(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 | (Q2)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 34.90%341.49B | 2.63%305.14B | 2.63%305.14B | 28.99%299.67B | -9.33%267.95B | -29.75%253.14B | -3.94%297.32B | -3.94%297.32B | -1.48%232.32B | 5.84%295.52B |
-Cash and cash equivalents | 37.58%249.16B | -1.63%222.12B | -1.63%222.12B | 29.11%220.51B | -10.21%193.35B | -40.80%181.1B | -12.70%225.8B | -12.70%225.8B | -4.74%170.79B | -9.35%215.33B |
-Short term investments | 28.15%92.33B | 16.08%83.02B | 16.08%83.02B | 28.66%79.16B | -6.96%74.6B | 32.34%72.05B | 40.57%71.52B | 40.57%71.52B | 8.85%61.53B | 92.36%80.18B |
Receivables | 19.16%1.14T | 23.01%993.16B | 23.01%993.16B | 32.05%1.01T | 37.25%947.68B | 40.59%952.62B | 34.78%807.4B | 34.78%807.4B | 35.00%762.3B | 17.24%690.48B |
-Accounts receivable | 18.20%1.11T | 21.31%945.49B | 21.31%945.49B | 28.14%976.79B | 34.39%927.94B | 38.02%935.2B | 35.70%779.39B | 35.70%779.39B | 35.00%762.3B | 17.24%690.48B |
-Other receivables | 70.66%29.73B | 70.14%47.67B | 70.14%47.67B | --29.85B | --19.74B | --17.42B | 13.40%28.02B | 13.40%28.02B | ---- | ---- |
Finance lease receivables-current | 21.43%578.55B | 14.93%552.42B | 14.93%552.42B | 12.96%569.79B | 16.36%543.38B | 16.71%476.44B | 26.08%480.66B | 26.08%480.66B | 37.83%504.41B | 33.58%466.97B |
Inventory | 9.26%707.21B | 3.66%668.05B | 3.66%668.05B | 4.95%701.86B | 8.53%686.2B | 11.86%647.25B | 26.35%644.47B | 26.35%644.47B | 44.15%668.77B | 47.48%632.28B |
Tax assets-Current | -0.22%2.3B | 112.66%5.76B | 112.66%5.76B | 203.40%15.6B | 155.45%15.7B | -58.22%2.3B | -67.85%2.71B | -67.85%2.71B | 22.77%5.14B | 88.41%6.14B |
Other current assets | 11.71%77.49B | 1.13%55.85B | 1.13%55.85B | -38.73%61.25B | -32.99%56.6B | -21.42%69.36B | -6.58%55.22B | -6.58%55.22B | 37.17%99.98B | 35.30%84.47B |
Total current assets | 18.37%2.84T | 12.79%2.58T | 12.79%2.58T | 16.80%2.65T | 15.70%2.52T | 13.34%2.4T | 22.51%2.29T | 22.51%2.29T | 33.12%2.27T | 27.08%2.18T |
Non current assets | ||||||||||
Net PPE | 16.97%767.83B | 12.85%727.06B | 12.85%727.06B | 13.39%699.04B | 17.81%684.41B | 25.13%656.41B | 29.81%644.25B | 29.81%644.25B | 34.27%616.47B | 31.88%580.92B |
Total investment | 15.51%254.07B | 10.97%235.18B | 10.97%235.18B | 15.15%246.67B | 14.19%241.22B | -4.12%219.95B | 6.74%211.93B | 6.74%211.93B | 11.41%214.21B | 17.66%211.26B |
-Long-term equity investment | -0.63%46.67B | 0.07%46.52B | 0.07%46.52B | 3.14%46.52B | 3.96%47.51B | -57.76%46.96B | 6.22%46.49B | 6.22%46.49B | 18.03%45.11B | 22.66%45.7B |
-Financial asset investment | 19.89%207.4B | 14.03%188.65B | 14.03%188.65B | 18.35%200.14B | 17.01%193.72B | 46.31%172.99B | 6.89%165.44B | 6.89%165.44B | 9.77%169.11B | 16.35%165.56B |
-Including:Available-for-sale securities | 19.89%207.4B | 14.03%188.65B | 14.03%188.65B | 18.35%200.14B | 17.01%193.72B | 46.31%172.99B | 6.89%165.44B | 6.89%165.44B | 9.77%169.11B | 16.35%165.56B |
Long-term accounts receivable and other receivables | 14.37%1.4T | 12.06%1.35T | 12.06%1.35T | 7.63%1.38T | 8.45%1.34T | 11.66%1.22T | --1.2T | --1.2T | 31.99%1.29T | 30.75%1.23T |
