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8624 Ichiyoshi Securities

Watchlist
  • 1011
  • -10-0.98%
20min DelayNot Open Dec 11 15:30 JST
38.35BMarket Cap17.75P/E (Static)

Ichiyoshi Securities Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
25.88%25.34B
13.09%18.31B
13.09%18.31B
10.07%21.98B
9.97%20.13B
-0.32%17.82B
-8.74%16.19B
-8.74%16.19B
-17.74%19.97B
-7.90%18.3B
-Cash and cash equivalents
25.88%25.34B
20.64%18.31B
20.64%18.31B
10.15%21.98B
10.05%20.13B
0.08%17.82B
-9.22%15.17B
-9.22%15.17B
-17.72%19.95B
-7.78%18.29B
-Short term investments
----
----
----
----
----
----
-0.98%1.01B
-0.98%1.01B
-41.67%14M
-65.00%14M
Receivables
15.66%12.54B
-5.95%10.59B
-5.95%10.59B
-18.57%9.62B
-7.29%10.84B
-10.37%9.99B
-3.67%11.26B
-3.67%11.26B
-5.88%11.82B
-8.48%11.7B
-Other receivables
15.66%12.54B
-5.95%10.59B
-5.95%10.59B
-18.57%9.62B
-7.29%10.84B
-10.37%9.99B
-3.67%11.26B
-3.67%11.26B
-5.88%11.82B
-8.48%11.7B
Prepaid assets
395.45%109M
-78.30%23M
-78.30%23M
31.58%25M
-84.72%22M
5.41%117M
55.88%106M
55.88%106M
-13.64%19M
25.22%144M
Restricted cash
-22.34%5.87B
13.51%8B
13.51%8B
-3.85%6.71B
3.30%7.56B
-1.76%8.16B
-22.41%7.05B
-22.41%7.05B
-16.33%6.98B
-24.40%7.31B
Hedging assets-current
--0
----
----
----
----
----
----
----
--0
----
Other current assets
-23.73%2.94B
46.47%3.67B
46.47%3.67B
20.46%2.99B
36.60%3.85B
11.01%3.87B
-26.86%2.51B
-26.86%2.51B
19.31%2.48B
-7.87%2.82B
Total current assets
10.36%46.79B
9.38%40.59B
9.38%40.59B
0.15%41.32B
5.27%42.4B
-2.37%39.95B
-11.66%37.11B
-11.66%37.11B
-12.71%41.26B
-11.48%40.28B
Non current assets
Net PPE
-4.21%3B
1.54%3.1B
1.54%3.1B
3.00%3.16B
0.71%3.13B
-4.44%2.97B
-3.61%3.05B
-3.61%3.05B
-2.67%3.06B
-3.15%3.11B
-Gross PP&E
-4.22%3B
1.54%3.09B
1.54%3.09B
3.07%3.16B
0.71%3.13B
-4.48%2.97B
-3.58%3.05B
-3.58%3.05B
-2.73%3.06B
-3.15%3.11B
Prepaid assets-non current
-6.34%930M
0.86%934M
0.86%934M
3.39%977M
3.98%993M
8.73%1.02B
1.31%926M
1.31%926M
3.05%945M
4.60%955M
Total investment
4.44%799M
-9.36%794M
-9.36%794M
2.37%907M
-13.17%765M
-9.86%768M
0.57%876M
0.57%876M
0.80%886M
0.23%881M
-Financial asset investment
4.44%799M
-9.36%794M
-9.36%794M
2.37%907M
-13.17%765M
-9.86%768M
0.57%876M
0.57%876M
0.80%886M
0.23%881M
-Including:Available-for-sale securities
4.44%799M
-9.36%794M
-9.36%794M
2.37%907M
-13.17%765M
-9.86%768M
0.57%876M
0.57%876M
0.80%886M
0.23%881M
Long-term accounts receivable and other receivables
0.00%21M
-16.67%20M
-16.67%20M
-20.83%19M
5.00%21M
-4.55%21M
-4.00%24M
-4.00%24M
0.00%24M
0.00%20M
Goodwill and other intangible assets
51.91%635M
21.43%544M
21.43%544M
-8.99%425M
-19.15%418M
-16.32%405M
-15.15%448M
-15.15%448M
-13.36%467M
-13.40%517M
-Other intangible assets
51.91%635M
21.43%544M
21.43%544M
-8.99%425M
-19.15%418M
-16.32%405M
-15.15%448M
-15.15%448M
-13.36%467M
-13.40%517M
Defined pension benefit
341.55%627M
387.10%604M
387.10%604M
-59.02%150M
-60.22%142M
-61.78%133M
-63.42%124M
-63.42%124M
-6.15%366M
-6.30%357M
