(Q2)May 31, 2024 | (Q1)Feb 29, 2024 | (FY)Nov 30, 2023 | (Q4)Nov 30, 2023 | (Q3)Aug 31, 2023 | (Q2)May 31, 2023 | (Q1)Feb 28, 2023 | (FY)Nov 30, 2022 | (Q4)Nov 30, 2022 | (Q3)Aug 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -12.93%2.01B | -2.66%1.99B | -9.27%2.12B | -9.27%2.12B | -4.49%2.15B | 9.08%2.31B | 8.70%2.05B | 19.79%2.34B | 19.79%2.34B | 40.32%2.25B |
-Cash and cash equivalents | -12.93%2.01B | -2.66%1.99B | -9.27%2.12B | -9.27%2.12B | -4.49%2.15B | 9.08%2.31B | 8.70%2.05B | 19.79%2.34B | 19.79%2.34B | 40.32%2.25B |
Receivables | -21.95%251.92M | 30.15%379.15M | 205.80%345.01M | 205.80%345.01M | 202.93%331.39M | 193.11%322.75M | 168.92%291.31M | -11.28%112.82M | -11.28%112.82M | 3.66%109.39M |
-Accounts receivable | 29.84%246.74M | 39.93%365.21M | 144.17%196.56M | 144.17%196.56M | 117.74%178.42M | 137.71%190.03M | 226.91%261M | -11.06%80.5M | -11.06%80.5M | 5.88%81.94M |
-Gross accounts receivable | 29.84%246.74M | 39.93%365.21M | 144.17%196.56M | 144.17%196.56M | 117.74%178.42M | 137.71%190.03M | 226.91%261M | -11.06%80.5M | -11.06%80.5M | 5.88%81.94M |
-Other receivables | -96.09%5.19M | -54.01%13.94M | 359.29%148.44M | 359.29%148.44M | 457.22%152.96M | 339.89%132.73M | 6.39%30.31M | -11.83%32.32M | -11.83%32.32M | -2.45%27.45M |
Inventory | 446.35%206.26M | 118.92%271.35M | 173.68%299.49M | 173.68%299.49M | --175.63M | --37.75M | --123.95M | --109.43M | --109.43M | ---- |
Prepaid assets | 50.03%55.23M | 39.25%46.44M | 38.10%22.03M | 38.10%22.03M | 67.88%36.95M | 0.82%36.81M | -23.49%33.35M | -54.79%15.95M | -54.79%15.95M | -60.11%22.01M |
Other current assets | 4,022.70%7.63M | -81.79%4.64M | 757.75%1.23M | 757.75%1.23M | 1,361.43%7.39M | 110.83%185K | 2,094.44%25.49M | 89.45%-187K | 89.45%-187K | 38.25%-586K |
Total current assets | -6.47%2.53B | 6.86%2.7B | 8.28%2.79B | 8.28%2.79B | 13.44%2.7B | 19.66%2.71B | 23.95%2.52B | 21.95%2.57B | 21.95%2.57B | 35.02%2.38B |
Non current assets | ||||||||||
Net PPE | 101.13%361.51M | 76.99%276.58M | 25.54%190.22M | 25.54%190.22M | 502.88%193.07M | 469.00%179.74M | 391.37%156.27M | 84.99%151.52M | 84.99%151.52M | -65.53%32.03M |
-Gross PP&E | 101.13%361.51M | 76.99%276.58M | 25.54%190.22M | 25.54%190.22M | 502.88%193.07M | 469.00%179.74M | 391.37%156.27M | 84.99%151.52M | 84.99%151.52M | -65.53%32.03M |
Prepaid assets-non current | ---- | ---- | --0 | --0 | --0 | --0 | -80.37%21K | -67.19%42K | -67.19%42K | -70.64%64K |
Total investment | -4.76%99.98M | -4.76%99.98M | 1,999.60%104.98M | 1,999.60%104.98M | --104.98M | --104.98M | --104.98M | --5M | --5M | ---- |
-Long-term equity investment | --0 | --0 | 0.00%5M | 0.00%5M | --5M | --5M | --5M | --5M | --5M | ---- |
-Financial asset investment | 0.00%99.98M | 0.00%99.98M | --99.98M | --99.98M | --99.98M | --99.98M | --99.98M | --0 | --0 | ---- |
-Including:Available-for-sale securities | 0.00%99.98M | 0.00%99.98M | --99.98M | --99.98M | --99.98M | --99.98M | --99.98M | ---- | ---- | ---- |
Goodwill and other intangible assets | 231.28%427.65M | 363.42%397.88M | 485.51%305.53M | 485.51%305.53M | 1,306.85%258.59M | --129.09M | --85.86M | 26,660.00%52.18M | 26,660.00%52.18M | --18.38M |
