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4957 Yasuhara Chemical

Watchlist
  • 824
  • 00.00%
20min DelayMarket to Open Dec 2 15:30 JST
8.93BMarket Cap13.40P/E (Static)

Yasuhara Chemical Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
2.32%5.51B
-17.30%5.32B
-17.30%5.32B
-27.56%5.3B
80.29%5.38B
57.99%6.25B
43.68%6.43B
43.68%6.43B
67.42%7.31B
-34.67%2.98B
-Cash and cash equivalents
2.32%5.51B
-17.30%5.32B
-17.30%5.32B
-27.56%5.3B
80.29%5.38B
57.99%6.25B
43.68%6.43B
43.68%6.43B
67.42%7.31B
-34.67%2.98B
Receivables
-0.48%2.51B
20.47%2.75B
20.47%2.75B
16.64%2.8B
27.49%2.52B
10.48%2.38B
2.88%2.29B
2.88%2.29B
-0.99%2.4B
-4.81%1.98B
-Accounts receivable
-0.48%2.51B
20.47%2.75B
20.47%2.75B
16.64%2.8B
27.49%2.52B
10.48%2.38B
2.88%2.29B
2.88%2.29B
-0.99%2.4B
-4.81%1.98B
-Gross accounts receivable
-0.48%2.51B
20.47%2.75B
20.47%2.75B
16.64%2.8B
27.49%2.52B
10.48%2.38B
2.88%2.29B
2.88%2.29B
-0.99%2.4B
-4.81%1.98B
Inventory
-8.94%11.05B
0.83%11.38B
0.83%11.38B
-0.86%11.58B
7.45%12.13B
7.24%11.81B
7.19%11.29B
7.19%11.29B
9.86%11.68B
3.78%11.29B
Prepaid assets
----
21.32%239M
21.32%239M
----
----
----
-20.24%197M
-20.24%197M
----
----
Tax assets-Current
----
--0
--0
--0
--0
--13M
--13M
--13M
----
----
Other current assets
9.93%310M
-55.43%115M
-55.43%115M
-15.64%259M
-48.26%282M
29.26%349M
892.31%258M
892.31%258M
211.27%307M
462.09%545M
Total current assets
-4.65%19.37B
-3.24%19.8B
-3.24%19.8B
-8.13%19.93B
20.94%20.32B
19.59%20.81B
16.97%20.47B
16.97%20.47B
23.85%21.69B
-4.68%16.8B
Non current assets
Net PPE
-13.09%4.91B
-12.76%4.87B
-12.76%4.87B
8.36%5.57B
10.95%5.65B
10.57%5.51B
12.89%5.58B
12.89%5.58B
5.40%5.14B
1.68%5.09B
-Gross PP&E
-13.08%4.91B
-2.93%19.75B
-2.93%19.75B
8.34%5.57B
10.93%5.64B
10.58%5.51B
1.85%20.34B
1.85%20.34B
5.38%5.14B
1.66%5.09B
-Accumulated depreciation
----
-0.78%-14.88B
-0.78%-14.88B
----
----
----
1.78%-14.76B
1.78%-14.76B
----
----
Prepaid assets-non current
----
33.33%8M
33.33%8M
----
----
----
-14.29%6M
-14.29%6M
----
----
Total investment
-12.17%1.39B
-7.62%1.44B
-7.62%1.44B
-11.56%1.33B
3.86%1.59B
9.91%1.66B
3.72%1.56B
3.72%1.56B
-2.62%1.51B
13.84%1.53B
-Financial asset investment
-12.17%1.39B
-7.62%1.44B
-7.62%1.44B
-11.56%1.33B
3.86%1.59B
9.91%1.66B
3.72%1.56B
3.72%1.56B
-2.62%1.51B
13.84%1.53B
-Including:Available-for-sale securities
-12.17%1.39B
-7.62%1.44B
-7.62%1.44B
-11.56%1.33B
3.86%1.59B
9.91%1.66B
3.72%1.56B
3.72%1.56B
-2.62%1.51B
13.84%1.53B
Goodwill and other intangible assets
423.81%330M
428.33%317M
428.33%317M
1.82%56M
5.00%63M
-1.75%56M
-7.69%60M
-7.69%60M
-23.76%55M
-25.44%60M
-Other intangible assets
----
428.33%317M
428.33%317M
----
----
----
-7.69%60M
