JP Stock MarketDetailed Quotes

6745 Hochiki

Watchlist
  • 1869
  • -37-1.94%
20min DelayMarket Closed Sep 13 15:00 JST
53.85BMarket Cap8.19P/E (Static)

Hochiki Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-24.04%11.63B
-24.04%11.63B
-14.80%12.51B
-9.33%14.63B
-8.06%15.33B
-17.76%15.31B
-17.76%15.31B
-3.21%14.69B
15.68%16.13B
29.99%16.67B
-Cash and cash equivalents
-24.04%11.63B
-24.04%11.63B
-14.80%12.51B
-9.33%14.63B
-8.06%15.33B
-17.76%15.31B
-17.76%15.31B
-3.21%14.69B
15.68%16.13B
29.99%16.67B
Receivables
7.20%27.66B
7.20%27.66B
8.03%24.2B
6.11%21.43B
6.45%18.9B
12.11%25.8B
12.11%25.8B
7.35%22.4B
7.88%20.2B
5.37%17.75B
-Accounts receivable
7.20%27.66B
7.20%27.66B
8.03%24.2B
6.11%21.43B
6.45%18.9B
12.11%25.8B
12.11%25.8B
7.35%22.4B
7.88%20.2B
5.37%17.75B
-Gross accounts receivable
7.20%27.66B
7.20%27.66B
8.03%24.2B
6.11%21.43B
6.45%18.9B
12.11%25.8B
12.11%25.8B
7.35%22.4B
7.88%20.2B
5.37%17.75B
Inventory
35.74%18B
35.74%18B
39.20%17.75B
40.23%16.99B
40.21%15.72B
33.72%13.26B
33.72%13.26B
32.35%12.75B
30.85%12.11B
18.85%11.21B
Other current assets
12.13%4.48B
12.13%4.48B
9.77%4.03B
7.11%3.31B
-3.80%3.98B
0.10%4B
0.10%4B
-1.40%3.67B
-2.34%3.09B
-2.04%4.14B
Total current assets
5.82%61.77B
5.82%61.77B
9.31%58.5B
9.36%56.36B
8.34%53.93B
5.09%58.37B
5.09%58.37B
8.32%53.52B
14.29%51.54B
14.87%49.77B
Non current assets
Net PPE
12.77%12.27B
12.77%12.27B
14.98%11.44B
9.82%11.05B
12.62%11.12B
12.10%10.88B
12.10%10.88B
6.19%9.95B
7.60%10.06B
4.90%9.87B
-Gross PP&E
12.78%12.27B
12.78%12.27B
14.98%11.43B
9.83%11.05B
12.62%11.12B
12.09%10.88B
12.09%10.88B
6.18%9.94B
7.59%10.06B
4.90%9.87B
Total investment
52.45%5.88B
52.45%5.88B
----
----
----
-1.58%3.86B
-1.58%3.86B
----
----
----
-Financial asset investment
52.45%5.88B
52.45%5.88B
----
----
----
-1.58%3.86B
-1.58%3.86B
----
----
----
-Including:Available-for-sale securities
52.45%5.88B
52.45%5.88B
----
----
----
-1.58%3.86B
-1.58%3.86B
----
----
----
Goodwill and other intangible assets
-2.39%857M
-2.39%857M
-10.30%827M
4.16%827M
0.12%834M
2.81%878M
2.81%878M
2.10%922M
-15.71%794M
-17.20%833M
-Goodwill
-25.91%223M
-25.91%223M
-24.06%243M
71.24%262M
69.28%281M
68.16%301M
68.16%301M
66.67%320M
-25.37%153M
-23.50%166M
-Other intangible assets
9.88%634M
9.88%634M
-2.99%584M
-11.86%565M
-17.09%553M
-14.52%577M
-14.52%577M
-15.33%602M
-13.03%641M
-15.46%667M
Defined pension benefit
46.50%901M
46.50%901M
----
----
----
-6.11%615M
-6.11%615M
----
----
----
Deferred tax assets-non current
-15.25%1.82B
-15.25%1.82B
----
----
----
-3.63%2.15B
-3.63%2.15B
----
----
----
Other non current assets
63.06%1.74B
63.06%1.74B
11.00%8.14B
8.15%8.23B
5.60%8.33B
5.98%1.06B
5.98%1.06B
2.17%7.34B
0.25%7.61B
2.15%7.89B
Total non current assets
