(Q2)Jun 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -26.11%4.38B | 3.45%3.76B | -41.40%4.46B | -41.40%4.46B | -20.84%5.06B | -8.00%5.93B | -11.19%3.63B | 50.15%7.61B | 50.15%7.61B | 51.42%6.39B |
-Cash and cash equivalents | -26.11%4.38B | 3.45%3.76B | -41.40%4.46B | -41.40%4.46B | -20.84%5.06B | -8.00%5.93B | -11.19%3.63B | 50.15%7.61B | 50.15%7.61B | 51.42%6.39B |
Receivables | -29.27%2.5B | -27.95%4.03B | -37.16%3.33B | -37.16%3.33B | -14.21%3.65B | -19.03%3.53B | -17.29%5.59B | 18.05%5.31B | 18.05%5.31B | 9.90%4.25B |
-Accounts receivable | -29.27%2.5B | -27.95%4.03B | -37.16%3.33B | -37.16%3.33B | -14.21%3.65B | -19.03%3.53B | -17.29%5.59B | 18.05%5.31B | 18.05%5.31B | 9.90%4.25B |
Other current assets | 8.73%255.35M | -12.30%153.62M | 246.74%588.85M | 246.74%588.85M | -35.56%164.69M | -10.74%234.85M | 16.93%175.17M | 20.89%169.82M | 20.89%169.82M | 9.53%255.57M |
Total current assets | -26.42%7.13B | -15.51%7.94B | -35.94%8.38B | -35.94%8.38B | -18.60%8.87B | -12.41%9.69B | -14.55%9.4B | 34.86%13.08B | 34.86%13.08B | 30.94%10.9B |
Non current assets | ||||||||||
Net PPE | -17.62%3.56B | -13.71%3.73B | -14.66%3.87B | -14.66%3.87B | -9.28%4.07B | -0.11%4.33B | -3.31%4.32B | -0.24%4.53B | -0.24%4.53B | 12.22%4.48B |
-Gross PP&E | -17.62%3.56B | -13.71%3.73B | -14.66%3.87B | -14.66%3.87B | -9.28%4.07B | -0.11%4.33B | -3.31%4.32B | -0.24%4.53B | -0.24%4.53B | 12.22%4.48B |
Total investment | -16.88%1.44B | -6.45%1.49B | 20.48%1.57B | 20.48%1.57B | 55.75%1.77B | 57.06%1.74B | 62.25%1.59B | 27.80%1.31B | 27.80%1.31B | 13.75%1.14B |
-Financial asset investment | -16.88%1.44B | -6.45%1.49B | 20.48%1.57B | 20.48%1.57B | 55.75%1.77B | 57.06%1.74B | 62.25%1.59B | 27.80%1.31B | 27.80%1.31B | 13.75%1.14B |
-Including:Available-for-sale securities | -16.88%1.44B | -6.45%1.49B | 20.48%1.57B | 20.48%1.57B | 55.75%1.77B | 57.06%1.74B | 62.25%1.59B | 27.80%1.31B | 27.80%1.31B | 13.75%1.14B |
Goodwill and other intangible assets | 1.86%12.06B | 9.43%12.07B | 9.51%12.09B | 9.51%12.09B | 7.52%11.88B | 7.09%11.84B | -0.25%11.03B | -0.20%11.04B | -0.20%11.04B | -0.09%11.05B |
-Goodwill | -3.36%11.39B | 3.70%11.39B | 3.70%11.39B | 3.70%11.39B | 7.74%11.83B | 7.30%11.79B | 0.00%10.98B | 0.00%10.98B | 0.00%10.98B | 0.00%10.98B |
-Other intangible assets | 1,207.26%667.15M | 1,324.13%682.2M | 1,170.26%698.39M | 1,170.26%698.39M | -30.09%43.54M | -26.65%51.03M | -36.68%47.9M | -28.52%54.98M | -28.52%54.98M | -13.77%62.28M |
Deferred tax assets-non current | -54.19%260.69M | -57.42%239.2M | -57.68%237.7M | -57.68%237.7M | 11.78%570.83M | 11.44%569.12M | 9.99%561.73M | 13.39%561.73M | 13.39%561.73M | 71.23%510.7M |
Other non current assets | 105.68%18.71M | 125.53%18.95M | 126.48%27.57M | 126.48%27.57M | -27.21%9.06M | -26.90%9.1M | -32.16%8.4M | -25.20%12.17M | -25.20%12.17M | -23.00%12.44M |
Total non current assets | -6.14%17.34B | 0.19%17.54B | 1.98%17.79B | 1.98%17.79B | 6.43%18.3B | 8.61%18.48B | 2.82%17.51B | 1.83%17.45B | 1.83%17.45B | 5.04%17.19B |
Total assets | -13.11%24.48B | -5.29%25.48B | -14.27%26.18B | -14.27%26.18B | -3.28%27.17B | 0.32%28.17B | -4.00%26.91B | 13.77%30.53B | 13.77%30.53B | 13.77%28.09B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -8.36%2.83B | 54.61%2.87B | 55.87%2.9B | 55.87%2.9B | 63.84%3B | 73.30%3.09B | 4.03%1.86B | 4.19%1.86B | 4.19%1.86B | 15.10%1.83B |
-Current debt and capital lease obligation | -1.90%1.9B | 146.42%1.9B | 146.46%1.9B | 146.46%1.9B | 146.50%1.9B | 151.42%1.93B | 0.12%770.19M | 0.12%769.95M | 0.12%769.95M | 10.68%769.7M |
-Including:Current debt | -1.90%1.9B | 146.42%1.9B | 146.46%1.9B | 146.46%1.9B | 146.50%1.9B | 151.42%1.93B | 0.12%770.19M | 0.12%769.95M | 0.12%769.95M | 10.68%769.7M |
-Other financial liabilities | -19.16%934.82M | -10.39%974.78M | -8.20%999.38M | -8.20%999.38M | 3.99%1.11B | 14.03%1.16B | 6.99%1.09B | 7.27%1.09B | 7.27%1.09B | 18.52%1.06B |
Payables | -30.99%2.32B | -25.36%2.91B | -49.58%2.87B | -49.58%2.87B | -28.42%2.96B | -30.57%3.36B | -20.85%3.9B | 8.36%5.7B | 8.36%5.7B | 8.74%4.13B |
-accounts payable | -32.37%1.84B | -22.74%2.59B | -40.27%2.69B | -40.27%2.69B | -6.66%2.96B | -20.76%2.73B | -15.71%3.35B | 7.66%4.5B | 7.66%4.5B | 4.01%3.17B |
-Total tax payable | -25.08%476.06M | -41.36%321.88M | -84.54%185.18M | -84.54%185.18M | --0 | -54.65%635.45M | -42.33%548.92M | 11.05%1.2B | 11.05%1.2B | 27.87%963.49M |
Current provisions | --28.85M | --59.42M | --59.42M | --59.42M | --34.21M | ---- | ---- | ---- | ---- | ---- |
Other current liabilities | -47.08%694.12M | -36.34%829.37M | 42.18%1.61B | 42.18%1.61B | 29.51%1.49B | 43.34%1.31B | 0.74%1.3B | 10.95%1.13B | 10.95%1.13B | -2.49%1.15B |
Current liabilities | -24.33%5.88B | -5.51%6.67B | -14.38%7.44B | -14.38%7.44B | 5.18%7.48B | 2.97%7.76B | -11.82%7.06B | 7.76%8.69B | 7.76%8.69B | 8.27%7.11B |
Non current liabilities | ||||||||||
Non current financial liabilities | -24.68%4.47B | -14.46%4.75B | -14.40%5.03B | -14.40%5.03B | -12.68%5.33B | -5.08%5.93B | -14.93%5.56B | -13.80%5.87B | -13.80%5.87B | -10.44%6.1B |
-Long term debt and capital lease obligation | -24.42%3.38B | -10.21%3.61B | -8.99%3.83B | -8.99%3.83B | -7.87%4.05B | -2.48%4.48B | -15.97%4.02B | -15.35%4.21B | -15.35%4.21B | -10.53%4.4B |
-Including:Long term debt | -24.42%3.38B | -10.21%3.61B | -8.99%3.83B | -8.99%3.83B | -7.87%4.05B | -2.48%4.48B | -15.97%4.02B | -15.35%4.21B | -15.35%4.21B | -10.53%4.4B |
-Other financial liabilities-Non current | -25.50%1.09B | -25.54%1.15B | -28.06%1.2B | -28.06%1.2B | -25.12%1.27B | -12.28%1.46B | -12.08%1.54B | -9.61%1.66B | -9.61%1.66B | -10.21%1.7B |
Long term provisions | 51.08%613.13M | 62.69%621.55M | 62.72%621.18M | 62.72%621.18M | 0.94%371.94M | 14.90%405.83M | 5.70%382.04M | 6.46%381.74M | 6.46%381.74M | 18.79%368.49M |
Other non current liabilities | -39.17%3.62M | -33.70%3.64M | -31.93%4.08M | -31.93%4.08M | -24.49%5.88M | -20.33%5.95M | -26.79%5.5M | 15.76%6M | 15.76%6M | 11.17%7.79M |
Total non current liabilities | -19.85%5.09B | -9.52%5.38B | -9.71%5.65B | -9.71%5.65B | -11.92%5.7B | -4.03%6.35B | -13.86%5.94B | -12.76%6.26B | -12.76%6.26B | -9.15%6.48B |
Total liabilities | -22.31%10.96B | -7.34%12.05B | -12.43%13.09B | -12.43%13.09B | -2.97%13.19B | -0.30%14.11B | -12.76%13.01B | -1.91%14.95B | -1.91%14.95B | -0.79%13.59B |
Shareholders'equity | ||||||||||
Share capital | 2.18%2.23B | 3.69%2.18B | 4.08%2.18B | 4.08%2.18B | 13.17%2.18B | 13.68%2.18B | 12.39%2.11B | 12.44%2.1B | 12.44%2.1B | 13.60%1.93B |
-common stock | 2.18%2.23B | 3.69%2.18B | 4.08%2.18B | 4.08%2.18B | 13.17%2.18B | 13.68%2.18B | 12.39%2.11B | 12.44%2.1B | 12.44%2.1B | 13.60%1.93B |
Additional paid-in capital | 0.34%2.07B | 1.40%2.15B | 1.80%2.12B | 1.80%2.12B | 10.42%2.09B | 10.81%2.07B | 12.33%2.12B | 12.53%2.09B | 12.53%2.09B | 13.90%1.9B |
Retained earnings | -3.96%11.35B | -3.83%11.23B | -4.28%10.92B | -4.28%10.92B | 10.01%11.72B | 16.80%11.81B | 25.13%11.68B | 45.77%11.4B | 45.77%11.4B | 41.21%10.65B |
Less: Treasury stock | -1.87%1.96B | 0.00%2B | 373,119.59%2B | 373,119.59%2B | 399,991.40%2B | 399,991.40%2B | 399,991.40%2B | 15.77%536K | 15.77%536K | 7.99%500K |
Other equity interest | -3,693.87%-174.63M | -2,547.59%-134.52M | -2,665.96%-139.99M | -2,665.96%-139.99M | -127.35%-7.78M | -117.48%-4.6M | -122.64%-5.08M | -109.31%-5.06M | -109.31%-5.06M | -68.34%28.44M |
Total stockholders'equity | -3.88%13.52B | -3.37%13.43B | -16.04%13.09B | -16.04%13.09B | -3.57%13.99B | 0.96%14.06B | 5.97%13.9B | 34.36%15.59B | 34.36%15.59B | 31.91%14.5B |
Total equity | -3.88%13.52B | -3.37%13.43B | -16.04%13.09B | -16.04%13.09B | -3.57%13.99B | 0.96%14.06B | 5.97%13.9B | 34.36%15.59B | 34.36%15.59B | 31.91%14.5B |
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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