-7.69%60M
----
----
Deferred tax assets-non current
103.91%261M
46.37%262M
46.37%262M
-26.00%111M
-36.00%128M
-6.94%134M
-8.21%179M
-8.21%179M
47.23%150M
41.70%200M
Other non current assets
3.56%552M
-36.17%517M
-36.17%517M
-34.90%526M
-34.03%533M
-35.71%515M
5.88%810M
5.88%810M
4.52%808M
4.45%808M
Total non current assets
-6.45%7.44B
-9.54%7.42B
-9.54%7.42B
-0.84%7.6B
3.54%7.96B
5.07%7.88B
9.57%8.2B
9.57%8.2B
3.92%7.66B
4.66%7.68B
Total assets
-5.15%26.82B
-5.03%27.22B
-5.03%27.22B
-6.23%27.53B
15.48%28.28B
15.21%28.69B
14.75%28.67B
14.75%28.67B
17.96%29.36B
-1.92%24.49B
Liabilities
Current liabilities
Financial liabilities
-26.60%1.7B
-23.36%1.92B
-23.36%1.92B
-18.93%2.12B
42.96%2.32B
44.45%2.5B
35.72%2.5B
35.72%2.5B
41.85%2.61B
-11.96%1.62B
-Current debt and capital lease obligation
-26.60%1.7B
-23.36%1.92B
-23.36%1.92B
-18.93%2.12B
42.96%2.32B
44.45%2.5B
35.72%2.5B
35.72%2.5B
41.85%2.61B
-11.96%1.62B
-Including:Current debt
-26.60%1.7B
-23.36%1.92B
-23.36%1.92B
-18.93%2.12B
42.96%2.32B
44.45%2.5B
35.87%2.5B
35.87%2.5B
41.85%2.61B
-11.96%1.62B
Payables
16.28%743M
23.70%1.35B
23.70%1.35B
-24.11%340M
-17.97%639M
-27.13%548M
-24.41%1.09B
-24.41%1.09B
-36.12%448M
19.69%779M
-accounts payable
-3.28%531M
-1.35%439M
-1.35%439M
-26.23%315M
0.18%549M
-16.95%539M
-22.47%445M
-22.47%445M
-28.80%427M
7.51%548M
-Total tax payable
135.56%212M
297.50%159M
297.50%159M
19.05%25M
-61.04%90M
-91.26%9M
-87.88%40M
-87.88%40M
-79.34%21M
63.67%231M
-Other payable
----
24.01%754M
24.01%754M
----
----
----
12.18%608M
12.18%608M
----
----
Pension and other retirement benefit plans
0.60%169M
-13.77%144M
-13.77%144M
0.00%44M
-5.08%168M
5.00%42M
3.73%167M
3.73%167M
22.66%44M
24.53%177M
Accrued and deferred income
166.67%8M
66.67%5M
66.67%5M
--7M
50.00%3M
-76.92%3M
200.00%3M
200.00%3M
--0
-59.99%2M
Other current liabilities
-8.98%679M
200.00%99M
200.00%99M
27.38%735M
72.69%746M
32.11%1.19B
-78.85%33M
-78.85%33M
-12.10%577M
-26.81%432M
Current liabilities
-14.80%3.3B
-7.38%3.52B
-7.38%3.52B
-11.88%3.24B
28.64%3.87B
24.62%4.28B
5.27%3.8B
5.27%3.8B
13.53%3.68B
-6.76%3.01B
Non current liabilities
Non current financial liabilities
-31.44%2.4B
-30.60%2.95B
-30.60%2.95B
-32.00%3.22B
484.14%3.5B
372.34%3.77B
325.33%4.25B
325.33%4.25B
257.38%4.74B
-63.02%599M
-Long term debt and capital lease obligation
-31.44%2.4B
-30.60%2.95B
-30.60%2.95B
-32.00%3.22B
484.14%3.5B
372.34%3.77B
325.33%4.25B
325.33%4.25B
257.38%4.74B
-63.02%599M
-Including:Long term debt
-31.44%2.4B
-30.60%2.95B
-30.60%2.95B
-32.00%3.22B
484.14%3.5B
372.34%3.77B
325.33%4.25B
325.33%4.25B
257.38%4.74B
-63.02%599M
Long term pension and other post-retirement benefit plans
1.06%859M
