(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 | -4.51%667.79B | -30.89%482.82B | -30.89%482.82B | 15.40%612.56B | 62.48%699.31B | 40.44%642.3B | 17.92%698.59B | 17.92%698.59B | -19.01%530.83B | 18.61%430.4B |
-Cash and cash equivalents | -2.23%640.57B | -33.04%448.89B | -33.04%448.89B | 18.94%585.42B | 71.98%655.18B | 45.49%597.71B | 21.66%670.41B | 21.66%670.41B | -21.42%492.2B | 14.76%380.97B |
-Short term investments | -38.33%27.22B | 20.41%33.93B | 20.41%33.93B | -29.75%27.14B | -10.72%44.13B | -4.14%44.58B | -31.87%28.18B | -31.87%28.18B | 33.02%38.63B | 59.89%49.43B |
Receivables | 3.76%1.64T | 49.47%1.59T | 49.47%1.59T | 62.05%1.62T | 58.74%1.58T | 63.68%1.52T | 13.09%1.06T | 13.09%1.06T | 16.29%998.86B | 20.11%995.85B |
-Accounts receivable | 3.76%1.64T | 49.47%1.59T | 49.47%1.59T | 62.05%1.62T | 58.74%1.58T | 63.68%1.52T | 13.09%1.06T | 13.09%1.06T | 16.29%998.86B | 20.11%995.85B |
Inventory | 1.43%2.34T | 9.14%2.28T | 9.14%2.28T | 6.95%2.31T | 7.78%2.3T | 17.52%2.32T | 18.75%2.09T | 18.75%2.09T | 27.13%2.16T | 37.07%2.14T |
Other current assets | -7.39%229.58B | -4.77%212.92B | -4.77%212.92B | 13.73%247.01B | 4.72%247.92B | -2.27%269.22B | -1.18%223.58B | -1.18%223.58B | -1.61%217.2B | 29.08%236.73B |
Total current assets | 0.88%4.87T | 12.03%4.56T | 12.03%4.56T | 22.56%4.79T | 27.14%4.83T | 30.70%4.76T | 15.82%4.07T | 15.82%4.07T | 13.76%3.91T | 29.49%3.8T |
Non current assets | ||||||||||
Net PPE | 4.90%3.59T | 6.53%3.48T | 6.53%3.48T | 5.42%3.45T | 4.91%3.43T | 5.63%3.36T | 4.37%3.27T | 4.37%3.27T | 5.72%3.27T | 5.89%3.27T |
-Gross PP&E | 4.90%3.59T | 6.53%3.48T | 6.53%3.48T | 5.42%3.45T | 4.91%3.43T | 5.63%3.36T | 4.37%3.27T | 4.37%3.27T | 5.72%3.27T | 5.89%3.27T |
Total investment | 14.39%2.23T | 27.28%2.21T | 27.28%2.21T | 9.35%1.97T | 10.59%1.95T | 6.06%1.81T | 6.88%1.74T | 6.88%1.74T | 14.01%1.81T | 15.33%1.76T |
-Long-term equity investment | 37.29%1.71T | 27.05%1.54T | 27.05%1.54T | -0.92%1.28T | -1.19%1.25T | 0.40%1.19T | 12.18%1.21T | 12.18%1.21T | 23.98%1.29T | 35.63%1.26T |
-Financial asset investment | -26.24%518.23B | 27.83%675.94B | 27.83%675.94B | 35.25%693.34B | 40.27%702.57B | 18.77%624.6B | -3.55%528.79B | -3.55%528.79B | -5.23%512.63B | -16.24%500.86B |
-Including:Available-for-sale securities | -26.24%518.23B | 27.83%675.94B | 27.83%675.94B | 35.25%693.34B | 40.27%702.57B | 18.77%624.6B | -3.55%528.79B | -3.55%528.79B | -5.23%512.63B | -16.24%500.86B |
Goodwill and other intangible assets | 9.34%258.41B | 11.48%248.06B | 11.48%248.06B | 10.99%240.11B | 13.89%236.34B | 13.98%230.54B | 15.75%222.51B | 15.75%222.51B | 28.00%216.33B | 25.25%207.52B |
-Goodwill | 1.19%69.83B | 7.91%70.21B | 7.91%70.21B | 0.52%68.47B | 5.15%69.01B | 5.53%68.12B | 5.38%65.06B | 5.38%65.06B | 44.32%68.12B | 39.93%65.63B |
-Other intangible assets | 12.70%188.58B | 12.96%177.85B | 12.96%177.85B | 15.80%171.64B | 17.93%167.33B | 17.94%162.42B | 20.65%157.44B | 20.65%157.44B | 21.67%148.22B | 19.45%141.89B |
Defined pension benefit | 0.94%130.54B | 2.37%127.58B | 2.37%127.58B | 27.95%131.97B | 26.99%129.32B | 11.69%130.12B | 0.86%124.63B | 0.86%124.63B | -17.25%103.14B | -13.67%101.84B |
Deferred tax assets-non current | 9.79%107.29B | -44.34%75.89B | -44.34%75.89B | -36.39%110.99B | -44.57%97.72B | -28.27%119.75B | -13.72%136.35B | -13.72%136.35B | -3.02%174.48B | 0.47%176.31B |
Other non current assets | 21.12%8.25B | 25.95%7.8B | 25.95%7.8B | 19.90%6.92B | 14.33%6.81B | -9.12%6.94B | 8.46%6.19B | 8.46%6.19B | -3.09%5.77B | -2.14%5.96B |
Total non current assets | 8.26%6.33T | 11.96%6.15T | 11.96%6.15T | 6.03%5.91T | 5.90%5.84T | 5.14%5.66T | 4.94%5.5T | 4.94%5.5T | 8.12%5.57T | 8.71%5.52T |
Total assets | 4.92%11.2T | 11.99%10.71T | 11.99%10.71T | 12.84%10.7T | 14.56%10.68T | 15.45%10.42T | 9.31%9.57T | 9.31%9.57T | 10.38%9.48T | 16.32%9.32T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -3.82%672.8B | 34.15%548.53B | 34.15%548.53B | 102.53%839.52B | 68.29%699.55B | 96.12%777.23B | 18.49%408.91B | 18.49%408.91B | -0.86%414.51B | 6.58%415.68B |
-Current debt and capital lease obligation | -3.96%669.71B | 34.36%541.5B | 34.36%541.5B | 111.14%830.6B | 69.95%697.33B | 99.58%774.31B | 17.14%403.03B | 17.14%403.03B | -5.46%393.38B | 5.55%410.32B |
-Other financial liabilities | 39.84%3.1B | 19.70%7.04B | 19.70%7.04B | -57.77%8.92B | -58.67%2.21B | -64.98%2.92B | 464.11%5.88B | 464.11%5.88B | 959.58%21.13B | 317.54%5.36B |
Payables | -2.13%1.72T | 19.89%1.97T | 19.89%1.97T | 0.34%1.75T | 2.63%1.76T | 7.34%1.77T | 0.45%1.64T | 0.45%1.64T | 6.19%1.75T | 14.93%1.72T |
-accounts payable | -4.22%1.6T | 18.75%1.89T | 18.75%1.89T | 4.57%1.66T | 6.55%1.67T | 10.58%1.71T | 4.28%1.59T | 4.28%1.59T | 7.82%1.59T | 14.10%1.57T |
-Total tax payable | 36.87%122.97B | 54.61%80.27B | 54.61%80.27B | -43.12%88.24B | -39.12%89.85B | -41.67%59.45B | -52.78%51.92B | -52.78%51.92B | -8.08%155.15B | 24.63%147.58B |
Other current liabilities | -2.48%77.13B | 52.68%62.36B | 52.68%62.36B | 54.58%75.22B | 86.29%79.1B | 62.58%81.78B | 10.82%40.84B | 10.82%40.84B | -5.89%48.66B | 2.47%42.46B |
Current liabilities | -2.60%2.47T | 23.31%2.58T | 23.31%2.58T | 20.70%2.67T | 16.80%2.54T | 25.48%2.63T | 3.72%2.09T | 3.72%2.09T | 4.50%2.21T | 12.97%2.18T |
Non current liabilities | ||||||||||
Non current financial liabilities | -10.51%2.13T | -5.50%2.17T | -5.50%2.17T | -0.85%2.18T | 8.14%2.38T | 6.28%2.37T | -0.60%2.3T | -0.60%2.3T | -4.62%2.2T | 6.20%2.2T |
-Long term debt and capital lease obligation | -10.50%2.13T | -5.49%2.17T | -5.49%2.17T | -0.82%2.18T | 8.15%2.38T | 6.30%2.37T | -0.56%2.3T | -0.56%2.3T | -4.56%2.2T | 6.36%2.2T |
