(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 | 13.77%15.5B | 0.53%14.41B | -2.86%13.89B | -2.86%13.89B | 6.22%13.58B | 20.55%13.63B | 57.29%14.33B | 64.72%14.29B | 64.72%14.29B | 60.84%12.78B |
-Cash and cash equivalents | 13.77%15.5B | 0.53%14.41B | -2.86%13.89B | -2.86%13.89B | 6.22%13.58B | 20.55%13.63B | 57.29%14.33B | 64.72%14.29B | 64.72%14.29B | 60.84%12.78B |
Receivables | 35.16%2.87B | 7.50%2.56B | -26.55%2.18B | -26.55%2.18B | -35.61%2.24B | -43.70%2.12B | -36.89%2.38B | -12.63%2.97B | -12.63%2.97B | 22.05%3.47B |
-Accounts receivable | 35.16%2.87B | 7.50%2.56B | -26.55%2.18B | -26.55%2.18B | -35.61%2.24B | -43.70%2.12B | -36.89%2.38B | -12.63%2.97B | -12.63%2.97B | 22.05%3.47B |
-Gross accounts receivable | 35.16%2.87B | 7.50%2.56B | -26.55%2.18B | -26.55%2.18B | -35.61%2.24B | -43.70%2.12B | -36.89%2.38B | -12.63%2.97B | -12.63%2.97B | 22.05%3.47B |
Inventory | -8.34%6.82M | 2.28%6.47M | -0.91%6.19M | -0.91%6.19M | 15.45%7.52M | 18.28%7.44M | 13.64%6.32M | 16.89%6.24M | 16.89%6.24M | --6.51M |
Other current assets | -3.46%1.16B | 24.05%1.07B | 11.65%1.03B | 11.65%1.03B | 16.87%1.16B | 11.31%1.21B | 2.92%865.78M | 1.18%925.63M | 1.18%925.63M | 21.56%995.35M |
Total current assets | 15.21%19.54B | 2.63%18.04B | -5.99%17.11B | -5.99%17.11B | -1.58%16.99B | 4.95%16.96B | 28.07%17.58B | 40.01%18.19B | 40.01%18.19B | 48.62%17.26B |
Non current assets | ||||||||||
Net PPE | 17.38%6.37B | 84.98%5.93B | 70.08%5.63B | 70.08%5.63B | 73.49%5.64B | 64.68%5.43B | -0.59%3.2B | 5.07%3.31B | 5.07%3.31B | 5.94%3.25B |
-Gross PP&E | 13.57%8.14B | 64.33%7.86B | 55.30%7.5B | 55.30%7.5B | 58.11%7.47B | 50.30%7.16B | 4.72%4.78B | 10.48%4.83B | 10.48%4.83B | 54.00%4.73B |
-Accumulated depreciation | -1.70%-1.77B | -22.37%-1.93B | -23.14%-1.87B | -23.14%-1.87B | -24.20%-1.83B | -18.10%-1.74B | -17.48%-1.58B | -24.41%-1.52B | -24.41%-1.52B | ---1.47B |
Prepaid assets-non current | 14.79%368.57M | 10.15%338.75M | 6.81%331.11M | 6.81%331.11M | 4.42%327.71M | 4.85%321.09M | 6.12%307.54M | 7.45%310M | 7.45%310M | --313.83M |
Total investment | 8.04%73.39M | 2.03%70.54M | -42.96%69.47M | -42.96%69.47M | -38.39%69.8M | -39.81%67.92M | -41.46%69.13M | -0.48%121.78M | -0.48%121.78M | --113.28M |
-Financial asset investment | 8.04%73.39M | 2.03%70.54M | -42.96%69.47M | -42.96%69.47M | -38.39%69.8M | -39.81%67.92M | -41.46%69.13M | -0.48%121.78M | -0.48%121.78M | --113.28M |
-Including:Available-for-sale securities | 8.04%73.39M | 2.03%70.54M | -42.96%69.47M | -42.96%69.47M | -38.39%69.8M | -39.81%67.92M | -41.46%69.13M | -0.48%121.78M | -0.48%121.78M | --113.28M |
Long-term accounts receivable and other receivables | 13.54%122.94M | 535.43%116.6M | 475.62%106.91M | 475.62%106.91M | 1,335.20%111.39M | 1,355.32%108.28M | 137.94%18.35M | 151.96%18.57M | 151.96%18.57M | --7.76M |
Goodwill and other intangible assets | -9.00%60.41M | -4.65%57.92M | 3.89%59.35M | 3.89%59.35M | 4.80%62.8M | 4.53%66.38M | -10.58%60.75M | -27.62%57.13M | -27.62%57.13M | -29.74%59.93M |
-Goodwill | --0 | --0 | -79.08%1.64M | -79.08%1.64M | -63.40%3.3M | -55.19%4.9M | -50.58%6.12M | -60.87%7.83M | -60.87%7.83M | -67.48%9.01M |
-Other intangible assets | -1.75%60.41M | 6.04%57.92M | 17.07%57.71M | 17.07%57.71M | 16.87%59.5M | 16.94%61.49M | -1.66%54.63M | -16.33%49.3M | -16.33%49.3M | -11.58%50.91M |
Deferred tax assets-non current | -10.27%118.26M | 8.23%120.09M | -7.85%105.25M | -7.85%105.25M | 21.93%144.58M | 28.53%131.79M | 0.73%110.96M | 19.13%114.22M | 19.13%114.22M | --118.58M |