Goodwill and other intangible assets | 7.23%347.74B | 4.34%332.72B | 4.34%332.72B | 19.51%346.65B | 34.23%344.8B | 200.66%324.28B | 232.58%318.89B | 232.58%318.89B | 250.59%290.06B | 219.80%256.88B |
-Goodwill | 11.39%154.44B | 8.26%145.72B | 8.26%145.72B | -16.03%152.38B | -3.31%150.38B | --138.65B | 1,199.83%134.6B | 1,199.83%134.6B | --181.47B | --155.52B |
-Other intangible assets | 4.13%193.3B | 1.47%187B | 1.47%187B | 78.90%194.27B | 91.82%194.42B | --185.63B | 115.47%184.29B | 115.47%184.29B | --108.59B | --101.36B |
Deferred tax assets-non current | 46.63%102.03B | 26.72%96.09B | 26.72%96.09B | 27.52%82.98B | 19.37%73.27B | 26.37%69.58B | 50.38%75.83B | 50.38%75.83B | 28.19%65.08B | 25.23%61.38B |
Other non current assets | 81.04%40.16B | 72.17%38.79B | 72.17%38.79B | -31.45%24.51B | -32.43%24.51B | -39.11%22.18B | -37.09%22.53B | -37.09%22.53B | 38.23%35.75B | 32.40%36.27B |
Total non current assets | 15.71%2.91T | 12.17%2.78T | 12.17%2.78T | 11.02%2.78T | 13.69%2.7T | 22.78%2.52T | 29.96%2.48T | 29.96%2.48T | 40.48%2.51T | 38.38%2.38T |
Total assets | 17.01%5.75T | 12.47%5.36T | 12.47%5.36T | 13.77%5.44T | 14.65%5.22T | 17.98%4.92T | 26.27%4.77T | 26.27%4.77T | 36.88%4.78T | 32.74%4.55T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 5.82%931.08B | 1.27%807.9B | 1.27%807.9B | -2.86%769.08B | 0.08%732.7B | 11.41%879.89B | 32.73%797.78B | 32.73%797.78B | 63.10%791.7B | 41.66%732.09B |
-Current debt and capital lease obligation | 6.34%779.64B | 3.50%663.29B | 3.50%663.29B | -9.47%627.93B | -7.43%588.35B | 6.68%733.19B | 27.08%640.89B | 27.08%640.89B | 73.95%693.63B | 45.25%635.57B |
-Including:Current debt | 6.34%779.64B | 3.50%663.29B | 3.50%663.29B | -9.47%627.93B | -7.43%588.35B | 6.68%733.19B | 27.08%640.89B | 27.08%640.89B | 73.95%693.63B | 45.25%635.57B |
-Other financial liabilities | 3.23%151.44B | -7.83%144.6B | -7.83%144.6B | 43.94%141.15B | 49.55%144.34B | 43.07%146.7B | 62.17%156.89B | 62.17%156.89B | 13.16%98.06B | 21.83%96.52B |
Payables | -8.91%351.28B | -31.04%330.61B | -31.04%330.61B | -13.08%350.55B | -23.68%318.97B | -4.45%385.66B | 12.57%479.43B | 12.57%479.43B | 12.21%403.32B | 16.90%417.93B |
-accounts payable | -9.36%315.59B | -33.84%300.9B | -33.84%300.9B | -15.45%326.73B | -24.87%295.52B | -8.03%348.16B | 15.92%454.78B | 15.92%454.78B | 17.44%386.44B | 19.70%393.35B |
-Total tax payable | -4.81%35.69B | 20.53%29.71B | 20.53%29.71B | 41.07%23.81B | -4.62%23.45B | 49.58%37.5B | -26.53%24.65B | -26.53%24.65B | -44.46%16.88B | -14.96%24.58B |
Current provisions | 15.24%78.45B | 17.27%77.19B | 17.27%77.19B | 14.21%72.74B | 15.44%71.25B | 26.05%68.08B | 26.08%65.82B | 26.08%65.82B | 53.43%63.69B | 46.75%61.72B |
Accrued and deferred income | -5.29%35.67B | -1.39%33.04B | -1.39%33.04B | --38.55B | --34.87B | --37.66B | 43.19%33.51B | 43.19%33.51B | ---- | ---- |
Other current liabilities | 20.79%272.97B | 18.01%244.32B | 18.01%244.32B | -20.69%246.51B | -16.18%232.23B | -8.53%225.98B | -1.96%207.04B | -1.96%207.04B | 43.12%310.81B | 35.34%277.08B |
Current liabilities | 4.52%1.67T | -5.72%1.49T | -5.72%1.49T | -5.87%1.48T | -6.64%1.39T | 6.88%1.6T | 20.54%1.58T | 20.54%1.58T | 42.23%1.57T | 32.80%1.49T |
