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6166 Nakamura Choukou

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  • 394
  • 00.00%
20min DelayMarket to Open Nov 29 15:30 JST
4.34BMarket Cap30.12P/E (Static)

Nakamura Choukou 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
-3.52%1.67B
-25.20%1.5B
-25.20%1.5B
-33.87%1.52B
-35.19%1.73B
-28.65%2.01B
-31.82%2B
-31.82%2B
-25.66%2.3B
-22.30%2.68B
-Cash and cash equivalents
-3.52%1.67B
-25.20%1.5B
-25.20%1.5B
-33.87%1.52B
-35.19%1.73B
-28.65%2.01B
-31.82%2B
-31.82%2B
-25.66%2.3B
-22.30%2.68B
Receivables
-21.05%306.54M
-20.63%375.64M
-20.63%375.64M
-5.51%398.52M
-9.84%388.26M
-29.13%350.38M
-38.67%473.25M
-38.67%473.25M
-37.78%421.75M
8.75%430.66M
-Accounts receivable
-21.05%306.54M
-20.63%375.64M
-20.63%375.64M
-5.51%398.52M
-9.84%388.26M
-29.13%350.38M
1.13%473.25M
1.13%473.25M
-23.16%421.75M
8.80%430.66M
-Gross accounts receivable
-21.05%306.54M
-20.63%375.64M
-20.63%375.64M
-5.51%398.52M
-9.84%388.26M
-29.13%350.38M
1.13%473.25M
1.13%473.25M
-23.16%421.75M
8.80%430.66M
Inventory
-9.62%649.76M
37.63%742.2M
37.63%742.2M
50.88%739.21M
36.18%718.89M
17.93%635.39M
-28.20%539.28M
-28.20%539.28M
-27.76%489.93M
-24.36%527.91M
Other current assets
-67.14%93.45M
184.82%301.38M
184.82%301.38M
164.29%295.81M
229.48%284.41M
80.76%297.24M
-33.67%105.81M
-33.67%105.81M
-44.02%111.93M
-56.31%86.32M
Total current assets
-12.89%2.72B
-6.51%2.91B
-6.51%2.91B
-11.11%2.96B
-15.99%3.13B
-17.98%3.3B
-32.44%3.12B
-32.44%3.12B
-28.52%3.32B
-21.43%3.72B
Non current assets
Net PPE
-5.13%2.96B
100.28%3.05B
100.28%3.05B
106.15%3.07B
137.93%3.12B
149.00%3.15B
25.02%1.52B
25.02%1.52B
24.10%1.49B
7.46%1.31B
-Gross PP&E
-5.13%2.96B
23.31%9.18B
23.31%9.18B
106.15%3.07B
137.93%3.12B
149.00%3.15B
2.73%7.44B
2.73%7.44B
24.10%1.49B
7.46%1.31B
-Accumulated depreciation
----
-3.54%-6.13B
-3.54%-6.13B
----
----
----
1.76%-5.92B
1.76%-5.92B
----
----
Total investment
-3.48%63.04M
-12.87%1.69M
-12.87%1.69M
-3.97%64.2M
-3.25%65.32M
-2.44%66.29M
2.10%1.94M
2.10%1.94M
-2.55%66.86M
-1.81%67.51M
-Financial asset investment
----
-12.87%1.69M
-12.87%1.69M
----
----
----
2.10%1.94M
2.10%1.94M
----
----
-Including:Available-for-sale securities
----
-12.87%1.69M
-12.87%1.69M
----
----
----
2.10%1.94M
2.10%1.94M
----
----
Goodwill and other intangible assets
-30.34%11.09M
-24.19%13.51M
-24.19%13.51M
-22.67%14.71M
-21.33%15.92M
-21.44%16.85M
86.45%17.82M
86.45%17.82M
87.69%19.03M
88.82%20.24M
-Other intangible assets
----
-24.19%13.51M
-24.19%13.51M
----
----
----
86.45%17.82M
86.45%17.82M
----
----
Other non current assets
0.00%-33.92M
-7.80%28.39M
-7.80%28.39M
0.00%-33.92M
0.00%-33.92M
0.00%-33.92M
-5.03%30.79M
-5.03%30.79M
0.00%-33.92M
0.00%-33.92M
Total non current assets
-5.27%3B
96.61%3.09B
96.61%3.09B
102.12%3.11B
132.01%3.17B
142.27%3.2B
24.68%1.57B
24.68%1.57B
23.80%1.54B
7.85%1.36B
Total assets
-9.06%5.72B
28.05%6B
28.05%6B
24.75%6.07B
23.73%6.29B
21.69%6.5B
-20.19%4.69B
-20.19%4.69B
-17.47%4.87B
-15.25%5.09B