20.67%23.47B
20.67%23.47B
12.10%20.4B
8.89%20.11B
9.09%20.28B
5.86%19.45B
5.86%19.45B
4.33%18.2B
3.25%18.47B
2.50%18.59B
Total assets
9.53%85.23B
9.53%85.23B
10.02%78.9B
9.23%76.47B
8.55%74.21B
5.28%77.82B
5.28%77.82B
7.28%71.72B
11.16%70.01B
11.22%68.36B
Liabilities
Current liabilities
Financial liabilities
16.31%271M
16.31%271M
----
----
----
126.21%233M
126.21%233M
----
----
----
-Current debt and capital lease obligation
16.31%271M
16.31%271M
----
----
----
126.21%233M
126.21%233M
----
----
----
-Including:Current capital Lease obligation
16.31%271M
16.31%271M
----
----
----
126.21%233M
126.21%233M
----
----
----
Payables
14.75%11.75B
14.75%11.75B
11.47%4.87B
11.23%4.81B
14.01%4.48B
-0.17%10.24B
-0.17%10.24B
-4.06%4.37B
9.30%4.33B
6.22%3.93B
-accounts payable
4.16%4.43B
4.16%4.43B
-0.40%4.02B
6.50%4.34B
12.50%4.19B
1.02%4.26B
1.02%4.26B
5.40%4.04B
16.33%4.08B
8.62%3.73B
-Total tax payable
56.35%2.11B
56.35%2.11B
158.10%844M
88.05%472M
42.21%283M
-24.54%1.35B
-24.54%1.35B
-54.52%327M
-44.84%251M
-24.91%199M
-Other payable
12.39%5.21B
12.39%5.21B
----
----
----
8.89%4.63B
8.89%4.63B
----
----
----
Current provisions
-28.13%741M
-28.13%741M
-29.51%798M
-31.71%909M
-27.67%920M
-19.45%1.03B
-19.45%1.03B
87.42%1.13B
103.21%1.33B
78.65%1.27B
Pension and other retirement benefit plans
30.51%77M
30.51%77M
----
----
----
3.51%59M
3.51%59M
----
----
----
Accrued and deferred income
41.38%533M
41.38%533M
----
----
----
-7.82%377M
-7.82%377M
----
----
----
Other current liabilities
-7.48%11.79B
-7.48%11.79B
11.55%17.37B
9.95%16.05B
12.23%15.63B
4.77%12.74B
4.77%12.74B
7.21%15.57B
17.71%14.6B
13.46%13.93B
Current liabilities
1.94%25.15B
1.94%25.15B
9.33%23.04B
7.49%21.77B
9.94%21.03B
1.71%24.67B
1.71%24.67B
7.07%21.07B
19.04%20.26B
14.64%19.13B
Non current liabilities
Non current financial liabilities
100.46%868M
100.46%868M
----
----
----
5.61%433M
5.61%433M
----
----
----
-Long term debt and capital lease obligation
100.46%868M
100.46%868M
----
----
----
5.61%433M
5.61%433M
----
----
----
-Including:Long term debt
--0
--0
----
----
----
--20M
--20M
----
----
----
-Including:Long term capital lease obligation
110.17%868M
110.17%868M
----
----
----
0.73%413M
0.73%413M
----
----
----
Long term provisions
20.33%148M
20.33%148M
----
----
----
12.84%123M
12.84%123M
----
----
----
Long term pension and other post-retirement benefit plans
-1.27%5.37B
-1.27%5.37B
-1.52%5.37B
-1.77%5.39B
-0.93%5.45B
-0.51%5.44B
-0.51%5.44B
-0.37%5.46B
0.88%5.49B
1.20%5.5B
Non current deferred liabilities
-1.52%779M
-1.52%779M
----
----
----
2.33%791M
2.33%791M
----
----
----
Other non current liabilities
-50.00%11M
-50.00%11M
-11.28%1.29B
-10.42%1.3B
-8.80%1.35B
-51.11%22M
-51.11%22M