Non current liabilities | ||||||||||
Non current financial liabilities | 33.60%1.43T | 35.62%1.37T | 35.62%1.37T | 47.47%1.46T | 54.04%1.39T | 46.55%1.07T | 62.19%1.01T | 62.19%1.01T | 63.29%988.19B | 65.00%904.33B |
-Long term debt and capital lease obligation | 34.70%1.38T | 36.76%1.33T | 36.76%1.33T | 48.58%1.42T | 54.78%1.35T | 47.32%1.03T | 64.39%970.22B | 64.39%970.22B | 65.59%957.39B | 68.59%875.15B |
-Including:Long term debt | 34.70%1.38T | 36.76%1.33T | 36.76%1.33T | 48.58%1.42T | 54.78%1.35T | 47.32%1.03T | 64.39%970.22B | 64.39%970.22B | 65.59%957.39B | 68.59%875.15B |
-Other financial liabilities-Non current | 5.59%42.28B | 8.67%44.7B | 8.67%44.7B | 12.72%34.71B | 31.90%38.49B | 29.22%40.04B | 23.25%41.14B | 23.25%41.14B | 14.04%30.79B | 0.69%29.18B |
Long term pension and other post-retirement benefit plans | 10.27%16.02B | 11.29%15.91B | 11.29%15.91B | -2.24%15.7B | -1.77%15.5B | -4.53%14.53B | -4.07%14.29B | -4.07%14.29B | -0.06%16.06B | -3.22%15.78B |
Non current deferred liabilities | 23.21%58.82B | 19.24%55.65B | 19.24%55.65B | 89.23%55.85B | 78.92%58.66B | 65.44%47.74B | 50.38%46.67B | 50.38%46.67B | 4.01%29.51B | 14.71%32.78B |
Other non current liabilities | -1.60%7.02B | 4.06%6.94B | 4.06%6.94B | 21.18%7.49B | 17.80%7.49B | 33.79%7.14B | 25.36%6.67B | 25.36%6.67B | 40.93%6.18B | 46.35%6.36B |
Total non current liabilities | 32.65%1.51T | 34.40%1.45T | 34.40%1.45T | 47.73%1.54T | 53.73%1.47T | 46.17%1.14T | 59.90%1.08T | 59.90%1.08T | 59.01%1.04T | 60.60%959.25B |
Total liabilities | 16.22%3.18T | 10.54%2.94T | 10.54%2.94T | 15.49%3.01T | 17.02%2.86T | 20.33%2.73T | 33.89%2.66T | 33.89%2.66T | 48.47%2.61T | 42.46%2.45T |
Shareholders'equity | ||||||||||
Share capital | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B |
-common stock | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B | 0.00%84.13B |
Additional paid-in capital | 22.73%97.73B | 22.88%97.38B | 22.88%97.38B | 18.51%97.57B | 17.44%97.77B | -6.19%79.63B | -6.64%79.25B | -6.64%79.25B | -3.03%82.33B | -1.88%83.24B |
Retained earnings | 10.57%1.74T | 10.75%1.69T | 10.75%1.69T | 7.71%1.64T | 7.07%1.63T | 6.05%1.57T | 6.22%1.53T | 6.22%1.53T | 6.57%1.52T | 8.24%1.52T |
Less: Treasury stock | -9.78%3.21B | -9.78%3.21B | -9.78%3.21B | 124.03%7.98B | 55.44%23.18B | 2,555.22%3.56B | 2,554.48%3.56B | 2,554.48%3.56B | 684.58%3.56B | 3,191.17%14.91B |
Other equity interest | 91.67%404.48B | 63.84%303.79B | 63.84%303.79B | 32.82%373.73B | 44.52%336.65B | 69.37%211.04B | 166.71%185.42B | 166.71%185.42B | 666.16%281.39B | 592.61%232.94B |
Total stockholders'equity | 19.46%2.32T | 16.07%2.18T | 16.07%2.18T | 11.22%2.18T | 11.41%2.13T | 9.43%1.94T | 11.71%1.87T | 11.71%1.87T | 20.39%1.96T | 18.59%1.91T |
Noncontrolling interests | 6.14%253.89B | 5.39%240.29B | 5.39%240.29B | 16.31%239.8B | 16.71%229.17B | 100.57%239.21B | 112.93%228B | 112.93%228B | 100.27%206.16B | 92.34%196.37B |
Total equity | 18.00%2.58T | 14.91%2.42T | 14.91%2.42T | 11.70%2.42T | 11.90%2.36T | 15.17%2.18T | 17.78%2.1T | 17.78%2.1T | 25.13%2.17T | 22.98%2.11T |
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 |
No Data