-19.59%854M
-19.59%854M
-19.64%847M
-18.97%850M
-19.58%834M
3.61%1.06B
3.61%1.06B
2.76%1.05B
2.73%1.05B
Other non current liabilities
0.00%8M
-10.00%9M
-10.00%9M
-11.11%8M
-27.27%8M
-18.18%9M
-9.09%10M
-9.09%10M
22.80%9M
46.06%11M
Total non current liabilities
-25.04%3.27B
-28.36%3.81B
-28.36%3.81B
-29.72%4.08B
162.63%4.36B
149.97%4.62B
161.47%5.32B
161.47%5.32B
145.98%5.8B
-37.36%1.66B
Total liabilities
-20.22%6.57B
-19.62%7.33B
-19.62%7.33B
-22.80%7.32B
76.25%8.23B
68.48%8.89B
61.62%9.12B
61.62%9.12B
69.33%9.48B
-20.55%4.67B
Shareholders'equity
Share capital
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
-0.03%1.79B
-0.03%1.79B
-common stock
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
0.00%1.79B
-0.03%1.79B
-0.03%1.79B
Additional paid-in capital
0.00%1.73B
0.00%1.73B
0.00%1.73B
0.00%1.73B
0.00%1.73B
0.00%1.73B
0.00%1.73B
0.00%1.73B
-0.00%1.73B
-0.00%1.73B
Retained earnings
3.26%17.6B
-11.90%674M
-11.90%674M
4.05%17.29B
2.99%17.04B
2.72%16.81B
-9.89%765M
-9.89%765M
4.29%16.62B
5.21%16.55B
Less: Treasury stock
39.19%1.07B
25.91%967M
25.91%967M
95.92%768M
95.92%768M
95.92%768M
95.92%768M
95.92%768M
-0.01%392M
0.00%392M
Other reserves
-18.43%208M
3.97%16.67B
3.97%16.67B
27.91%165M
77.08%255M
77.61%238M
4.35%16.04B
4.35%16.04B
-43.14%129M
-38.55%144M
Total stockholders'equity
1.03%20.25B
1.77%19.9B
1.77%19.9B
1.68%20.21B
1.16%20.05B
0.88%19.8B
1.08%19.55B
1.08%19.55B
3.04%19.87B
3.81%19.82B
Total equity
1.03%20.25B
1.77%19.9B
1.77%19.9B
1.68%20.21B
1.16%20.05B
0.88%19.8B
1.08%19.55B
1.08%19.55B
3.04%19.87B
3.81%19.82B
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)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 2.32%5.51B-17.30%5.32B-17.30%5.32B-27.56%5.3B80.29%5.38B57.99%6.25B43.68%6.43B43.68%6.43B67.42%7.31B-34.67%2.98B
-Cash and cash equivalents 2.32%5.51B-17.30%5.32B-17.30%5.32B-27.56%5.3B80.29%5.38B57.99%6.25B43.68%6.43B43.68%6.43B67.42%7.31B-34.67%2.98B
Receivables -0.48%2.51B20.47%2.75B20.47%2.75B16.64%2.8B27.49%2.52B10.48%2.38B2.88%2.29B2.88%2.29B-0.99%2.4B-4.81%1.98B
-Accounts receivable -0.48%2.51B20.47%2.75B20.47%2.75B16.64%2.8B27.49%2.52B10.48%2.38B2.88%2.29B2.88%2.29B-0.99%2.4B-4.81%1.98B
-Gross accounts receivable -0.48%2.51B20.47%2.75B20.47%2.75B16.64%2.8B27.49%2.52B10.48%2.38B2.88%2.29B2.88%2.29B-0.99%2.4B-4.81%1.98B
Inventory -8.94%11.05B0.83%11.38B0.83%11.38B-0.86%11.58B7.45%12.13B7.24%11.81B7.19%11.29B7.19%11.29B9.86%11.68B3.78%11.29B
Prepaid assets ----21.32%239M21.32%239M-------------20.24%197M-20.24%197M--------
Tax assets-Current ------0--0--0--0--13M--13M--13M--------
Other current assets 9.93%310M-55.43%115M-55.43%115M-15.64%259M-48.26%282M29.26%349M892.31%258M892.31%258M211.27%307M462.09%545M