-Other financial liabilities-Non current | -58.23%132M | -54.80%146M | -54.80%146M | -90.15%66M | -49.11%316M | -37.67%761M | -73.24%323M | -73.24%323M | -69.08%670M | -83.07%621M |
Long term pension and other post-retirement benefit plans | -32.48%125.83B | -37.28%116.31B | -37.28%116.31B | -1.03%193.31B | -2.20%186.37B | -4.35%183.39B | -1.54%185.44B | -1.54%185.44B | 1.79%195.32B | 3.46%190.56B |
Non current deferred liabilities | 229.28%145.87B | 272.91%140.53B | 272.91%140.53B | 18.58%48.68B | 7.09%44.3B | 12.35%43.37B | -5.33%37.69B | -5.33%37.69B | -6.80%41.06B | -6.02%41.37B |
Other non current liabilities | -6.91%328.84B | 13.88%349.74B | 13.88%349.74B | 14.33%353.77B | 14.54%353.27B | 2.17%309.24B | 3.05%307.11B | 3.05%307.11B | 17.51%309.44B | 15.84%308.41B |
Total non current liabilities | -7.87%2.73T | -1.77%2.78T | -1.77%2.78T | 1.14%2.77T | 8.12%2.96T | 5.17%2.91T | -0.35%2.83T | -0.35%2.83T | -2.13%2.74T | 6.80%2.74T |
Total liabilities | -5.44%5.2T | 8.90%5.36T | 8.90%5.36T | 9.87%5.44T | 11.97%5.5T | 13.92%5.53T | 1.35%4.92T | 1.35%4.92T | 0.72%4.95T | 9.45%4.91T |
Shareholders'equity | ||||||||||
Share capital | 35.75%569.52B | 0.07%419.8B | 0.07%419.8B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B |
-common stock | 35.75%569.52B | 0.07%419.8B | 0.07%419.8B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B | 0.00%419.52B |
Additional paid-in capital | 36.93%546.45B | -0.11%398.91B | -0.11%398.91B | -0.25%398.64B | -0.15%399.06B | -0.60%399.02B | 1.48%399.37B | 1.48%399.37B | 1.53%399.64B | 1.73%399.68B |
Retained earnings | 13.40%3.75T | 14.50%3.53T | 14.50%3.53T | 17.60%3.38T | 17.80%3.31T | 19.84%3.19T | 22.44%3.08T | 22.44%3.08T | 20.89%2.87T | 26.29%2.81T |
Less: Treasury stock | 0.14%58.19B | 0.16%58.15B | 0.16%58.15B | 0.17%58.12B | 0.17%58.1B | 0.20%58.11B | 0.13%58.05B | 0.13%58.05B | -0.60%58.02B | -0.60%58.01B |
Other reserves | --593.76B | 44.08%491.58B | 44.08%491.58B | ---- | ---- | ---- | --341.17B | --341.17B | ---- | ---- |
Other equity interest | -100.00%1M | 0.00%2M | 0.00%2M | 25.30%548.91B | 42.80%548.59B | 28.22%397.41B | -100.00%2M | -100.00%2M | 202.44%438.08B | 145.48%384.16B |
Total stockholders'equity | 17.02%5.4T | 14.27%4.78T | 14.27%4.78T | 15.11%4.69T | 16.79%4.62T | 16.41%4.34T | 20.61%4.18T | 20.61%4.18T | 24.30%4.07T | 26.14%3.95T |
Noncontrolling interests | 6.94%595.53B | 24.26%578.15B | 24.26%578.15B | 24.88%566.21B | 23.24%556.87B | 24.22%540.4B | 8.15%465.26B | 8.15%465.26B | 15.06%453.42B | 16.55%451.85B |
Total equity | 15.93%6T | 15.27%5.36T | 15.27%5.36T | 16.09%5.26T | 17.45%5.17T | 17.23%4.88T | 19.23%4.65T | 19.23%4.65T | 23.31%4.53T | 25.09%4.41T |
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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