26.79B
Shareholders'equity
Share capital 0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B
-common stock 0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B0.00%3.96B
Additional paid-in capital 1.50%4.57B0.64%4.56B0.57%4.55B0.57%4.55B0.99%4.5B1.06%4.5B1.58%4.53B1.62%4.52B1.62%4.52B12.77%4.46B
Retained earnings 126.08%52.27B41.96%33.5B16.59%27.8B16.59%27.8B75.01%28.33B50.94%23.12B51.83%23.6B45.66%23.85B45.66%23.85B-6.44%16.19B
Less: Treasury stock -0.96%1.08B78.75%1.09B78.74%1.09B78.74%1.09B78.76%1.09B78.76%1.09B-2.08%607.33M-2.06%607.33M-2.06%607.33M-2.86%607.26M
Other equity interest -278.04%-946.35M-383.66%-946.35M1,504.65%5.12B1,504.65%5.12B267.60%1.76B-67.22%531.55M-75.03%333.62M-73.14%319.29M-73.14%319.29M470.42%479.15M
Total stockholders'equity 89.46%58.77B25.69%39.98B25.93%40.35B25.93%40.35B53.07%37.46B25.39%31.02B28.92%31.81B26.40%32.04B26.40%32.04B-1.17%24.47B
Total equity 89.46%58.77B25.69%39.98B25.93%40.35B25.93%40.35B53.07%37.46B25.39%31.02B28.92%31.81B26.40%32.04B26.40%32.04B-1.17%24.47B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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