Total current assets -4.65%19.37B-3.24%19.8B-3.24%19.8B-8.13%19.93B20.94%20.32B19.59%20.81B16.97%20.47B16.97%20.47B23.85%21.69B-4.68%16.8B
Non current assets
Net PPE -13.09%4.91B-12.76%4.87B-12.76%4.87B8.36%5.57B10.95%5.65B10.57%5.51B12.89%5.58B12.89%5.58B5.40%5.14B1.68%5.09B
-Gross PP&E -13.08%4.91B-2.93%19.75B-2.93%19.75B8.34%5.57B10.93%5.64B10.58%5.51B1.85%20.34B1.85%20.34B5.38%5.14B1.66%5.09B
-Accumulated depreciation -----0.78%-14.88B-0.78%-14.88B------------1.78%-14.76B1.78%-14.76B--------
Prepaid assets-non current ----33.33%8M33.33%8M-------------14.29%6M-14.29%6M--------
Total investment -12.17%1.39B-7.62%1.44B-7.62%1.44B-11.56%1.33B3.86%1.59B9.91%1.66B3.72%1.56B3.72%1.56B-2.62%1.51B13.84%1.53B
-Financial asset investment -12.17%1.39B-7.62%1.44B-7.62%1.44B-11.56%1.33B3.86%1.59B9.91%1.66B3.72%1.56B3.72%1.56B-2.62%1.51B13.84%1.53B
-Including:Available-for-sale securities -12.17%1.39B-7.62%1.44B-7.62%1.44B-11.56%1.33B3.86%1.59B9.91%1.66B3.72%1.56B3.72%1.56B-2.62%1.51B13.84%1.53B
Goodwill and other intangible assets 423.81%330M428.33%317M428.33%317M1.82%56M5.00%63M-1.75%56M-7.69%60M-7.69%60M-23.76%55M-25.44%60M
-Other intangible assets ----428.33%317M428.33%317M-------------7.69%60M-7.69%60M--------
Deferred tax assets-non current 103.91%261M46.37%262M46.37%262M-26.00%111M-36.00%128M-6.94%134M-8.21%179M-8.21%179M47.23%150M41.70%200M
Other non current assets 3.56%552M-36.17%517M-36.17%517M-34.90%526M-34.03%533M-35.71%515M5.88%810M5.88%810M4.52%808M4.45%808M
Total non current assets -6.45%7.44B-9.54%7.42B-9.54%7.42B-0.84%7.6B3.54%7.96B5.07%7.88B9.57%8.2B9.57%8.2B3.92%7.66B4.66%7.68B
Total assets -5.15%26.82B-5.03%27.22B-5.03%27.22B-6.23%27.53B15.48%28.28B15.21%28.69B14.75%28.67B14.75%28.67B17.96%29.36B-1.92%24.49B
Liabilities
Current liabilities
Financial liabilities -26.60%1.7B-23.36%1.92B-23.36%1.92B-18.93%2.12B42.96%2.32B44.45%2.5B35.72%2.5B35.72%2.5B41.85%2.61B-11.96%1.62B
-Current debt and capital lease obligation -26.60%1.7B-23.36%1.92B-23.36%1.92B-18.93%2.12B42.96%2.32B44.45%2.5B35.72%2.5B35.72%2.5B41.85%2.61B-11.96%1.62B
-Including:Current debt -26.60%1.7B-23.36%1.92B-23.36%1.92B-18.93%2.12B42.96%2.32B44.45%2.5B35.87%2.5B35.87%2.5B41.85%2.61B-11.96%1.62B
Payables 16.28%743M23.70%1.35B23.70%1.35B-24.11%340M-17.97%639M-27.13%548M-24.41%1.09B-24.41%1.09B-36.12%448M19.69%779M
-accounts payable -3.28%531M-1.35%439M-1.35%439M-26.23%315M0.18%549M-16.95%539M-22.47%445M-22.47%445M-28.80%427M7.51%548M
-Total tax payable 135.56%212M297.50%159M297.50%159M19.05%25M-61.04%90M-91.26%9M-87.88%40M-87.88%40M-79.34%21M63.67%231M
-Other payable ----24.01%754M24.01%754M------------12.18%608M12.18%608M--------