Liabilities
Current liabilities
Financial liabilities
-34.11%2.3B
4.77%2.3B
4.77%2.3B
1,587.16%3.49B
1,388.89%3.49B
1,186.14%3.46B
620.28%2.19B
620.28%2.19B
-79.47%207.1M
-77.50%234.09M
-Current debt and capital lease obligation
-34.11%2.3B
4.77%2.3B
4.77%2.3B
1,587.16%3.49B
1,388.89%3.49B
1,186.14%3.46B
620.28%2.19B
620.28%2.19B
-79.47%207.1M
-77.50%234.09M
-Including:Current debt
-34.39%2.27B
4.60%2.27B
4.60%2.27B
1,768.65%3.47B
1,507.67%3.46B
1,281.94%3.44B
669.78%2.17B
669.78%2.17B
-81.13%185.87M
-78.76%215.53M
-Including:Current capital Lease obligation
14.78%23.3M
24.09%24.08M
24.09%24.08M
-2.11%20.78M
9.40%20.3M
-2.38%19.59M
-12.17%19.41M
-12.17%19.41M
-11.40%21.23M
-28.10%18.56M
Payables
-63.05%92.19M
5.14%274.12M
5.14%274.12M
57.72%301.69M
10.64%249.48M
-42.80%241.88M
-56.45%260.72M
-56.45%260.72M
-39.59%191.28M
-18.00%225.5M
-accounts payable
-68.68%77.43M
6.50%263.78M
6.50%263.78M
60.58%300.05M
24.40%247.25M
-41.03%240.77M
-56.12%247.68M
-56.12%247.68M
-39.79%186.85M
-18.83%198.75M
-Total tax payable
562.23%14.76M
-20.72%10.34M
-20.72%10.34M
-62.93%1.64M
-91.67%2.23M
-92.38%1.11M
-61.86%13.05M
-61.86%13.05M
-29.85%4.43M
-11.27%26.75M
Current provisions
--42.19M
737.32%25.78M
737.32%25.78M
-56.05%767K
----
2.03%6.73M
-59.32%3.08M
-59.32%3.08M
-61.38%1.75M
-58.37%1.16M
Pension and other retirement benefit plans
-47.27%33.65M
12.90%68.58M
12.90%68.58M
-10.04%21.65M
-3.44%63.83M
-8.00%21.26M
-29.81%60.74M
-29.81%60.74M
-6.82%24.07M
-15.96%66.1M
Accrued and deferred income
31.92%539.66M
27.77%527.81M
27.77%527.81M
-20.02%374.95M
-22.17%409.07M
-6.07%422.91M
-44.66%413.11M
-44.66%413.11M
-41.88%468.81M
-47.67%525.59M
Other current liabilities
73.14%236.93M
-26.48%146.28M
-26.48%146.28M
-26.93%137.44M
-40.89%136.84M
-28.51%182.96M
-30.30%198.97M
-30.30%198.97M
-52.12%188.1M
26.12%231.5M
Current liabilities
-25.39%3.24B
6.73%3.34B
6.73%3.34B
300.57%4.33B
238.38%4.34B
203.65%4.34B
54.22%3.13B
54.22%3.13B
-57.70%1.08B
-50.33%1.28B
Non current liabilities
Non current financial liabilities
-22.05%755.66M
191.46%883.52M
191.46%883.52M
-62.74%925.7M
-60.68%969.44M
-58.60%1.02B
-87.75%303.13M
-87.75%303.13M
36.96%2.48B
35.57%2.47B
-Long term debt and capital lease obligation
-22.05%755.66M
191.46%883.52M
191.46%883.52M
-62.74%925.7M
-60.68%969.44M
-58.60%1.02B
-87.75%303.13M
-87.75%303.13M
36.96%2.48B
35.57%2.47B
-Including:Long term debt
-25.69%675.03M
196.88%791.69M
196.88%791.69M
-65.22%850.02M
-62.83%908.35M
-60.45%966.68M
-89.09%266.67M
-89.09%266.67M
37.42%2.44B
37.42%2.44B
-Including:Long term capital lease obligation
31.98%80.63M
151.83%91.83M
151.83%91.83M
87.95%75.68M
184.59%61.09M
115.41%55.78M
19.50%36.46M
19.50%36.46M
14.14%40.27M
-46.37%21.47M
Long term provisions
1.42%50.42M
1.41%50.07M
1.41%50.07M
1.41%49.89M
1.41%49.72M
1.41%49.55M
-2.46%49.37M
-2.46%49.37M
-2.05%49.2M
-1.86%49.03M
Long term pension and other post-retirement benefit plans
1.62%229.98M
3.62%240.15M
3.62%240.15M
1.45%233.55M
-0.46%226.32M
3.01%229.84M