Deferred tax assets-non current
-39.43%106M
-40.68%70M
-40.68%70M
--70M
186.89%175M
1,533.33%98M
29.67%118M
29.67%118M
--0
-41.90%61M
Other non current assets
-33.33%-4M
-33.33%-4M
-33.33%-4M
-100.00%-4M
-50.00%-3M
-50.00%-3M
-200.00%-3M
-200.00%-3M
-100.00%-2M
-133.33%-2M
Total non current assets
8.35%6.11B
8.92%6.06B
8.92%6.06B
-0.87%5.7B
-4.34%5.64B
-5.98%5.41B
-6.21%5.56B
-6.21%5.56B
-2.48%5.75B
-3.48%5.9B
Total assets
10.13%52.91B
9.32%46.65B
9.32%46.65B
0.03%47.03B
4.04%48.04B
-2.82%45.36B
-10.98%42.67B
-10.98%42.67B
-11.58%47.01B
-10.53%46.18B
Liabilities
Current liabilities
Financial liabilities
44.95%3.82B
-25.59%3.34B
-25.59%3.34B
-42.25%1.8B
-16.81%2.63B
-19.67%3.41B
24.40%4.49B
24.40%4.49B
3.31%3.12B
48.13%3.16B
-Financial or other derivative investment liabilities
----
--0
--0
--0
--0
--0
--0
--0
----
--0
-Current debt and capital lease obligation
-15.79%304M
-48.61%259M
-48.61%259M
-53.42%416M
3.44%361M
67.35%569M
10.77%504M
10.77%504M
25.07%893M
-46.22%349M
-Including:Current debt
-16.10%297M
-49.40%252M
-49.40%252M
-53.99%409M
2.91%354M
67.76%562M
10.42%498M
10.42%498M
24.68%889M
-46.91%344M
-Including:Current capital Lease obligation
0.00%7M
16.67%7M
16.67%7M
75.00%7M
40.00%7M
40.00%7M
50.00%6M
50.00%6M
300.00%4M
400.00%5M
-Other financial liabilities
54.60%3.51B
-22.68%3.08B
-22.68%3.08B
-37.77%1.39B
-19.33%2.27B
-27.26%2.84B
26.37%3.98B
26.37%3.98B
-3.42%2.23B
89.31%2.82B
Payables
43.40%684M
338.76%917M
338.76%917M
1,837.50%310M
47.68%477M
16.03%181M
-70.40%209M
-70.40%209M
-96.59%16M
-14.10%323M
-Total tax payable
43.40%684M
338.76%917M
338.76%917M
1,837.50%310M
47.68%477M
16.03%181M
-70.40%209M
-70.40%209M
-96.59%16M
-14.10%323M
Pension and other retirement benefit plans
51.88%726M
69.67%565M
69.67%565M
59.54%276M
35.80%478M
19.32%247M
-14.62%333M
-14.62%333M
-29.96%173M
-24.63%352M
Other current liabilities
11.97%17.88B
31.79%12.48B
31.79%12.48B
9.33%16.47B
20.02%15.97B
1.12%13.46B
-26.07%9.47B
-26.07%9.47B
-21.54%15.06B
-27.98%13.31B
Current liabilities
18.15%23.11B
19.33%17.3B
19.33%17.3B
2.63%18.85B
14.07%19.56B
-3.46%17.29B
-17.21%14.5B
-17.21%14.5B
-19.89%18.37B
-20.08%17.15B
Non current liabilities
Non current financial liabilities
-23.48%88M
-17.74%102M
-17.74%102M
-12.80%109M
-12.21%115M
-10.95%122M
-9.49%124M
-9.49%124M
-4.58%125M
-3.68%131M
-Long term debt and capital lease obligation
-23.48%88M
-17.74%102M
-17.74%102M
-12.80%109M
-12.21%115M
-10.95%122M
-9.49%124M
-9.49%124M
-4.58%125M
-3.68%131M
-Including:Long term debt
-20.83%76M
-18.87%86M
-18.87%86M
-18.02%91M
-17.24%96M
-16.53%101M
-15.87%106M
-15.87%106M
-15.27%111M
-14.71%116M
-Including:Long term capital lease obligation
-36.84%12M
-11.11%16M
-11.11%16M
28.57%18M
26.67%19M
31.25%21M
63.64%18M
63.64%18M
--14M
--15M
Long term provisions
13.86%189M
11.18%189M
11.18%189M
-2.35%166M
-2.35%166M
-2.35%166M
0.00%170M
0.00%170M
0.00%170M
0.00%170M
Non current deferred liabilities
0.00%7M
0.00%7M
0.00%7M
