Wintest
6721
Showcase
3909
Beauty Kadan Holdings
3041
Cybozu
4776
KODAMA CHEMICAL INDUSTRY
4222
(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 | 2.24%10.23B | -0.94%10.17B | -0.94%10.17B | -13.51%9.05B | -28.49%10B | -17.92%10.83B | -38.08%10.27B | -38.08%10.27B | -39.64%10.47B | -16.41%13.99B |
-Cash and cash equivalents | -4.84%8.1B | 1.10%8.42B | 1.10%8.42B | -9.80%7.84B | -30.46%8.51B | -18.06%9.48B | -44.08%8.33B | -44.08%8.33B | -45.17%8.7B | -17.25%12.24B |
-Short term investments | 42.63%2.13B | -9.77%1.75B | -9.77%1.75B | -31.75%1.21B | -14.69%1.49B | -16.93%1.35B | 14.90%1.94B | 14.90%1.94B | 19.59%1.77B | -10.03%1.75B |
Receivables | -15.61%55.19B | -3.02%61.98B | -3.02%61.98B | -12.87%58.45B | 7.25%65.4B | 5.75%56.53B | 37.07%63.91B | 37.07%63.91B | 26.50%67.08B | 16.52%60.98B |
-Accounts receivable | -43.99%317M | -41.87%311M | -41.87%311M | -79.80%415M | -41.04%566M | -28.36%346M | -19.43%535M | -19.43%535M | 200.73%2.05B | 15.38%960M |
-Other receivables | -15.36%54.87B | -2.69%61.67B | -2.69%61.67B | -10.75%58.03B | 8.02%64.83B | 6.06%56.18B | 37.88%63.37B | 37.88%63.37B | 24.23%65.03B | 16.54%60.02B |
Prepaid assets | -4.17%8.58B | -8.42%8.46B | -8.42%8.46B | -4.42%8.98B | -6.55%8.95B | -5.79%9B | 0.10%9.23B | 0.10%9.23B | -1.23%9.4B | 4.15%9.58B |
Restricted cash | 2.88%106.27B | 23.02%106.05B | 23.02%106.05B | 5.37%104.59B | 10.51%103.3B | 18.85%110.4B | -8.56%86.21B | -8.56%86.21B | 2.73%99.25B | -10.84%93.47B |
Hedging assets-current | --0 | --0 | --0 | -88.89%1M | 100.00%2M | -93.33%1M | --0 | --0 | 12.50%9M | -83.33%1M |
Other current assets | -65.00%336M | 2.87%789M | 2.87%789M | -10.03%664M | 56.61%960M | -27.00%1.05B | -32.42%767M | -32.42%767M | -50.17%738M | -25.52%613M |
Total current assets | -4.25%180.6B | 10.01%187.45B | 10.01%187.45B | -2.79%181.73B | 5.59%188.61B | 10.12%187.81B | 1.51%170.38B | 1.51%170.38B | 5.03%186.94B | -2.88%178.63B |
Non current assets | ||||||||||
Net PPE | 26.07%1.67B | 19.03%1.75B | 19.03%1.75B | -14.95%1.27B | -15.59%1.33B | -13.83%1.4B | -12.63%1.47B | -12.63%1.47B | -13.66%1.5B | -12.52%1.57B |
-Gross PP&E | 26.19%1.67B | 19.06%1.74B | 19.06%1.74B | -14.96%1.27B | -15.66%1.33B | -13.84%1.39B | -12.70%1.46B | -12.70%1.46B | -13.67%1.5B | -12.58%1.57B |
Prepaid assets-non current | 1.99%716M | 1.14%710M | 1.14%710M | 0.00%710M | -1.13%702M | -1.13%702M | 1.30%702M | 1.30%702M | 2.31%710M | 1.28%710M |
Total investment | 27.26%15.95B | 75.11%17.23B | 75.11%17.23B | 41.93%13.34B | 31.33%12.54B | 20.81%11.55B | -8.92%9.84B | -8.92%9.84B | -19.25%9.4B | -23.78%9.55B |
-Financial asset investment | 27.26%15.95B | 75.11%17.23B | 75.11%17.23B | 41.93%13.34B | 31.33%12.54B | 20.81%11.55B | -8.92%9.84B | -8.92%9.84B | -19.25%9.4B | -23.78%9.55B |
-Including:Available-for-sale securities | 27.26%15.95B | 75.11%17.23B | 75.11%17.23B | 41.93%13.34B | 31.33%12.54B | 20.81%11.55B | -8.92%9.84B | -8.92%9.84B | -19.25%9.4B | -23.78%9.55B |
Goodwill and other intangible assets | -45.07%195M | -38.29%274M | -38.29%274M | -36.59%312M | -36.04%355M | -31.22%401M | -27.80%444M | -27.80%444M | -24.54%492M | -17.90%555M |
-Other intangible assets | -45.07%195M | -38.29%274M | -38.29%274M | -36.59%312M | -36.04%355M | -31.22%401M | -27.80%444M | -27.80%444M | -24.54%492M | -17.90%555M |
Deferred tax assets-non current | 12.63%428M | 64.08%507M | 64.08%507M | 102.00%202M | 53.85%380M | 189.58%139M | 0.98%309M | 0.98%309M | -47.09%100M | -32.14%247M |
Other non current assets | -56.88%119M | -44.75%200M | -44.75%200M | -41.54%235M | -37.56%276M | -33.96%317M | -31.18%362M | -31.18%362M | -44.86%402M | -42.60%442M |
Total non current assets | 22.52%19.08B | 57.48%20.67B | 57.48%20.67B | 27.55%16.07B | 19.16%15.58B | 11.57%14.51B | -10.25%13.12B | -10.25%13.12B | -19.43%12.6B | -22.34%13.07B |
Total assets | -2.20%199.69B | 13.41%208.11B | 13.41%208.11B | -0.87%197.81B | 6.51%204.19B | 10.22%202.32B | 0.57%183.51B | 0.57%183.51B | 3.06%199.55B | -4.51%191.71B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -29.50%21.87B | -9.65%26.81B | -9.65%26.81B | -43.37%21.06B | -10.12%31.02B | -6.16%26.66B | 8.40%29.67B | 8.40%29.67B | 67.83%37.19B | 18.42%34.51B |
-Financial or other derivative investment liabilities | 800.00%9M | -52.17%11M | -52.17%11M | 150.00%5M | -75.00%1M | --7M | 1,050.00%23M | 1,050.00%23M | -88.89%2M | --4M |
-Current debt and capital lease obligation | -29.77%21.49B | -10.19%26.4B | -10.19%26.4B | -43.05%20.99B | -10.77%30.61B | -6.35%26.55B | 8.74%29.4B | 8.74%29.4B | 67.00%36.85B | 20.70%34.3B |
-Including:Current debt | -29.77%21.49B | -10.19%26.4B | -10.19%26.4B | -43.05%20.99B | -10.77%30.61B | -6.35%26.55B | 8.74%29.4B | 8.74%29.4B | 67.00%36.85B | 20.70%34.3B |
-Other financial liabilities | -10.92%367M | 58.23%394M | 58.23%394M | -79.35%70M | 100.98%412M | 80.00%99M | -25.45%249M | -25.45%249M | 346.05%339M | -71.72%205M |
Payables | 11.43%1.5B | 87.24%2.04B | 87.24%2.04B | 135.75%943M | 61.70%1.35B | 237.14%472M | 399.54%1.09B | 399.54%1.09B | 716.33%400M | 83.89%833M |
-Total tax payable | 11.43%1.5B | 87.24%2.04B | 87.24%2.04B | 135.75%943M | 61.70%1.35B | 237.14%472M | 399.54%1.09B | 399.54%1.09B | 716.33%400M | 83.89%833M |
Pension and other retirement benefit plans | 28.11%1.43B | 70.74%1.42B | 70.74%1.42B | 53.17%628M | 44.13%1.12B | 69.64%570M | -11.56%834M | -11.56%834M | -23.79%410M | -9.36%775M |
Accrued and deferred income | -10.49%40.16B | 11.81%46.43B | 11.81%46.43B | 2.56%46.33B | 0.28%44.86B | 13.13%50.99B | -10.25%41.53B | -10.25%41.53B | -8.84%45.18B | -9.66%44.74B |
Other current liabilities | 3.42%59.82B | 21.45%56.01B | 21.45%56.01B | 6.83%59.18B | 15.25%57.84B | 15.89%57.76B | -0.16%46.12B | -0.16%46.12B | -4.14%55.4B | -12.23%50.18B |
Current liabilities | -8.38%124.77B | 11.30%132.72B | 11.30%132.72B | -7.53%128.15B | 3.93%136.18B | 10.22%136.45B | -1.45%119.24B | -1.45%119.24B | 6.52%138.58B | -4.45%131.04B |
Non current liabilities | ||||||||||
Non current financial liabilities | 0.00%4B | 0.00%4B | 0.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | -50.00%2B | -50.00%2B |
-Long term debt and capital lease obligation | 0.00%4B | 0.00%4B | 0.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | -50.00%2B | -50.00%2B |
-Including:Long term debt | 0.00%4B | 0.00%4B | 0.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | 100.00%4B | -50.00%2B | -50.00%2B |
Long term provisions | 27.68%535M | 21.87%535M | 21.87%535M | -4.34%419M | -4.34%419M | -4.34%419M | 0.23%439M | 0.23%439M | 0.23%438M | 0.23%438M |
Non current deferred liabilities | 36.12%3.67B | 114.66%4.09B | 114.66%4.09B | 64.30%2.91B | 47.29%2.69B | 31.64%2.42B | -12.59%1.9B | -12.59%1.9B | -26.89%1.77B | -32.06%1.83B |
Other non current liabilities | 18.85%435M | 17.34%433M | 17.34%433M | -1.08%365M | -1.88%366M | -1.34%368M | 0.82%369M | 0.82%369M | 3.65%369M | 7.80%373M |
Total non current liabilities | 15.48%8.64B | 34.90%9.05B | 34.90%9.05B | 68.06%7.7B | 61.19%7.48B | 55.02%7.2B | 34.73%6.71B | 34.73%6.71B | -36.55%4.58B | -37.93%4.64B |
Total liabilities | -7.14%133.41B | 12.56%141.77B | 12.56%141.77B | -5.11%135.85B | 5.88%143.66B | 11.84%143.65B | -0.02%125.95B | -0.02%125.95B | 4.26%143.16B | -6.18%135.68B |
Shareholders'equity | ||||||||||
Share capital | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B |
-common stock | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B |
Additional paid-in capital | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B | 0.00%4.89B |
Retained earnings | 8.42%44.08B | 9.29%43.24B | 9.29%43.24B | 7.51%41.6B | 6.34%40.65B | 5.85%39.49B | 4.45%39.57B | 4.45%39.57B | 4.26%38.69B | 5.20%38.23B |
Less: Treasury stock | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B | 0.00%1.7B |
Other reserves | 34.88%9.01B | 106.52%9.91B | 106.52%9.91B | 59.28%7.17B | 45.11%6.68B | 29.63%5.99B | -11.51%4.8B | -11.51%4.8B | -25.01%4.5B | -30.34%4.6B |
Total stockholders'equity | 9.50%66.28B | 15.27%66.35B | 15.27%66.35B | 9.89%61.96B | 8.03%60.52B | 6.44%58.67B | 1.88%57.56B | 1.88%57.56B | 0.14%56.39B | -0.20%56.03B |
Total equity | 9.50%66.28B | 15.27%66.35B | 15.27%66.35B | 9.89%61.96B | 8.03%60.52B | 6.44%58.67B | 1.88%57.56B | 1.88%57.56B | 0.14%56.39B | -0.20%56.03B |
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 |