4.11%231.76M
4.11%231.76M
3.79%230.21M
3.78%227.35M
Non current deferred liabilities
----
290.51%504.13M
290.51%504.13M
----
----
----
2.15%129.1M
2.15%129.1M
----
----
Other non current liabilities
139.08%617.09M
-0.03%130.85M
-0.03%130.85M
-2.61%257.51M
-0.82%258.12M
0.04%261.76M
-0.06%130.9M
-0.06%130.9M
-2.49%264.4M
-3.22%260.24M
Total non current liabilities
9.95%1.65B
114.24%1.81B
114.24%1.81B
-51.57%1.47B
-49.92%1.5B
-47.94%1.56B
-71.91%844.26M
-71.91%844.26M
28.47%3.03B
27.40%3B
Total liabilities
-16.31%4.89B
29.57%5.15B
29.57%5.15B
41.08%5.8B
36.44%5.85B
33.12%5.9B
-21.07%3.97B
-21.07%3.97B
-16.35%4.11B
-13.26%4.29B
Shareholders'equity
Share capital
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
-common stock
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
0.00%349.04M
Additional paid-in capital
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
0.00%299.04M
Retained earnings
198.09%190.11M
202.51%215.36M
202.51%215.36M
-440.92%-371.05M
-221.19%-193.81M
-113.92%-37.8M
-63.62%71.19M
-63.62%71.19M
-67.08%108.84M
-60.14%159.92M
Less: Treasury stock
--0
--0
--0
--0
----
----
--0
--0
----
----
Other reserves
11.54%-20.24M
-18.57%-21.09M
-18.57%-21.09M
-20.83%-17.25M
-2.35%-22.89M
4.56%-22.13M
-2.44%-17.79M
-2.44%-17.79M
-45.60%-14.28M
-397.00%-22.36M
Other equity interest
-21.63%9.84M
-6.92%12.55M
-6.92%12.55M
-6.92%12.55M
-6.92%12.55M
-5.04%12.8M
-1.24%13.48M
-1.24%13.48M
-4.79%13.48M
-4.79%13.48M
Total stockholders'equity
86.46%827.79M
19.57%854.9M
19.57%854.9M
-63.98%272.33M
-44.45%443.94M
-33.96%600.96M
-14.89%714.97M
-14.89%714.97M
-23.08%756.13M
-24.54%799.13M
Total equity
86.46%827.79M
19.57%854.9M
19.57%854.9M
-63.98%272.33M
-44.45%443.94M
-33.96%600.96M
-14.89%714.97M
-14.89%714.97M
-23.08%756.13M
-24.54%799.13M
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 -3.52%1.67B-25.20%1.5B-25.20%1.5B-33.87%1.52B-35.19%1.73B-28.65%2.01B-31.82%2B-31.82%2B-25.66%2.3B-22.30%2.68B
-Cash and cash equivalents -3.52%1.67B-25.20%1.5B-25.20%1.5B-33.87%1.52B-35.19%1.73B-28.65%2.01B-31.82%2B-31.82%2B-25.66%2.3B-22.30%2.68B
Receivables -21.05%306.54M-20.63%375.64M-20.63%375.64M-5.51%398.52M-9.84%388.26M-29.13%350.38M-38.67%473.25M-38.67%473.25M-37.78%421.75M8.75%430.66M
-Accounts receivable -21.05%306.54M-20.63%375.64M-20.63%375.64M-5.51%398.52M-9.84%388.26M-29.13%350.38M1.13%473.25M1.13%473.25M-23.16%421.75M8.80%430.66M
-Gross accounts receivable -21.05%306.54M-20.63%375.64M-20.63%375.64M-5.51%398.52M-9.84%388.26M-29.13%350.38M1.13%473.25M1.13%473.25M-23.16%421.75M8.80%430.66M
Inventory -9.62%649.76M37.63%742.2M37.63%742.2M50.88%739.21M36.18%718.89M17.93%635.39M-28.20%539.28M-28.20%539.28M-27.76%489.93M-24.36%527.91M
Other current assets -67.14%93.45M184.82%301.38M184.82%301.38M164.29%295.81M229.48%284.41M80.76%297.24M-33.67%105.81M-33.67%105.81M-44.02%111.93M-56.31%86.32M
Total current assets -12.89%2.72B-6.51%2.91B-6.51%2.91B-11.11%2.96B-15.99%3.13B-17.98%3.3B-32.44%3.12B-32.44%3.12B-28.52%3.32B-21.43%3.72B