35.38%1.45B
31.49%1.45B
29.56%1.48B
Total non current liabilities
5.41%7.17B
5.41%7.17B
-3.57%6.66B
-3.58%6.69B
-2.59%6.8B
0.06%6.8B
0.06%6.8B
5.50%6.91B
6.04%6.93B
6.11%6.98B
Total liabilities
2.69%32.33B
2.69%32.33B
6.14%29.7B
4.67%28.46B
6.59%27.83B
1.35%31.48B
1.35%31.48B
6.67%27.98B
15.43%27.19B
12.23%26.11B
Shareholders'equity
Share capital
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
-common stock
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
0.00%3.8B
Additional paid-in capital
0.00%2.73B
0.00%2.73B
0.00%2.73B
0.00%2.73B
0.00%2.73B
0.00%2.73B
0.00%2.73B
-3.37%2.73B
-3.37%2.73B
-2.99%2.73B
Retained earnings
8.94%46.18B
8.94%46.18B
10.12%43.99B
9.95%42.67B
8.02%41.24B
8.12%42.39B
8.12%42.39B
6.22%39.94B
6.82%38.81B
8.48%38.18B
Less: Treasury stock
7.07%4.56B
7.07%4.56B
10.52%4.56B
10.36%4.56B
8.58%4.49B
2.95%4.26B
2.95%4.26B
-8.78%4.13B
-8.64%4.13B
-8.33%4.14B
Fixed asset revaluation reserve
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
0.00%-641M
Other reserves
142.18%5.23B
142.18%5.23B
97.78%3.74B
83.32%3.88B
64.53%3.6B
24.35%2.16B
24.35%2.16B
34.21%1.89B
41.63%2.12B
54.53%2.19B
Total stockholders'equity
14.21%52.74B
14.21%52.74B
12.52%49.05B
12.18%47.87B
9.78%46.23B
8.16%46.17B
8.16%46.17B
7.72%43.59B
8.65%42.68B
10.64%42.11B
Noncontrolling interests
5.49%173M
5.49%173M
5.59%151M
-0.70%141M
2.07%148M
1.23%164M
1.23%164M
-5.92%143M
-2.74%142M
2.84%145M
Total equity
14.18%52.91B
14.18%52.91B
12.50%49.2B
12.13%48.01B
9.75%46.38B
8.13%46.34B
8.13%46.34B
7.67%43.74B
8.60%42.82B
10.61%42.26B
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
(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(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -24.04%11.63B-24.04%11.63B-14.80%12.51B-9.33%14.63B-8.06%15.33B-17.76%15.31B-17.76%15.31B-3.21%14.69B15.68%16.13B29.99%16.67B
-Cash and cash equivalents -24.04%11.63B-24.04%11.63B-14.80%12.51B-9.33%14.63B-8.06%15.33B-17.76%15.31B-17.76%15.31B-3.21%14.69B15.68%16.13B29.99%16.67B
Receivables 7.20%27.66B7.20%27.66B8.03%24.2B6.11%21.43B6.45%18.9B12.11%25.8B12.11%25.8B7.35%22.4B7.88%20.2B5.37%17.75B
-Accounts receivable 7.20%27.66B7.20%27.66B8.03%24.2B6.11%21.43B6.45%18.9B12.11%25.8B12.11%25.8B7.35%22.4B7.88%20.2B5.37%17.75B
-Gross accounts receivable 7.20%27.66B7.20%27.66B8.03%24.2B6.11%21.43B6.45%18.9B12.11%25.8B12.11%25.8B7.35%22.4B7.88%20.2B5.37%17.75B
Inventory 35.74%18B35.74%18B39.20%17.75B40.23%16.99B40.21%15.72B33.72%13.26B33.72%13.26B32.35%12.75B30.85%12.11B18.85%11.21B
Other current assets 12.13%4.48B12.13%4.48B9.77%4.03B7.11%3.31B-3.80%3.98B0.10%4B0.10%4B-1.40%3.67B-2.34%3.09B-2.04%4.14B
Total current assets 5.82%61.77B5.82%61.77B9.31%58.5B9.36%56.36B8.34%53.93B5.09%58.37B5.09%58.37B8.32%53.52B14.29%51.54B14.87%49.77B
Non current assets
Net PPE 12.77%12.27B12.77%12.27B14.98%11.44B9.82%11.05B12.62%11.12B12.10%10.88B12.10%10.88B6.19%9.95B7.60%10.06B4.90%9.87B
-Gross PP&E 12.78%12.27B12.78%12.27B14.98%11.43B9.83%11.05B12.62%11.12B12.09%10.88B12.09%10.88B6.18%9.94B7.59%10.06B4.90%9.87B
Total investment 52.45%5.88B52.45%5.88B-------------1.58%3.86B-1.58%3.86B------------
-Financial asset investment 52.45%5.88B52.45%5.88B-------------1.58%3.86B-1.58%3.86B------------
-Including:Available-for-sale securities 52.45%5.88B52.45%5.88B-------------1.58%3.86B-1.58%3.86B------------
Goodwill and other intangible assets -2.39%857M-2.39%857M-10.30%827M4.16%827M0.12%834M2.81%878M2.81%878M2.10%922M-15.71%794M-17.20%833M
-Goodwill -25.91%223M-25.91%223M-24.06%243M71.24%262M69.28%281M68.16%301M68.16%301M66.67%320M-25.37%153M-23.50%166M
-Other intangible assets 9.88%634M9.88%634M-2.99%584M-11.86%565M-17.09%553M-14.52%577M-14.52%577M-15.33%602M-13.03%641M-15.46%667M
Defined pension benefit 46.50%901M46.50%901M-------------6.11%615M-6.11%615M------------
Deferred tax assets-non current -15.25%1.82B-15.25%1.82B-------------3.63%2.15B-3.63%2.15B------------
Other non current assets 63.06%1.74B63.06%1.74B11.00%8.14B8.15%8.23B5.60%8.33B5.98%1.06B5.98%1.06B2.17%7.34B0.25%7.61B2.15%7.89B
Total non current assets 20.67%23.47B20.67%23.47B12.10%20.4B8.89%20.11B9.09%20.28B5.86%19.45B5.86%19.45B4.33%18.2B3.25%18.47B2.50%18.59B
Total assets 9.53%85.23B9.53%85.23B10.02%78.9B9.23%76.47B8.55%74.21B5.28%77.82B5.28%77.82B7.28%71.72B11.16%70.01B11.22%68.36B
Liabilities
Current liabilities
Financial liabilities 16.31%271M16.31%271M------------126.21%233M126.21%233M------------
-Current debt and capital lease obligation 16.31%271M16.31%271M------------126.21%233M126.21%233M------------
-Including:Current capital Lease obligation 16.31%271M16.31%271M------------126.21%233M126.21%233M------------
Payables 14.75%11.75B14.75%11.75B11.47%4.87B11.23%4.81B14.01%4.48B-0.17%10.24B-0.17%10.24B-4.06%4.37B9.30%4.33B6.22%3.93B
-accounts payable 4.16%4.43B4.16%4.43B-0.40%4.02B6.50%4.34B12.50%4.19B1.02%4.26B1.02%4.26B5.40%4.04B16.33%4.08B8.62%3.73B
-Total tax payable 56.35%2.11B56.35%2.11B158.10%844M88.05%472M42.21%283M-24.54%1.35B-24.54%1.35B-54.52%327M-44.84%251M-24.91%199M
-Other payable 12.39%5.21B12.39%5.21B------------8.89%4.63B8.89%4.63B------------
Current provisions -28.13%741M-28.13%741M-29.51%798M-31.71%909M-27.67%920M-19.45%1.03B-19.45%1.03B87.42%1.13B103.21%1.33B78.65%1.27B
Pension and other retirement benefit plans 30.51%77M30.51%77M------------3.51%59M3.51%59M------------
Accrued and deferred income 41.38%533M41.38%533M-------------7.82%377M-7.82%377M------------
Other current liabilities -7.48%11.79B-7.48%11.79B11.55%17.37B9.95%16.05B12.23%15.63B4.77%12.74B4.77%12.74B7.21%15.57B17.71%14.6B13.46%13.93B
Current liabilities 1.94%25.15B1.94%25.15B9.33%23.04B7.49%21.77B9.94%21.03B1.71%24.67B1.71%24.67B7.07%21.07B19.04%20.26B14.64%19.13B
Non current liabilities
Non current financial liabilities 100.46%868M100.46%868M------------5.61%433M5.61%433M------------
-Long term debt and capital lease obligation 100.46%868M100.46%868M------------5.61%433M5.61%433M------------
-Including:Long term debt --0--0--------------20M--20M------------
-Including:Long term capital lease obligation 110.17%868M110.17%868M------------0.73%413M0.73%413M------------
Long term provisions 20.33%148M20.33%148M------------12.84%123M12.84%123M------------
Long term pension and other post-retirement benefit plans -1.27%5.37B-1.27%5.37B-1.52%5.37B-1.77%5.39B-0.93%5.45B-0.51%5.44B-0.51%5.44B-0.37%5.46B0.88%5.49B1.20%5.5B
Non current deferred liabilities -1.52%779M-1.52%779M------------2.33%791M2.33%791M------------
Other non current liabilities -50.00%11M-50.00%11M-11.28%1.29B-10.42%1.3B-8.80%1.35B-51.11%22M-51.11%22M35.38%1.45B31.49%1.45B29.56%1.48B
Total non current liabilities 5.41%7.17B5.41%7.17B-3.57%6.66B-3.58%6.69B-2.59%6.8B0.06%6.8B0.06%6.8B5.50%6.91B6.04%6.93B6.11%6.98B
Total liabilities 2.69%32.33B2.69%32.33B6.14%29.7B4.67%28.46B6.59%27.83B1.35%31.48B1.35%31.48B6.67%27.98B15.43%27.19B12.23%26.11B
Shareholders'equity
Share capital 0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B
-common stock 0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B0.00%3.8B
Additional paid-in capital 0.00%2.73B0.00%2.73B0.00%2.73B0.00%2.73B0.00%2.73B0.00%2.73B0.00%2.73B-3.37%2.73B-3.37%2.73B-2.99%2.73B
Retained earnings 8.94%46.18B8.94%46.18B10.12%43.99B9.95%42.67B8.02%41.24B8.12%42.39B8.12%42.39B6.22%39.94B6.82%38.81B8.48%38.18B
Less: Treasury stock 7.07%4.56B7.07%4.56B10.52%4.56B10.36%4.56B8.58%4.49B2.95%4.26B2.95%4.26B-8.78%4.13B-8.64%4.13B-8.33%4.14B
Fixed asset revaluation reserve 0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M0.00%-641M
Other reserves 142.18%5.23B142.18%5.23B97.78%3.74B83.32%3.88B64.53%3.6B24.35%2.16B24.35%2.16B34.21%1.89B41.63%2.12B54.53%2.19B
Total stockholders'equity 14.21%52.74B14.21%52.74B12.52%49.05B12.18%47.87B9.78%46.23B8.16%46.17B8.16%46.17B7.72%43.59B8.65%42.68B10.64%42.11B
Noncontrolling interests 5.49%173M5.49%173M5.59%151M-0.70%141M2.07%148M1.23%164M1.23%164M-5.92%143M-2.74%142M2.84%145M
Total equity 14.18%52.91B14.18%52.91B12.50%49.2B12.13%48.01B9.75%46.38B8.13%46.34B8.13%46.34B7.67%43.74B8.60%42.82B10.61%42.26B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Heat List
JP
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