Kioxia Holdings Corporation (see below note)
285A
dely inc.
299A
Reiwa Accounting Holdings Co.,Ltd.
296A
Synspective Inc.
290A
Reskill Corp.
291A
(Q2)Sep 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 | (Q2)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 16.75%310.33B | -10.04%284.27B | -10.04%284.27B | 0.02%284.25B | -14.55%265.81B | -14.52%296.72B | -5.01%316B | -5.01%316B | -9.66%284.19B | -15.00%311.08B |
-Cash and cash equivalents | 26.24%204.99B | -20.21%177.05B | -20.21%177.05B | -6.09%181.55B | -24.35%162.38B | -23.68%192.46B | -7.66%221.89B | -7.66%221.89B | -13.92%193.32B | -22.18%214.65B |
-Short term investments | 1.85%105.34B | 13.93%107.22B | 13.93%107.22B | 13.03%102.7B | 7.26%103.43B | 9.82%104.26B | 1.88%94.11B | 1.88%94.11B | 0.97%90.86B | 6.95%96.43B |
Receivables | 3.86%487.39B | 12.94%538.06B | 12.94%538.06B | 8.99%472.47B | 7.76%469.28B | 18.05%457.27B | 19.96%476.43B | 19.96%476.43B | 24.94%433.5B | 27.06%435.5B |
-Accounts receivable | 3.86%487.39B | 12.94%538.06B | 12.94%538.06B | 8.99%472.47B | 7.76%469.28B | 18.05%457.27B | 19.96%476.43B | 19.96%476.43B | 24.94%433.5B | 27.06%435.5B |
Inventory | -7.60%314.73B | -4.38%300.6B | -4.38%300.6B | -0.70%326.53B | 9.01%340.61B | 29.43%342.43B | 35.18%314.37B | 35.18%314.37B | 44.08%328.84B | 51.27%312.47B |
Holding assets for sale | --0 | --7.72B | --7.72B | --8.37B | ---- | ---- | --0 | --0 | ---- | ---- |
Other current assets | -5.38%77.07B | 6.07%72.66B | 6.07%72.66B | 6.51%71.17B | 25.86%81.46B | 27.39%83.54B | 36.90%68.5B | 36.90%68.5B | 28.11%66.82B | 30.68%64.72B |
Total current assets | 2.80%1.19T | 2.38%1.2T | 2.38%1.2T | 4.44%1.16T | 2.97%1.16T | 10.84%1.18T | 16.09%1.18T | 16.09%1.18T | 18.20%1.11T | 16.34%1.12T |
Non current assets | ||||||||||
Net PPE | 2.62%268.43B | 5.03%266.27B | 5.03%266.27B | 2.48%255.85B | 1.15%261.58B | 4.49%258.76B | 2.98%253.52B | 2.98%253.52B | 5.00%249.67B | 7.88%258.61B |
-Gross PP&E | 2.62%268.43B | 5.03%266.27B | 5.03%266.27B | 2.48%255.85B | 1.15%261.58B | 4.49%258.76B | 2.98%253.52B | 2.98%253.52B | 5.00%249.67B | 7.88%258.61B |
Total investment | 7.92%281.48B | 15.40%274.71B | 15.40%274.71B | 17.01%260.34B | 15.82%260.81B | 11.01%251.29B | 7.21%238.05B | 7.21%238.05B | -0.54%222.49B | -0.54%225.18B |
-Long-term equity investment | 4.86%90.37B | 4.63%87.4B | 4.63%87.4B | 3.98%86.67B | 5.46%86.17B | 2.77%84.35B | 2.62%83.53B | 2.62%83.53B | -0.26%83.36B | -1.24%81.71B |
-Financial asset investment | 11.54%173.28B | 25.52%169.65B | 25.52%169.65B | 22.41%155.05B | 18.31%155.34B | 11.46%147.27B | 5.33%135.16B | 5.33%135.16B | 2.71%126.66B | 4.36%131.31B |
-Including:Available-for-sale securities | 11.54%173.28B | 25.52%169.65B | 25.52%169.65B | 22.41%155.05B | 18.31%155.34B | 11.46%147.27B | 5.33%135.16B | 5.33%135.16B | 2.71%126.66B | 4.36%131.31B |
-Other investment | -7.58%17.83B | -8.77%17.66B | -8.77%17.66B | 49.25%18.62B | 58.58%19.3B | 61.75%19.67B | 57.02%19.36B | 57.02%19.36B | -25.80%12.48B | -31.84%12.17B |
Goodwill and other intangible assets | 3.68%421.17B | 12.57%412.46B | 12.57%412.46B | 19.32%401.06B | 23.08%406.22B | 44.92%401.14B | 41.20%366.39B | 41.20%366.39B | 39.99%336.13B | 41.44%330.06B |