Non current assets
Net PPE -5.13%2.96B100.28%3.05B100.28%3.05B106.15%3.07B137.93%3.12B149.00%3.15B25.02%1.52B25.02%1.52B24.10%1.49B7.46%1.31B
-Gross PP&E -5.13%2.96B23.31%9.18B23.31%9.18B106.15%3.07B137.93%3.12B149.00%3.15B2.73%7.44B2.73%7.44B24.10%1.49B7.46%1.31B
-Accumulated depreciation -----3.54%-6.13B-3.54%-6.13B------------1.76%-5.92B1.76%-5.92B--------
Total investment -3.48%63.04M-12.87%1.69M-12.87%1.69M-3.97%64.2M-3.25%65.32M-2.44%66.29M2.10%1.94M2.10%1.94M-2.55%66.86M-1.81%67.51M
-Financial asset investment -----12.87%1.69M-12.87%1.69M------------2.10%1.94M2.10%1.94M--------
-Including:Available-for-sale securities -----12.87%1.69M-12.87%1.69M------------2.10%1.94M2.10%1.94M--------
Goodwill and other intangible assets -30.34%11.09M-24.19%13.51M-24.19%13.51M-22.67%14.71M-21.33%15.92M-21.44%16.85M86.45%17.82M86.45%17.82M87.69%19.03M88.82%20.24M
-Other intangible assets -----24.19%13.51M-24.19%13.51M------------86.45%17.82M86.45%17.82M--------
Other non current assets 0.00%-33.92M-7.80%28.39M-7.80%28.39M0.00%-33.92M0.00%-33.92M0.00%-33.92M-5.03%30.79M-5.03%30.79M0.00%-33.92M0.00%-33.92M
Total non current assets -5.27%3B96.61%3.09B96.61%3.09B102.12%3.11B132.01%3.17B142.27%3.2B24.68%1.57B24.68%1.57B23.80%1.54B7.85%1.36B
Total assets -9.06%5.72B28.05%6B28.05%6B24.75%6.07B23.73%6.29B21.69%6.5B-20.19%4.69B-20.19%4.69B-17.47%4.87B-15.25%5.09B
Liabilities
Current liabilities
Financial liabilities -34.11%2.3B4.77%2.3B4.77%2.3B1,587.16%3.49B1,388.89%3.49B1,186.14%3.46B620.28%2.19B620.28%2.19B-79.47%207.1M-77.50%234.09M
-Current debt and capital lease obligation -34.11%2.3B4.77%2.3B4.77%2.3B1,587.16%3.49B1,388.89%3.49B1,186.14%3.46B620.28%2.19B620.28%2.19B-79.47%207.1M-77.50%234.09M
-Including:Current debt -34.39%2.27B4.60%2.27B4.60%2.27B1,768.65%3.47B1,507.67%3.46B1,281.94%3.44B669.78%2.17B669.78%2.17B-81.13%185.87M-78.76%215.53M
-Including:Current capital Lease obligation 14.78%23.3M24.09%24.08M24.09%24.08M-2.11%20.78M9.40%20.3M-2.38%19.59M-12.17%19.41M-12.17%19.41M-11.40%21.23M-28.10%18.56M
Payables -63.05%92.19M5.14%274.12M5.14%274.12M57.72%301.69M10.64%249.48M-42.80%241.88M-56.45%260.72M-56.45%260.72M-39.59%191.28M-18.00%225.5M
-accounts payable -68.68%77.43M6.50%263.78M6.50%263.78M60.58%300.05M24.40%247.25M-41.03%240.77M-56.12%247.68M-56.12%247.68M-39.79%186.85M-18.83%198.75M
-Total tax payable 562.23%14.76M-20.72%10.34M-20.72%10.34M-62.93%1.64M-91.67%2.23M-92.38%1.11M-61.86%13.05M-61.86%13.05M-29.85%4.43M-11.27%26.75M
Current provisions --42.19M737.32%25.78M737.32%25.78M-56.05%767K----2.03%6.73M-59.32%3.08M-59.32%3.08M-61.38%1.75M-58.37%1.16M
Pension and other retirement benefit plans -47.27%33.65M12.90%68.58M12.90%68.58M-10.04%21.65M-3.44%63.83M-8.00%21.26M-29.81%60.74M-29.81%60.74M-6.82%24.07M-15.96%66.1M
Accrued and deferred income 31.92%539.66M27.77%527.81M27.77%527.81M-20.02%374.95M-22.17%409.07M-6.07%422.91M-44.66%413.11M-44.66%413.11M-41.88%468.81M-47.67%525.59M