-75.86%7M
0.00%7M
0.00%7M
0.00%7M
0.00%7M
314.29%29M
0.00%7M
Other non current liabilities
-17.02%39M
-11.63%38M
-11.63%38M
-7.14%39M
14.63%47M
4.88%43M
4.88%43M
4.88%43M
7.69%42M
5.13%41M
Total non current liabilities
-3.58%323M
-2.33%336M
-2.33%336M
-12.30%321M
-4.01%335M
-4.79%338M
-3.10%344M
-3.10%344M
5.48%366M
-0.85%349M
Total liabilities
17.78%23.43B
18.83%17.64B
18.83%17.64B
2.34%19.18B
13.71%19.89B
-3.49%17.63B
-16.93%14.85B
-16.93%14.85B
-19.51%18.74B
-19.77%17.49B
Shareholders'equity
Share capital
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
-common stock
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
0.00%14.58B
Additional paid-in capital
-0.20%3.94B
-29.14%3.94B
-29.14%3.94B
-29.09%3.95B
-29.09%3.95B
-0.32%5.56B
-19.22%5.56B
-19.22%5.56B
-19.17%5.57B
-19.16%5.57B
Retained earnings
7.19%14.41B
5.93%13.94B
5.93%13.94B
0.39%13.13B
-0.33%13.44B
-1.38%13.06B
-3.73%13.16B
-3.73%13.16B
-2.64%13.07B
1.15%13.49B
Less: Treasury stock
-1.35%2.62B
-38.64%2.63B
-38.64%2.63B
-32.64%2.66B
-32.61%2.66B
7.09%4.29B
4.76%4.29B
4.76%4.29B
-3.78%3.94B
-3.68%3.95B
Fixed asset revaluation reserve
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
0.00%-1.13B
Other reserves
795.00%278M
522.06%287M
522.06%287M
-129.57%-34M
-134.78%-40M
-157.26%-67M
-151.13%-68M
-151.13%-68M
-43.07%115M
-47.49%115M
Other equity interest
115.38%28M
66.67%20M
66.67%20M
30.77%17M
-7.14%13M
-45.00%11M
-45.45%12M
-45.45%12M
-35.00%13M
-22.22%14M
Total stockholders'equity
4.72%29.48B
4.25%29.01B
4.25%29.01B
-1.51%27.85B
-1.86%28.15B
-2.39%27.73B
-7.45%27.83B
-7.45%27.83B
-5.40%28.28B
-3.77%28.69B
Total equity
4.72%29.48B
4.25%29.01B
4.25%29.01B
-1.51%27.85B
-1.86%28.15B
-2.39%27.73B
-7.45%27.83B
-7.45%27.83B
-5.40%28.28B
-3.77%28.69B
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
(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 25.88%25.34B13.09%18.31B13.09%18.31B10.07%21.98B9.97%20.13B-0.32%17.82B-8.74%16.19B-8.74%16.19B-17.74%19.97B-7.90%18.3B
-Cash and cash equivalents 25.88%25.34B20.64%18.31B20.64%18.31B10.15%21.98B10.05%20.13B0.08%17.82B-9.22%15.17B-9.22%15.17B-17.72%19.95B-7.78%18.29B
-Short term investments -------------------------0.98%1.01B-0.98%1.01B-41.67%14M-65.00%14M
Receivables 15.66%12.54B-5.95%10.59B-5.95%10.59B-18.57%9.62B-7.29%10.84B-10.37%9.99B-3.67%11.26B-3.67%11.26B-5.88%11.82B-8.48%11.7B
-Other receivables 15.66%12.54B-5.95%10.59B-5.95%10.59B-18.57%9.62B-7.29%10.84B-10.37%9.99B-3.67%11.26B-3.67%11.26B-5.88%11.82B-8.48%11.7B
Prepaid assets 395.45%109M-78.30%23M-78.30%23M31.58%25M-84.72%22M5.41%117M55.88%106M55.88%106M-13.64%19M25.22%144M
Restricted cash -22.34%5.87B13.51%8B13.51%8B-3.85%6.71B3.30%7.56B-1.76%8.16B-22.41%7.05B-22.41%7.05B-16.33%6.98B-24.40%7.31B
Hedging assets-current --0------------------------------0----
Other current assets -23.73%2.94B46.47%3.67B46.47%3.67B20.46%2.99B36.60%3.85B11.01%3.87B-26.86%2.51B-26.86%2.51B19.31%2.48B-7.87%2.82B
