(Q2)Sep 30, 2024 | (Q1)Jun 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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 2.24%429.26B | 7.14%454.76B | 15.98%460.33B | 15.98%460.33B | 11.18%411.28B | 4.48%419.87B | 0.24%424.47B | -13.38%396.9B | -13.38%396.9B | -15.04%369.92B |
-Cash and cash equivalents | -1.97%386.86B | 4.66%418.11B | 13.73%424.79B | 13.73%424.79B | 13.75%381.17B | 4.38%394.65B | 3.93%399.47B | -9.81%373.5B | -9.81%373.5B | -13.70%335.11B |
-Short term investments | 68.11%42.4B | 46.64%36.66B | 51.87%35.54B | 51.87%35.54B | -13.49%30.11B | 5.99%25.22B | -35.99%25B | -46.91%23.4B | -46.91%23.4B | -26.14%34.81B |
-Accounts receivable | -5.94%358.75B | 7.49%379.03B | 2.95%392.21B | 2.95%392.21B | -0.88%371.45B | -0.61%381.39B | -4.36%352.63B | 0.50%380.97B | 0.50%380.97B | 4.15%374.74B |
Inventory | -9.70%525.77B | -1.87%564.81B | 0.15%540.23B | 0.15%540.23B | -0.31%554.69B | 4.06%582.23B | 9.18%575.59B | 19.21%539.44B | 19.21%539.44B | 31.78%556.4B |
Other current assets | 6.22%49.17B | 11.46%52.18B | 16.47%46.58B | 16.47%46.58B | 4.47%46.43B | 2.02%46.29B | 4.10%46.82B | 1.67%40B | 1.67%40B | 24.56%44.44B |
Total current assets | -4.67%1.36T | 3.66%1.45T | 6.04%1.44T | 6.04%1.44T | 2.85%1.38T | 2.83%1.43T | 2.58%1.4T | 2.12%1.36T | 2.12%1.36T | 7.37%1.35T |
Non current assets | ||||||||||
Net PPE | 6.48%743.78B | 13.02%769.76B | 15.16%748.63B | 15.16%748.63B | 12.91%699.16B | 12.12%698.5B | 12.93%681.06B | 17.58%650.1B | 17.58%650.1B | 18.64%619.24B |
-Gross PPE | 6.48%743.78B | 13.02%769.76B | 15.16%748.63B | 15.16%748.63B | 12.91%699.16B | 12.12%698.5B | 12.93%681.06B | 17.58%650.1B | 17.58%650.1B | 18.64%619.24B |
-Long term equity investment | -0.38%1.69T | -4.47%1.59T | 8.59%1.66T | 8.59%1.66T | 12.70%1.67T | 8.32%1.7T | 5.01%1.66T | 2.70%1.53T | 2.70%1.53T | 16.13%1.48T |
-Financial asset investment | 5.34%47.72B | 8.61%48.7B | 9.33%46.54B | 9.33%46.54B | 9.96%45.31B | 9.66%45.3B | 5.62%44.84B | 2.47%42.57B | 2.47%42.57B | -0.34%41.2B |
-Including:Available-for-sale securities | 5.34%47.72B | 8.61%48.7B | 9.33%46.54B | 9.33%46.54B | 9.96%45.31B | 9.66%45.3B | 5.62%44.84B | 2.47%42.57B | 2.47%42.57B | -0.34%41.2B |
Goodwill and other intangible assets | -3.36%422.83B | 3.64%449.39B | 3.85%435.05B | 3.85%435.05B | 2.20%426.26B | 0.90%437.53B | 1.08%433.62B | 1.47%418.94B | 1.47%418.94B | 3.05%417.09B |
-Goodwill | -0.91%278.72B | 3.60%289.51B | 4.32%282.88B | 4.32%282.88B | 3.45%277.8B | 2.72%281.29B | 3.14%279.46B | 3.11%271.16B | 3.11%271.16B | 3.75%268.53B |
-Other intangible assets | -7.76%144.11B | 3.71%159.88B | 2.97%152.17B | 2.97%152.17B | -0.07%148.46B | -2.20%156.23B | -2.45%154.16B | -1.40%147.78B | -1.40%147.78B | 1.81%148.56B |
Other non current assets | 42.10%88.16B | 48.06%90.46B | 47.75%89.01B | 47.75%89.01B | 20.31%61.58B | 13.05%62.04B | 12.67%61.1B | 1.34%60.24B | 1.34%60.24B | 15.11%51.18B |
Total non current assets | 2.01%3.05T | 2.57%3T | 10.58%3.03T | 10.58%3.03T | 11.21%2.94T | 8.19%2.99T | 6.38%2.92T | 5.74%2.74T | 5.74%2.74T | 14.02%2.65T |
Total assets | -0.16%4.41T | 2.92%4.45T | 9.07%4.47T | 9.07%4.47T | 8.39%4.33T | 6.39%4.42T | 5.12%4.32T | 4.51%4.09T | 4.51%4.09T | 11.69%3.99T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 6.19%34.3B | -64.34%36.46B | -31.65%33.77B | -31.65%33.77B | -72.36%34.98B | -66.76%32.3B | 4.82%102.24B | -48.91%49.41B | -48.91%49.41B | 127.39%126.56B |
-Current debt | -4.77%9.27B | -87.41%10.04B | -67.67%9.39B | -67.67%9.39B | -91.14%9.63B | -87.66%9.73B | 0.84%79.71B | -63.39%29.06B | -63.39%29.06B | 179.36%108.77B |
-Current capital lease obligation | 10.91%25.03B | 17.26%26.42B | 19.79%24.38B | 19.79%24.38B | 42.49%25.35B | 23.23%22.57B | 21.84%22.53B | 17.46%20.35B | 17.46%20.35B | 6.38%17.79B |
Payables | -6.56%196.8B | 10.32%227.07B | 6.14%234.66B | 6.14%234.66B | -3.24%216.77B | -14.22%210.63B | -16.82%205.83B | -9.15%221.09B | -9.15%221.09B | -5.75%224.04B |
-accounts payable | -4.12%185.52B | 10.88%212.66B | 4.06%212.13B | 4.06%212.13B | -4.08%196.66B | -14.33%193.49B | -15.97%191.79B | -8.57%203.86B | -8.57%203.86B | -3.61%205.02B |
-Total tax payable | -34.15%11.29B | 2.67%14.41B | 30.81%22.53B | 30.81%22.53B | 5.76%20.12B | -13.04%17.14B | -26.95%14.03B | -15.53%17.22B | -15.53%17.22B | -23.94%19.02B |
Current provisions | -1.49%7.59B | 8.38%8.87B | 5.74%8.47B | 5.74%8.47B | -20.18%6.39B | -16.51%7.7B | -12.36%8.19B | 14.32%8.01B | 14.32%8.01B | 31.80%8B |
Other current liabilities | 2.18%45.12B | -5.30%51.92B | 7.20%45.01B | 7.20%45.01B | -6.80%45.93B | 7.30%44.16B | 0.00%54.83B | 1.30%41.98B | 1.30%41.98B | 0.32%49.28B |
Current liabilities | -3.31%425.64B | -8.80%462.96B | 1.98%470.19B | 1.98%470.19B | -19.14%427.14B | -19.31%440.23B | -8.01%507.65B | -14.51%461.07B | -14.51%461.07B | 13.63%528.25B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 1.39%269.18B | 50.33%272.97B | 68.60%270.42B | 68.60%270.42B | 366.32%263.33B | 361.49%265.48B | 219.20%181.58B | 205.20%160.39B | 205.20%160.39B | -37.72%56.47B |
-Long term debt | 0.65%201.09B | 68.86%201.69B | 85.43%199.76B | 85.43%199.76B | 1,118.07%199.95B | 1,112.88%199.79B | 590.45%119.45B | 527.66%107.73B | 527.66%107.73B | -71.02%16.42B |
-Long term capital lease obligation | 3.64%68.08B | 14.72%71.28B | 34.17%70.66B | 34.17%70.66B | 58.24%63.39B | 60.02%65.7B | 56.96%62.13B | 48.81%52.66B | 48.81%52.66B | 17.70%40.06B |
Long term provisions | 15.43%12.16B | 15.04%12.23B | 13.23%11.59B | 13.23%11.59B | 7.94%10.57B | -3.00%10.53B | -0.37%10.63B | 6.31%10.24B | 6.31%10.24B | 22.05%9.8B |
Other non current liabilities | 1.54%10.29B | -1.05%10.61B | -9.02%9.83B | -9.02%9.83B | -11.01%9.76B | 0.03%10.13B | 8.76%10.72B | 10.09%10.81B | 10.09%10.81B | 14.09%10.97B |
Total non current liabilities | 0.93%749.02B | 11.92%724.84B | 27.11%742.33B | 27.11%742.33B | 56.04%729.01B | 49.27%742.16B | 29.54%647.62B | 21.76%584.02B | 21.76%584.02B | 6.39%467.2B |
Total liabilities | -0.65%1.17T | 2.82%1.19T | 16.02%1.21T | 16.02%1.21T | 16.14%1.16T | 13.39%1.18T | 9.84%1.16T | 2.56%1.05T | 2.56%1.05T | 10.11%995.45B |
Shareholders'equity | ||||||||||
Share capital | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B |
-common stock | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B | 0.00%115.7B |
Additional paid-in capital | 0.04%118.8B | 0.04%118.76B | -0.33%118.75B | -0.33%118.75B | -3.08%118.75B | -3.08%118.75B | -3.09%118.71B | -2.94%119.14B | -2.94%119.14B | -0.20%122.52B |
Retained earnings | 1.83%1.97T | 2.90%1.97T | 2.88%1.97T | 2.88%1.97T | 1.87%1.93T | 2.34%1.93T | 2.71%1.91T | 3.59%1.91T | 3.59%1.91T | 4.86%1.9T |
Less: Treasury stock | 2.09%142.99B | 5.10%143.14B | 53.51%143.14B | 53.51%143.14B | 53.51%143.14B | 50.23%140.07B | 45.98%136.2B | -0.06%93.24B | -0.06%93.24B | -0.06%93.24B |
Other equity interest | -2.58%1.15T | 3.80%1.17T | 20.31%1.17T | 20.31%1.17T | 20.85%1.12T | 12.82%1.18T | 10.28%1.13T | 10.17%969.8B | 10.17%969.8B | 34.39%927.8B |
Total stockholders'equity | 0.06%3.21T | 2.91%3.23T | 6.67%3.23T | 6.67%3.23T | 5.90%3.14T | 4.15%3.21T | 3.60%3.14T | 5.30%3.02T | 5.30%3.02T | 12.29%2.97T |
Noncontrolling interests | -4.61%24.82B | 8.85%27.34B | 8.80%27.26B | 8.80%27.26B | -3.57%26.36B | -7.01%26.02B | -7.74%25.12B | -6.22%25.06B | -6.22%25.06B | 4.60%27.33B |
Total equity | 0.02%3.23T | 2.96%3.26T | 6.69%3.25T | 6.69%3.25T | 5.81%3.17T | 4.05%3.23T | 3.50%3.17T | 5.19%3.05T | 5.19%3.05T | 12.22%3T |
Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data