Other current liabilities 73.14%236.93M-26.48%146.28M-26.48%146.28M-26.93%137.44M-40.89%136.84M-28.51%182.96M-30.30%198.97M-30.30%198.97M-52.12%188.1M26.12%231.5M
Current liabilities -25.39%3.24B6.73%3.34B6.73%3.34B300.57%4.33B238.38%4.34B203.65%4.34B54.22%3.13B54.22%3.13B-57.70%1.08B-50.33%1.28B
Non current liabilities
Non current financial liabilities -22.05%755.66M191.46%883.52M191.46%883.52M-62.74%925.7M-60.68%969.44M-58.60%1.02B-87.75%303.13M-87.75%303.13M36.96%2.48B35.57%2.47B
-Long term debt and capital lease obligation -22.05%755.66M191.46%883.52M191.46%883.52M-62.74%925.7M-60.68%969.44M-58.60%1.02B-87.75%303.13M-87.75%303.13M36.96%2.48B35.57%2.47B
-Including:Long term debt -25.69%675.03M196.88%791.69M196.88%791.69M-65.22%850.02M-62.83%908.35M-60.45%966.68M-89.09%266.67M-89.09%266.67M37.42%2.44B37.42%2.44B
-Including:Long term capital lease obligation 31.98%80.63M151.83%91.83M151.83%91.83M87.95%75.68M184.59%61.09M115.41%55.78M19.50%36.46M19.50%36.46M14.14%40.27M-46.37%21.47M
Long term provisions 1.42%50.42M1.41%50.07M1.41%50.07M1.41%49.89M1.41%49.72M1.41%49.55M-2.46%49.37M-2.46%49.37M-2.05%49.2M-1.86%49.03M
Long term pension and other post-retirement benefit plans 1.62%229.98M3.62%240.15M3.62%240.15M1.45%233.55M-0.46%226.32M3.01%229.84M4.11%231.76M4.11%231.76M3.79%230.21M3.78%227.35M
Non current deferred liabilities ----290.51%504.13M290.51%504.13M------------2.15%129.1M2.15%129.1M--------
Other non current liabilities 139.08%617.09M-0.03%130.85M-0.03%130.85M-2.61%257.51M-0.82%258.12M0.04%261.76M-0.06%130.9M-0.06%130.9M-2.49%264.4M-3.22%260.24M
Total non current liabilities 9.95%1.65B114.24%1.81B114.24%1.81B-51.57%1.47B-49.92%1.5B-47.94%1.56B-71.91%844.26M-71.91%844.26M28.47%3.03B27.40%3B
Total liabilities -16.31%4.89B29.57%5.15B29.57%5.15B41.08%5.8B36.44%5.85B33.12%5.9B-21.07%3.97B-21.07%3.97B-16.35%4.11B-13.26%4.29B
Shareholders'equity
Share capital 0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M
-common stock 0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M0.00%349.04M
Additional paid-in capital 0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M0.00%299.04M
Retained earnings 198.09%190.11M202.51%215.36M202.51%215.36M-440.92%-371.05M-221.19%-193.81M-113.92%-37.8M-63.62%71.19M-63.62%71.19M-67.08%108.84M-60.14%159.92M
Less: Treasury stock --0--0--0--0----------0--0--------
Other reserves 11.54%-20.24M-18.57%-21.09M-18.57%-21.09M-20.83%-17.25M-2.35%-22.89M4.56%-22.13M-2.44%-17.79M-2.44%-17.79M-45.60%-14.28M-397.00%-22.36M
Other equity interest -21.63%9.84M-6.92%12.55M-6.92%12.55M-6.92%12.55M-6.92%12.55M-5.04%12.8M-1.24%13.48M-1.24%13.48M-4.79%13.48M-4.79%13.48M
Total stockholders'equity 86.46%827.79M19.57%854.9M19.57%854.9M-63.98%272.33M-44.45%443.94M-33.96%600.96M-14.89%714.97M-14.89%714.97M-23.08%756.13M-24.54%799.13M
Total equity 86.46%827.79M19.57%854.9M19.57%854.9M-63.98%272.33M-44.45%443.94M-33.96%600.96M-14.89%714.97M-14.89%714.97M-23.08%756.13M-24.54%799.13M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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