-Goodwill | --50.35M | --51.75M | ---- | ---- | --83.48M | ---- | ---- | ---- | ---- | ---- |
-Other intangible assets | 192.27%377.3M | 303.14%346.13M | 485.51%305.53M | 485.51%305.53M | 852.71%175.12M | --129.09M | --85.86M | 26,660.00%52.18M | 26,660.00%52.18M | --18.38M |
Deferred tax assets-non current | 30.67%53.81M | 68.75%44.78M | 116.81%54.15M | 116.81%54.15M | 29.99%41.29M | 156.65%41.18M | --26.54M | --24.98M | --24.98M | --31.76M |
Other non current assets | 8.49%115K | 8.49%115K | 9.38%105K | 9.38%105K | 960.00%106K | 960.00%106K | -65.81%106K | -69.03%96K | -69.03%96K | -66.67%10K |
Total non current assets | 107.22%943.07M | 119.21%819.34M | 180.12%654.98M | 180.12%654.98M | 627.16%598.04M | 853.47%455.1M | 1,060.05%373.77M | 183.28%233.82M | 183.28%233.82M | -11.73%82.24M |
Total assets | 9.89%3.48B | 21.36%3.51B | 22.60%3.44B | 22.60%3.44B | 33.96%3.3B | 36.89%3.16B | 40.10%2.9B | 28.02%2.81B | 28.02%2.81B | 32.67%2.46B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -32.87%490.09M | -8.30%632.74M | -11.10%533.42M | -11.10%533.42M | -21.13%473.2M | 23.74%730.04M | 33.99%690.04M | -7.69%600.04M | -7.69%600.04M | -1.64%600M |
-Current debt and capital lease obligation | -32.87%490.09M | -8.30%632.74M | -11.10%533.42M | -11.10%533.42M | -21.13%473.2M | 23.74%730.04M | 33.99%690.04M | -7.69%600.04M | -7.69%600.04M | -1.64%600M |
-Including:Current debt | -33.33%486.72M | -8.78%629.44M | -11.64%530.19M | -11.64%530.19M | -21.66%470.04M | 23.74%730.04M | 33.99%690.04M | -7.69%600.04M | -7.69%600.04M | -1.64%600M |
-Including:Current capital Lease obligation | --3.37M | --3.3M | --3.23M | --3.23M | --3.17M | ---- | ---- | --0 | --0 | ---- |
Payables | 5.66%212.29M | 23.86%210.78M | 7.02%192.11M | 7.02%192.11M | 32.43%181.09M | 79.31%200.92M | 133.50%170.18M | 91.74%179.5M | 91.74%179.5M | 125.22%136.74M |
-accounts payable | 1,635.96%1.55M | 132.57%21.36M | --24.85M | --24.85M | --11.87M | --89K | --9.19M | --0 | --0 | ---- |
-Total tax payable | -0.16%76.83M | 38.96%62.52M | -41.05%59.68M | -41.05%59.68M | -49.13%42.26M | 31.48%76.95M | 94.92%44.99M | 559.45%101.25M | 559.45%101.25M | 924.76%83.07M |
-Other payable | 8.10%133.92M | 9.39%126.9M | 37.46%107.57M | 37.46%107.57M | 136.54%126.96M | 131.45%123.88M | 132.94%116M | -0.01%78.26M | -0.01%78.26M | 2.02%53.67M |
Current provisions | --3.21M | --2.86M | ---- | ---- | --4.94M | ---- | ---- | ---- | ---- | ---- |
Pension and other retirement benefit plans | 27.59%49.38M | 44.88%25.64M | 14.57%41.19M | 14.57%41.19M | 24.85%22.75M | -6.37%38.7M | -9.36%17.7M | 2.24%35.95M | 2.24%35.95M | 14.70%18.22M |
Accrued and deferred income | -12.37%181.44M | 12.44%170.65M | 20.41%199.88M | 20.41%199.88M | 1.16%199.73M | 31.60%207.04M | -11.42%151.77M | 30.49%166M | 30.49%166M | 64.68%197.43M |
Other current liabilities | 24.78%18.13M | 33.71%26.34M | 0.28%15.21M | 0.28%15.21M | 18.28%24.1M | 25.24%14.53M | 25.76%19.7M | 61.62%15.17M | 61.62%15.17M | 65.59%20.37M |
Current liabilities | -19.87%954.54M | 1.87%1.07B | -1.49%981.81M | -1.49%981.81M | -6.88%905.8M | 30.57%1.19B | 32.10%1.05B | 8.48%996.66M | 8.48%996.66M | 14.59%972.77M |