Total current assets 10.36%46.79B9.38%40.59B9.38%40.59B0.15%41.32B5.27%42.4B-2.37%39.95B-11.66%37.11B-11.66%37.11B-12.71%41.26B-11.48%40.28B
Non current assets
Net PPE -4.21%3B1.54%3.1B1.54%3.1B3.00%3.16B0.71%3.13B-4.44%2.97B-3.61%3.05B-3.61%3.05B-2.67%3.06B-3.15%3.11B
-Gross PP&E -4.22%3B1.54%3.09B1.54%3.09B3.07%3.16B0.71%3.13B-4.48%2.97B-3.58%3.05B-3.58%3.05B-2.73%3.06B-3.15%3.11B
Prepaid assets-non current -6.34%930M0.86%934M0.86%934M3.39%977M3.98%993M8.73%1.02B1.31%926M1.31%926M3.05%945M4.60%955M
Total investment 4.44%799M-9.36%794M-9.36%794M2.37%907M-13.17%765M-9.86%768M0.57%876M0.57%876M0.80%886M0.23%881M
-Financial asset investment 4.44%799M-9.36%794M-9.36%794M2.37%907M-13.17%765M-9.86%768M0.57%876M0.57%876M0.80%886M0.23%881M
-Including:Available-for-sale securities 4.44%799M-9.36%794M-9.36%794M2.37%907M-13.17%765M-9.86%768M0.57%876M0.57%876M0.80%886M0.23%881M
Long-term accounts receivable and other receivables 0.00%21M-16.67%20M-16.67%20M-20.83%19M5.00%21M-4.55%21M-4.00%24M-4.00%24M0.00%24M0.00%20M
Goodwill and other intangible assets 51.91%635M21.43%544M21.43%544M-8.99%425M-19.15%418M-16.32%405M-15.15%448M-15.15%448M-13.36%467M-13.40%517M
-Other intangible assets 51.91%635M21.43%544M21.43%544M-8.99%425M-19.15%418M-16.32%405M-15.15%448M-15.15%448M-13.36%467M-13.40%517M
Defined pension benefit 341.55%627M387.10%604M387.10%604M-59.02%150M-60.22%142M-61.78%133M-63.42%124M-63.42%124M-6.15%366M-6.30%357M
Deferred tax assets-non current -39.43%106M-40.68%70M-40.68%70M--70M186.89%175M1,533.33%98M29.67%118M29.67%118M--0-41.90%61M
Other non current assets -33.33%-4M-33.33%-4M-33.33%-4M-100.00%-4M-50.00%-3M-50.00%-3M-200.00%-3M-200.00%-3M-100.00%-2M-133.33%-2M
Total non current assets 8.35%6.11B8.92%6.06B8.92%6.06B-0.87%5.7B-4.34%5.64B-5.98%5.41B-6.21%5.56B-6.21%5.56B-2.48%5.75B-3.48%5.9B
Total assets 10.13%52.91B9.32%46.65B9.32%46.65B0.03%47.03B4.04%48.04B-2.82%45.36B-10.98%42.67B-10.98%42.67B-11.58%47.01B-10.53%46.18B
Liabilities
Current liabilities
Financial liabilities 44.95%3.82B-25.59%3.34B-25.59%3.34B-42.25%1.8B-16.81%2.63B-19.67%3.41B24.40%4.49B24.40%4.49B3.31%3.12B48.13%3.16B
-Financial or other derivative investment liabilities ------0--0--0--0--0--0--0------0
-Current debt and capital lease obligation -15.79%304M-48.61%259M-48.61%259M-53.42%416M3.44%361M67.35%569M10.77%504M10.77%504M25.07%893M-46.22%349M
-Including:Current debt -16.10%297M-49.40%252M-49.40%252M-53.99%409M2.91%354M67.76%562M10.42%498M10.42%498M24.68%889M-46.91%344M
-Including:Current capital Lease obligation 0.00%7M16.67%7M16.67%7M75.00%7M40.00%7M40.00%7M50.00%6M50.00%6M300.00%4M400.00%5M
-Other financial liabilities 54.60%3.51B-22.68%3.08B-22.68%3.08B-37.77%1.39B-19.33%2.27B-27.26%2.84B26.37%3.98B26.37%3.98B-3.42%2.23B89.31%2.82B
Payables 43.40%684M338.76%917M338.76%917M1,837.50%310M47.68%477M16.03%181M-70.40%209M-70.40%209M-96.59%16M-14.10%323M
-Total tax payable 43.40%684M338.76%917M338.76%917M1,837.50%310M47.68%477M16.03%181M-70.40%209M-70.40%209M-96.59%16M-14.10%323M