Pension and other retirement benefit plans 0.60%169M-13.77%144M-13.77%144M0.00%44M-5.08%168M5.00%42M3.73%167M3.73%167M22.66%44M24.53%177M
Accrued and deferred income 166.67%8M66.67%5M66.67%5M--7M50.00%3M-76.92%3M200.00%3M200.00%3M--0-59.99%2M
Other current liabilities -8.98%679M200.00%99M200.00%99M27.38%735M72.69%746M32.11%1.19B-78.85%33M-78.85%33M-12.10%577M-26.81%432M
Current liabilities -14.80%3.3B-7.38%3.52B-7.38%3.52B-11.88%3.24B28.64%3.87B24.62%4.28B5.27%3.8B5.27%3.8B13.53%3.68B-6.76%3.01B
Non current liabilities
Non current financial liabilities -31.44%2.4B-30.60%2.95B-30.60%2.95B-32.00%3.22B484.14%3.5B372.34%3.77B325.33%4.25B325.33%4.25B257.38%4.74B-63.02%599M
-Long term debt and capital lease obligation -31.44%2.4B-30.60%2.95B-30.60%2.95B-32.00%3.22B484.14%3.5B372.34%3.77B325.33%4.25B325.33%4.25B257.38%4.74B-63.02%599M
-Including:Long term debt -31.44%2.4B-30.60%2.95B-30.60%2.95B-32.00%3.22B484.14%3.5B372.34%3.77B325.33%4.25B325.33%4.25B257.38%4.74B-63.02%599M
Long term pension and other post-retirement benefit plans 1.06%859M-19.59%854M-19.59%854M-19.64%847M-18.97%850M-19.58%834M3.61%1.06B3.61%1.06B2.76%1.05B2.73%1.05B
Other non current liabilities 0.00%8M-10.00%9M-10.00%9M-11.11%8M-27.27%8M-18.18%9M-9.09%10M-9.09%10M22.80%9M46.06%11M
Total non current liabilities -25.04%3.27B-28.36%3.81B-28.36%3.81B-29.72%4.08B162.63%4.36B149.97%4.62B161.47%5.32B161.47%5.32B145.98%5.8B-37.36%1.66B
Total liabilities -20.22%6.57B-19.62%7.33B-19.62%7.33B-22.80%7.32B76.25%8.23B68.48%8.89B61.62%9.12B61.62%9.12B69.33%9.48B-20.55%4.67B
Shareholders'equity
Share capital 0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B-0.03%1.79B-0.03%1.79B
-common stock 0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B0.00%1.79B-0.03%1.79B-0.03%1.79B
Additional paid-in capital 0.00%1.73B0.00%1.73B0.00%1.73B0.00%1.73B0.00%1.73B0.00%1.73B0.00%1.73B0.00%1.73B-0.00%1.73B-0.00%1.73B
Retained earnings 3.26%17.6B-11.90%674M-11.90%674M4.05%17.29B2.99%17.04B2.72%16.81B-9.89%765M-9.89%765M4.29%16.62B5.21%16.55B
Less: Treasury stock 39.19%1.07B25.91%967M25.91%967M95.92%768M95.92%768M95.92%768M95.92%768M95.92%768M-0.01%392M0.00%392M
Other reserves -18.43%208M3.97%16.67B3.97%16.67B27.91%165M77.08%255M77.61%238M4.35%16.04B4.35%16.04B-43.14%129M-38.55%144M
Total stockholders'equity 1.03%20.25B1.77%19.9B1.77%19.9B1.68%20.21B1.16%20.05B0.88%19.8B1.08%19.55B1.08%19.55B3.04%19.87B3.81%19.82B
Total equity 1.03%20.25B1.77%19.9B1.77%19.9B1.68%20.21B1.16%20.05B0.88%19.8B1.08%19.55B1.08%19.55B3.04%19.87B3.81%19.82B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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