Deferred tax assets-non current | 2.31%77.45B | -7.77%66.56B | -7.77%66.56B | -6.40%77.5B | -12.98%75.7B | -10.30%73.24B | -11.12%72.16B | -11.12%72.16B | -5.36%82.8B | 0.27%87B |
Other non current assets | 38.83%68.46B | 41.17%62.88B | 41.17%62.88B | 42.89%50.25B | 38.99%49.31B | 46.43%49.38B | 39.44%44.54B | 39.44%44.54B | 19.23%35.16B | 23.96%35.48B |
Total non current assets | 6.01%1.12T | 11.10%1.08T | 11.10%1.08T | 12.82%1.05T | 12.53%1.05T | 19.35%1.03T | 15.92%974.66B | 15.92%974.66B | 13.16%926.26B | 14.91%936.32B |
Total assets | 4.33%2.31T | 6.34%2.29T | 6.34%2.29T | 8.25%2.21T | 7.32%2.21T | 14.66%2.21T | 16.01%2.15T | 16.01%2.15T | 15.85%2.04T | 15.68%2.06T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -8.64%200.96B | 9.21%203.79B | 9.21%203.79B | 26.73%249.24B | 26.86%219.96B | 60.36%201.62B | 34.11%186.6B | 34.11%186.6B | 41.93%196.67B | 25.20%173.39B |
-Current debt and capital lease obligation | -11.90%171.06B | -4.82%175.14B | -4.82%175.14B | 14.43%223B | 13.19%194.17B | 59.95%197.93B | 34.26%184.01B | 34.26%184.01B | 41.36%194.88B | 24.40%171.55B |
-Including:Current debt | -14.21%147.33B | -3.32%152.59B | -3.32%152.59B | 16.59%200.93B | 16.75%171.74B | 70.54%171.28B | 37.97%157.83B | 37.97%157.83B | 49.20%172.34B | 27.68%147.1B |
-Including:Current capital Lease obligation | 5.75%23.73B | -13.91%22.54B | -13.91%22.54B | -2.09%22.07B | -8.26%22.43B | 14.34%26.65B | 15.53%26.19B | 15.53%26.19B | 0.88%22.55B | 7.77%24.45B |
-Other financial liabilities | 15.93%29.9B | 1,009.64%28.65B | 1,009.64%28.65B | 1,370.14%26.24B | 1,302.28%25.79B | 85.56%3.69B | 24.19%2.58B | 24.19%2.58B | 151.41%1.79B | 211.69%1.84B |
Payables | 7.25%317.8B | -2.14%317.34B | -2.14%317.34B | -3.13%283.99B | 2.66%296.32B | 6.11%296.82B | 15.95%324.29B | 15.95%324.29B | 23.26%293.17B | 16.24%288.64B |
-accounts payable | 6.42%298.75B | -2.29%305.28B | -2.29%305.28B | -3.61%271.89B | 1.77%280.73B | 6.53%284.24B | 16.35%312.43B | 16.35%312.43B | 21.60%282.07B | 14.92%275.84B |
-Total tax payable | 22.17%19.04B | 1.68%12.06B | 1.68%12.06B | 9.01%12.1B | 21.75%15.59B | -2.41%12.57B | 6.47%11.86B | 6.47%11.86B | 88.83%11.1B | 54.33%12.8B |
Current provisions | 154.69%25.56B | -4.35%10.49B | -4.35%10.49B | -16.37%9.86B | -23.57%10.04B | 6.65%11.46B | 10.33%10.97B | 10.33%10.97B | 9.38%11.79B | 16.09%13.13B |
Held for sale liabilities | --0 | --1.43B | --1.43B | ---- | ---- | ---- | --0 | --0 | ---- | ---- |
Other current liabilities | -2.42%321.74B | 12.68%346.23B | 12.68%346.23B | 11.57%328.83B | 12.24%329.72B | 23.98%348.23B | 16.08%307.26B | 16.08%307.26B | 19.29%294.74B | 24.40%293.77B |
Current liabilities | 1.17%866.05B | 6.05%879.28B | 6.05%879.28B | 9.49%871.92B | 11.33%856.03B | 23.11%858.12B | 19.56%829.11B | 19.56%829.11B | 25.55%796.37B | 21.23%768.94B |
Non current liabilities | ||||||||||
Non current financial liabilities | 35.28%309.92B | -7.97%249.25B | -7.97%249.25B | -10.18%229.15B | -14.18%229.09B | 20.57%249.35B | 63.65%270.82B | 63.65%270.82B | 56.89%255.12B | 62.99%266.96B |
-Long term debt and capital lease obligation | 38.40%306.94B | 0.69%244.94B | 0.69%244.94B | -2.11%221.99B | -7.80%221.78B | 5.51%218.21B | 47.00%243.26B | 47.00%243.26B | 39.46%226.78B | 46.86%240.55B |
-Including:Long term debt | 45.94%256.08B | -3.97%196.97B | -3.97%196.97B | -4.99%175.21B | -10.06%175.47B | 9.36%177.45B | 69.45%205.11B | 69.45%205.11B | 53.67%184.41B | 62.77%195.1B |
-Including:Long term capital lease obligation | 9.80%50.86B | 25.75%47.97B | 25.75%47.97B | 10.40%46.78B | 1.92%46.32B | -8.50%40.76B | -14.17%38.15B | -14.17%38.15B | -0.56%42.37B | 3.46%45.45B |
-Other financial liabilities-Non current | -59.22%2.98B | -84.37%4.31B | -84.37%4.31B | -74.74%7.16B | -72.32%7.31B | --31.14B | --27.57B | --27.57B | --28.34B | --26.41B |
Long term provisions | -8.54%8.14B | -8.00%7.68B | -8.00%7.68B | -8.64%8.49B | -3.84%8.9B | -6.24%8.42B | -13.12%8.35B | -13.12%8.35B | -1.58%9.3B | -0.02%9.26B |
Long term pension and other post-retirement benefit plans | -1.86%39.87B | -9.25%37.26B | -9.25%37.26B | -11.69%39.08B | -11.73%40.63B | -8.00%41.44B | -10.21%41.06B | -10.21%41.06B | -27.84%44.25B | -26.12%46.03B |
Non current deferred liabilities | 10.95%20.77B | 10.07%19.58B | 10.07%19.58B | 232.95%18.31B | 240.14%18.72B | 255.53%18.66B | 330.65%17.79B | 330.65%17.79B | 62.07%5.5B | 63.63%5.5B |
Other non current liabilities | 6.65%28.97B | 13.17%28B | 13.17%28B | 7.15%27.18B | -4.21%27.16B | -12.31%26.65B | -14.77%24.74B | -14.77%24.74B | -28.69%25.36B | -20.45%28.35B |
Total non current liabilities | 25.63%407.67B | -5.79%341.77B | -5.79%341.77B | -5.10%322.2B | -8.87%324.5B | 16.21%344.52B | 42.83%362.76B | 42.83%362.76B | 24.67%339.52B | 29.79%356.1B |
Total liabilities | 7.89%1.27T | 2.45%1.22T | 2.45%1.22T | 5.13%1.19T | 4.93%1.18T | 21.05%1.2T | 25.80%1.19T | 25.80%1.19T | 25.29%1.14T | 23.82%1.13T |
Shareholders'equity | ||||||||||
Share capital | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B |
-common stock | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B | 0.00%135.36B |
Additional paid-in capital | 4.24%165.11B | -0.05%158.46B | -0.05%158.46B | -0.07%158.42B | -1.09%158.39B | -12.36%158.59B | -12.39%158.53B | -12.39%158.53B | -14.82%158.53B | -13.99%160.14B |
Retained earnings | -1.06%470.09B | 6.46%501.14B | 6.46%501.14B | 9.24%478.6B | 1.96%475.12B | 1.99%468.28B | 2.36%470.72B | 2.36%470.72B | -23.36%438.1B | -17.92%465.97B |
Less: Treasury stock | -2.01%390M | 1,756.21%7.93B | 1,756.21%7.93B | -7.62%400M | -98.69%398M | -96.62%415M | -7.17%427M | -7.17%427M | -99.69%433M | -71.09%30.45B |
Other equity interest | -6.97%219.38B | 50.38%251.69B | 50.38%251.69B | 40.96%215.93B | 27.45%235.81B | 31.28%223.51B | 32.47%167.37B | 32.47%167.37B | 61.49%153.18B | 118.63%185.03B |
Total stockholders'equity | -1.47%989.55B | 11.50%1.04T | 11.50%1.04T | 11.66%987.91B | 9.63%1T | 5.55%985.32B | 3.27%931.56B | 3.27%931.56B | 4.06%884.74B | 5.47%916.05B |
Noncontrolling interests | 66.57%43.24B | -0.46%26.41B | -0.46%26.41B | 35.74%25.76B | 36.62%25.96B | 581.31%25.81B | 601.19%26.53B | 601.19%26.53B | 418.84%18.97B | 415.74%19B |
Total equity | 0.25%1.03T | 11.17%1.07T | 11.17%1.07T | 12.17%1.01T | 10.18%1.03T | 7.88%1.01T | 5.77%958.08B | 5.77%958.08B | 5.83%903.71B | 7.21%935.05B |
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 |