Pension and other retirement benefit plans 51.88%726M69.67%565M69.67%565M59.54%276M35.80%478M19.32%247M-14.62%333M-14.62%333M-29.96%173M-24.63%352M
Other current liabilities 11.97%17.88B31.79%12.48B31.79%12.48B9.33%16.47B20.02%15.97B1.12%13.46B-26.07%9.47B-26.07%9.47B-21.54%15.06B-27.98%13.31B
Current liabilities 18.15%23.11B19.33%17.3B19.33%17.3B2.63%18.85B14.07%19.56B-3.46%17.29B-17.21%14.5B-17.21%14.5B-19.89%18.37B-20.08%17.15B
Non current liabilities
Non current financial liabilities -23.48%88M-17.74%102M-17.74%102M-12.80%109M-12.21%115M-10.95%122M-9.49%124M-9.49%124M-4.58%125M-3.68%131M
-Long term debt and capital lease obligation -23.48%88M-17.74%102M-17.74%102M-12.80%109M-12.21%115M-10.95%122M-9.49%124M-9.49%124M-4.58%125M-3.68%131M
-Including:Long term debt -20.83%76M-18.87%86M-18.87%86M-18.02%91M-17.24%96M-16.53%101M-15.87%106M-15.87%106M-15.27%111M-14.71%116M
-Including:Long term capital lease obligation -36.84%12M-11.11%16M-11.11%16M28.57%18M26.67%19M31.25%21M63.64%18M63.64%18M--14M--15M
Long term provisions 13.86%189M11.18%189M11.18%189M-2.35%166M-2.35%166M-2.35%166M0.00%170M0.00%170M0.00%170M0.00%170M
Non current deferred liabilities 0.00%7M0.00%7M0.00%7M-75.86%7M0.00%7M0.00%7M0.00%7M0.00%7M314.29%29M0.00%7M
Other non current liabilities -17.02%39M-11.63%38M-11.63%38M-7.14%39M14.63%47M4.88%43M4.88%43M4.88%43M7.69%42M5.13%41M
Total non current liabilities -3.58%323M-2.33%336M-2.33%336M-12.30%321M-4.01%335M-4.79%338M-3.10%344M-3.10%344M5.48%366M-0.85%349M
Total liabilities 17.78%23.43B18.83%17.64B18.83%17.64B2.34%19.18B13.71%19.89B-3.49%17.63B-16.93%14.85B-16.93%14.85B-19.51%18.74B-19.77%17.49B
Shareholders'equity
Share capital 0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B
-common stock 0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B0.00%14.58B
Additional paid-in capital -0.20%3.94B-29.14%3.94B-29.14%3.94B-29.09%3.95B-29.09%3.95B-0.32%5.56B-19.22%5.56B-19.22%5.56B-19.17%5.57B-19.16%5.57B
Retained earnings 7.19%14.41B5.93%13.94B5.93%13.94B0.39%13.13B-0.33%13.44B-1.38%13.06B-3.73%13.16B-3.73%13.16B-2.64%13.07B1.15%13.49B
Less: Treasury stock -1.35%2.62B-38.64%2.63B-38.64%2.63B-32.64%2.66B-32.61%2.66B7.09%4.29B4.76%4.29B4.76%4.29B-3.78%3.94B-3.68%3.95B
Fixed asset revaluation reserve 0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B0.00%-1.13B
Other reserves 795.00%278M522.06%287M522.06%287M-129.57%-34M-134.78%-40M-157.26%-67M-151.13%-68M-151.13%-68M-43.07%115M-47.49%115M
Other equity interest 115.38%28M66.67%20M66.67%20M30.77%17M-7.14%13M-45.00%11M-45.45%12M-45.45%12M-35.00%13M-22.22%14M
Total stockholders'equity 4.72%29.48B4.25%29.01B4.25%29.01B-1.51%27.85B-1.86%28.15B-2.39%27.73B-7.45%27.83B-7.45%27.83B-5.40%28.28B-3.77%28.69B
Total equity 4.72%29.48B4.25%29.01B4.25%29.01B-1.51%27.85B-1.86%28.15B-2.39%27.73B-7.45%27.83B-7.45%27.83B-5.40%28.28B-3.77%28.69B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP