(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 | 0.05%1.86B | -5.77%1.73B | -8.27%1.73B | -8.27%1.73B | -1.30%1.76B | -1.72%1.86B | 18.33%1.83B | -4.10%1.89B | -4.10%1.89B | -14.00%1.78B |
-Cash and cash equivalents | 0.05%1.86B | -5.77%1.73B | -8.27%1.73B | -8.27%1.73B | -1.30%1.76B | -1.72%1.86B | 18.33%1.83B | -4.10%1.89B | -4.10%1.89B | -14.00%1.78B |
Receivables | 26.66%1.22B | 49.81%1.13B | 43.02%1.17B | 43.02%1.17B | -8.62%832.78M | -1.83%961.81M | -39.25%757.42M | -3.80%818.01M | -3.80%818.01M | 54.68%911.37M |
-Accounts receivable | 26.66%1.22B | 49.81%1.13B | 43.02%1.17B | 43.02%1.17B | -8.62%832.78M | -1.83%961.81M | -39.25%757.42M | -3.80%818.01M | -3.80%818.01M | 54.68%911.37M |
-Gross accounts receivable | 26.66%1.22B | 49.81%1.13B | 43.02%1.17B | 43.02%1.17B | -8.62%832.78M | -1.83%961.81M | -39.25%757.42M | -3.80%818.01M | -3.80%818.01M | 54.68%911.37M |
Inventory | -1.60%176.99M | 19.38%193.59M | 10.42%157.93M | 10.42%157.93M | -16.07%137.44M | 0.17%179.87M | -18.40%162.16M | -53.84%143.03M | -53.84%143.03M | -63.80%163.75M |
Other current assets | 8.97%42.15M | -41.46%37.72M | -14.87%49.6M | -14.87%49.6M | 3.07%37.12M | -45.87%38.68M | -11.80%64.44M | 54.57%58.26M | 54.57%58.26M | -18.17%36.02M |
Total current assets | 8.49%3.3B | 9.82%3.09B | 6.93%3.11B | 6.93%3.11B | -4.38%2.77B | -2.66%3.04B | -8.19%2.81B | -8.18%2.91B | -8.18%2.91B | -8.38%2.89B |
Non current assets | ||||||||||
Net PPE | 12.31%2.19B | 11.57%2.18B | 13.93%2.14B | 13.93%2.14B | 15.10%2.18B | 1.88%1.95B | 2.48%1.96B | -3.23%1.88B | -3.23%1.88B | -0.57%1.9B |
-Gross PP&E | 12.31%2.19B | 11.57%2.18B | 13.93%2.14B | 13.93%2.14B | 15.10%2.18B | 1.88%1.95B | 2.48%1.96B | -3.23%1.88B | -3.23%1.88B | -0.57%1.9B |
Total investment | 6.94%464.43M | -8.83%432.91M | -15.67%400.28M | -15.67%400.28M | -19.18%421.36M | -22.80%434.28M | -17.80%474.85M | -14.28%474.64M | -14.28%474.64M | 4.71%521.36M |
-Financial asset investment | 6.94%464.43M | -8.83%432.91M | -15.67%400.28M | -15.67%400.28M | -19.18%421.36M | -22.80%434.28M | -17.80%474.85M | -14.28%474.64M | -14.28%474.64M | 4.71%521.36M |
-Including:Available-for-sale securities | 6.94%464.43M | -8.83%432.91M | -15.67%400.28M | -15.67%400.28M | -19.18%421.36M | -22.80%434.28M | -17.80%474.85M | -14.28%474.64M | -14.28%474.64M | 4.71%521.36M |
Goodwill and other intangible assets | 8.55%40.42M | 23.46%43.53M | 1.26%38.03M | 1.26%38.03M | -3.50%35.03M | -3.89%37.24M | -13.97%35.26M | -21.19%37.56M | -21.19%37.56M | -12.40%36.3M |
-Other intangible assets | 8.55%40.42M | 23.46%43.53M | 1.26%38.03M | 1.26%38.03M | -3.50%35.03M | -3.89%37.24M | -13.97%35.26M | -20.17%37.56M | -20.17%37.56M | -9.76%36.3M |
Deferred tax assets-non current | -77.33%746K | -81.00%625K | --7.61M | --7.61M | -34.17%3.07M | 7,377.27%3.29M | -30.13%3.29M | --0 | --0 | -75.17%4.67M |
Other non current assets | 167.78%41.74M | 146.94%40.29M | 114.68%40.22M | 114.68%40.22M | -8.22%35.34M | -60.22%15.59M | -60.23%16.32M | -55.59%18.74M | -55.59%18.74M | -10.78%38.5M |
Total non current assets | 12.17%2.74B | 8.61%2.7B | 9.01%2.63B | 9.01%2.63B | 7.22%2.68B | -4.47%2.44B | -3.39%2.49B | -6.95%2.41B | -6.95%2.41B | -0.45%2.5B |
Total assets | 10.13%6.04B | 9.25%5.79B | 7.88%5.74B | 7.88%5.74B | 0.99%5.44B | -3.47%5.48B | -6.00%5.3B | -7.63%5.32B | -7.63%5.32B | -4.87%5.39B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -13.17%238.38M | -15.56%241.62M | -18.19%249.72M | -18.19%249.72M | -15.97%262.83M | -16.21%274.54M | -18.30%286.15M | -16.28%305.23M | -16.28%305.23M | -16.89%312.79M |
-Current debt and capital lease obligation | -13.17%238.38M | -15.56%241.62M | -18.19%249.72M | -18.19%249.72M | -15.97%262.83M | -16.21%274.54M | -18.30%286.15M | -16.28%305.23M | -16.28%305.23M | -16.89%312.79M |
-Including:Current debt | -14.55%210.47M | -17.02%213.58M | -17.29%221.47M | -17.29%221.47M | -14.27%235.04M | -14.23%246.31M | -16.45%257.38M | -18.80%267.79M | -18.80%267.79M | -19.79%274.18M |
-Including:Current capital Lease obligation | -1.12%27.91M | -2.54%28.04M | -24.57%28.24M | -24.57%28.24M | -28.04%27.79M | -30.26%28.23M | -31.82%28.77M | 7.55%37.44M | 7.55%37.44M | 11.70%38.61M |
Payables | 14.14%825.2M | 26.33%743.82M | 61.02%874.11M | 61.02%874.11M | -3.55%643.91M | 5.68%722.96M | -21.40%588.79M | -31.17%542.87M | -31.17%542.87M | 0.40%667.64M |
-accounts payable | 3.19%585.17M | 28.92%588.88M | 72.17%675.14M | 72.17%675.14M | -6.64%540.52M | 13.68%567.07M | -20.45%456.8M | -12.40%392.14M | -12.40%392.14M | 32.80%578.94M |
-Total tax payable | 84.77%165.14M | 52.10%72.12M | 71.58%120.12M | 71.58%120.12M | 1,040.97%42.22M | -12.01%89.37M | -45.05%47.42M | -69.47%70.01M | -69.47%70.01M | -97.86%3.7M |
-Other payable | 12.60%74.9M | -2.08%82.82M | -2.31%78.85M | -2.31%78.85M | -28.03%61.17M | -20.54%66.51M | -4.54%84.58M | -27.79%80.72M | -27.79%80.72M | 51.13%84.99M |
Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -98.92%850K |
Pension and other retirement benefit plans | 9.68%86.56M | 12.48%50.94M | 11.87%17.74M | 11.87%17.74M | 10.63%56.07M | 9.35%78.92M | 7.09%45.28M | 3.86%15.86M | 3.86%15.86M | -4.12%50.69M |
Accrued and deferred income | -77.16%2.71M | 255.88%22.81M | -78.83%6.68M | -78.83%6.68M | -75.21%2.52M | -94.10%11.89M | -93.15%6.41M | -70.59%31.56M | -70.59%31.56M | -95.09%10.15M |
Other current liabilities | 27.43%202.84M | 51.19%250.01M | -6.82%171.32M | -6.82%171.32M | 5.76%152.8M | 6.88%159.17M | 2.38%165.36M | -42.24%183.85M | -42.24%183.85M | -36.76%144.47M |
Current liabilities | 8.67%1.36B | 19.89%1.31B | 22.25%1.32B | 22.25%1.32B | -5.77%1.12B | -13.07%1.25B | -21.86%1.09B | -32.75%1.08B | -32.75%1.08B | -26.23%1.19B |
Non current liabilities | ||||||||||
Non current financial liabilities | -49.04%39.13M | -49.19%41.61M | -50.54%44.09M | -50.54%44.09M | -43.58%73.22M | -47.44%76.78M | -49.61%81.89M | -54.15%89.15M | -54.15%89.15M | -46.51%129.77M |
-Long term debt and capital lease obligation | -49.04%39.13M | -49.19%41.61M | -50.54%44.09M | -50.54%44.09M | -43.58%73.22M | -47.44%76.78M | -49.61%81.89M | -54.15%89.15M | -54.15%89.15M | -46.51%129.77M |
-Including:Long term debt | -52.87%8.68M | -52.95%10.87M | -62.18%13.06M | -62.18%13.06M | -68.86%15.25M | -71.55%18.42M | -71.29%23.11M | -66.27%34.53M | -66.27%34.53M | -60.25%48.97M |
-Including:Long term capital lease obligation | -47.83%30.45M | -47.71%30.74M | -43.18%31.03M | -43.18%31.03M | -28.26%57.97M | -28.25%58.36M | -28.33%58.78M | -40.67%54.61M | -40.67%54.61M | -32.33%80.8M |
Long term provisions | 0.00%28.8M | 0.00%28.8M | -2.39%28.8M | -2.39%28.8M | -2.39%28.8M | -2.39%28.8M | -2.39%28.8M | 0.00%29.51M | 0.00%29.51M | 0.00%29.51M |
Long term pension and other post-retirement benefit plans | 6.79%332.91M | 6.62%327.52M | 6.36%322.14M | 6.36%322.14M | 6.45%316.9M | 6.47%311.74M | 6.68%307.17M | 7.08%302.89M | 7.08%302.89M | 7.20%297.69M |
Non current deferred liabilities | 73.12%11.22M | -85.69%2.38M | --0 | --0 | -91.19%2.36M | -87.12%6.48M | -72.46%16.63M | -54.15%14.39M | -54.15%14.39M | 91.77%26.82M |
Other non current liabilities | 0.00%3K | 100.00%4K | -66.67%1K | -66.67%1K | 0.00%3K | 0.00%3K | -33.33%2K | 50.00%3K | 50.00%3K | 0.00%3K |
Total non current liabilities | -2.77%412.06M | -7.87%400.31M | -9.38%395.04M | -9.38%395.04M | -12.92%421.28M | -18.29%423.79M | -19.59%434.49M | -19.00%435.94M | -19.00%435.94M | -14.19%483.78M |
Total liabilities | 5.77%1.77B | 11.99%1.71B | 13.15%1.71B | 13.15%1.71B | -7.84%1.54B | -14.45%1.67B | -21.23%1.53B | -29.30%1.52B | -29.30%1.52B | -23.10%1.67B |
Shareholders'equity | ||||||||||
Share capital | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M |
-common stock | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M | 0.00%130.6M |
Additional paid-in capital | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M | 0.00%945.42M |
Retained earnings | 15.60%3.29B | 12.67%3.13B | 11.59%3.09B | 11.59%3.09B | 11.45%2.95B | 9.82%2.85B | 9.07%2.78B | 11.65%2.77B | 11.65%2.77B | 10.68%2.65B |
Less: Treasury stock | 0.00%160.19M | 10.77%160.19M | 45.31%160.19M | 45.31%160.19M | 45.31%160.19M | 102.25%160.19M | 122.82%144.62M | 115.46%110.24M | 115.46%110.24M | 116.62%110.24M |
Other reserves | 31.34%60.21M | -41.71%40.16M | -73.06%18.9M | -73.06%18.9M | -65.47%36.38M | -65.88%45.85M | -53.03%68.89M | -37.22%70.14M | -37.22%70.14M | 39.19%105.36M |
Total stockholders'equity | 12.04%4.27B | 8.14%4.08B | 5.78%4.03B | 5.78%4.03B | 4.95%3.9B | 2.29%3.81B | 1.98%3.78B | 5.21%3.81B | 5.21%3.81B | 6.47%3.72B |
Total equity | 12.04%4.27B | 8.14%4.08B | 5.78%4.03B | 5.78%4.03B | 4.95%3.9B | 2.29%3.81B | 1.98%3.78B | 5.21%3.81B | 5.21%3.81B | 6.47%3.72B |
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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