Non current liabilities | ||||||||||
Non current financial liabilities | 65.45%937.45M | 54.01%880.35M | 58.03%911.21M | 58.03%911.21M | 91.89%959.45M | 13.32%566.6M | 14.32%571.61M | 15.32%576.62M | 15.32%576.62M | 0.00%500M |
-Long term debt and capital lease obligation | 65.45%937.45M | 54.01%880.35M | 58.03%911.21M | 58.03%911.21M | 91.89%959.45M | 13.32%566.6M | 14.32%571.61M | 15.32%576.62M | 15.32%576.62M | 0.00%500M |
-Including:Long term debt | 63.34%925.48M | 51.77%867.51M | 55.65%897.52M | 55.65%897.52M | 88.99%944.93M | 13.32%566.6M | 14.32%571.61M | 15.32%576.62M | 15.32%576.62M | 0.00%500M |
-Including:Long term capital lease obligation | --11.97M | --12.84M | --13.69M | --13.69M | --14.53M | ---- | ---- | --0 | --0 | ---- |
Long term provisions | -42.96%8.29M | -42.90%8.28M | -23.15%11.15M | -23.15%11.15M | -23.14%11.14M | 0.21%14.52M | 0.13%14.51M | 0.13%14.5M | 0.13%14.5M | 24.80%14.5M |
Non current deferred liabilities | -47.26%5.48M | -44.05%8.26M | -29.75%10.47M | -29.75%10.47M | --13.77M | --10.38M | --14.77M | --14.91M | --14.91M | ---- |
Other non current liabilities | 100.00%2K | ---- | 0.00%1K | 0.00%1K | 100.00%2K | 0.00%1K | --1K | -50.00%1K | -50.00%1K | -99.97%1K |
Total non current liabilities | 60.81%951.21M | 49.26%896.9M | 53.92%932.83M | 53.92%932.83M | 91.33%984.37M | 14.97%591.51M | 16.79%600.89M | 17.79%606.03M | 17.79%606.03M | -0.02%514.5M |
Total liabilities | 6.90%1.91B | 19.13%1.97B | 19.46%1.91B | 19.46%1.91B | 27.09%1.89B | 24.95%1.78B | 26.08%1.65B | 11.83%1.6B | 11.83%1.6B | 9.08%1.49B |
Shareholders'equity | ||||||||||
Share capital | 0.87%761.25M | 1.60%761.25M | 2.19%760.46M | 2.19%760.46M | 7.24%754.68M | 7.24%754.68M | 9.40%749.24M | 8.66%744.14M | 8.66%744.14M | 34.51%703.72M |
-common stock | 0.87%761.25M | 1.60%761.25M | 2.19%760.46M | 2.19%760.46M | 7.24%754.68M | 7.24%754.68M | 9.40%749.24M | 8.66%744.14M | 8.66%744.14M | 34.51%703.72M |
Additional paid-in capital | 0.88%754.25M | 1.62%754.25M | 2.21%753.46M | 2.21%753.46M | 7.32%747.68M | 7.32%747.68M | 9.50%742.24M | 8.75%737.14M | 8.75%737.14M | 34.98%696.72M |
Retained earnings | 105.82%8.73M | 97.10%-7.73M | 91.03%-26.36M | 91.03%-26.36M | 70.25%-131.36M | 71.48%-150.08M | 56.22%-266.85M | 51.35%-293.73M | 51.35%-293.73M | 19.91%-441.57M |
Less: Treasury stock | 18.70%273K | 18.70%273K | 18.70%273K | 18.70%273K | 67.48%273K | 41.10%230K | 41.10%230K | 41.10%230K | 41.10%230K | 0.00%163K |
Other equity interest | 63.98%45.78M | 92.58%41.36M | 130.54%39.61M | 130.54%39.61M | 146.42%34.36M | 194.78%27.92M | 309.63%21.48M | 2,131.43%17.18M | 2,131.43%17.18M | 385.85%13.94M |
Total stockholders'equity | 13.75%1.57B | 24.32%1.55B | 26.77%1.53B | 26.77%1.53B | 44.46%1.41B | 56.17%1.38B | 64.30%1.25B | 58.59%1.2B | 58.59%1.2B | 98.22%972.65M |
Total equity | 13.75%1.57B | 24.32%1.55B | 26.77%1.53B | 26.77%1.53B | 44.46%1.41B | 56.17%1.38B | 64.30%1.25B | 58.59%1.2B | 58.59%1.2B | 98.22%972.65M |
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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