Other non current assets | -24.39%-56.22M | -622.48%-49.82M | -548.87%-41.54M | -548.87%-41.54M | -381.35%-47.78M | -353.41%-45.2M | -41.36%9.54M | -41.30%9.25M | -41.30%9.25M | -96.70%16.98M |
Total non current assets | 16.13%7.06B | 74.09%6.58B | 58.84%6.26B | 58.84%6.26B | 62.54%6.31B | 55.59%6.08B | -1.38%3.78B | 4.84%3.94B | 4.84%3.94B | 5.79%3.88B |
Total assets | 15.45%26.6B | 15.28%24.63B | 5.55%23.36B | 5.55%23.36B | 10.19%23.3B | 14.81%23.04B | 21.64%21.36B | 32.12%22.13B | 32.12%22.13B | 38.34%21.14B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 26.32%171.28M | -31.49%95.66M | -40.11%86.7M | -40.11%86.7M | -24.61%112.81M | -1.12%135.6M | 9.91%139.62M | 32.24%144.76M | 32.24%144.76M | --149.62M |
-Current debt and capital lease obligation | 26.32%171.28M | -31.49%95.66M | -40.11%86.7M | -40.11%86.7M | -24.61%112.81M | -1.12%135.6M | 9.91%139.62M | 32.24%144.76M | 32.24%144.76M | --149.62M |
-Including:Current capital Lease obligation | 26.32%171.28M | -31.49%95.66M | -40.11%86.7M | -40.11%86.7M | -24.61%112.81M | -1.12%135.6M | 9.91%139.62M | 32.24%144.76M | 32.24%144.76M | --149.62M |
Payables | 7.13%2.13B | -2.10%1.79B | -49.92%1.48B | -49.92%1.48B | -46.90%1.5B | -30.39%1.98B | -20.52%1.82B | 16.25%2.95B | 16.25%2.95B | 30.01%2.83B |
-accounts payable | 13.86%1.54B | 6.63%1.46B | -18.71%1.25B | -18.71%1.25B | -24.29%1.33B | -29.66%1.35B | -25.06%1.37B | -12.61%1.53B | -12.61%1.53B | 9.70%1.76B |
-Total tax payable | -7.16%589.05M | -28.21%328.6M | -83.69%231.36M | -83.69%231.36M | -84.22%168.23M | -31.89%634.51M | -2.95%457.69M | 80.90%1.42B | 80.90%1.42B | 87.16%1.07B |
Pension and other retirement benefit plans | 7.32%45.28M | 12.97%185.95M | 13.92%16.07M | 13.92%16.07M | 0.17%190.52M | 9.08%42.19M | 3.07%164.59M | 17.45%14.11M | 17.45%14.11M | 8.07%190.19M |
Accrued and deferred income | 26.27%278.23M | 32.26%251.49M | -1.85%263.16M | -1.85%263.16M | 30.99%244.93M | -2.93%220.34M | -7.92%190.14M | 10.46%268.11M | 10.46%268.11M | --186.99M |
Other current liabilities | -15.84%299.9M | 7.15%340.76M | -28.65%296.98M | -28.65%296.98M | -19.66%374.98M | -41.81%356.36M | -31.39%318.03M | -17.60%416.22M | -17.60%416.22M | -31.91%466.73M |
Current liabilities | 6.64%2.92B | 0.87%2.66B | -43.58%2.14B | -43.58%2.14B | -36.54%2.42B | -29.15%2.74B | -18.92%2.64B | 11.34%3.8B | 11.34%3.8B | 25.84%3.82B |
Non current liabilities | ||||||||||
Non current financial liabilities | 301.39%274.52M | 49.49%113.7M | -49.76%53.99M | -49.76%53.99M | -37.55%58.57M | -25.62%68.39M | -28.78%76.06M | -13.15%107.46M | -13.15%107.46M | --93.79M |
-Long term debt and capital lease obligation | 301.39%274.52M | 49.49%113.7M | -49.76%53.99M | -49.76%53.99M | -37.55%58.57M | -25.62%68.39M | -28.78%76.06M | -13.15%107.46M | -13.15%107.46M | --93.79M |
-Including:Long term capital lease obligation | 301.39%274.52M | 49.49%113.7M | -49.76%53.99M | -49.76%53.99M | -37.55%58.57M | -25.62%68.39M | -28.78%76.06M | -13.15%107.46M | -13.15%107.46M | --93.79M |
Long term pension and other post-retirement benefit plans | -12.46%479.35M | -9.49%468.56M | -8.17%466.34M | -8.17%466.34M | 15.67%563.7M | 15.48%547.57M | 17.81%517.7M | 17.12%507.84M | 17.12%507.84M | 16.94%487.31M |
Non current deferred liabilities | 29.49%313.69M | 34.36%251.8M | 69.10%255.42M | 69.10%255.42M | 911.93%229.96M | 461.07%242.25M | 745.20%187.41M | 423.88%151.04M | 423.88%151.04M | --22.73M |
Other non current liabilities | 14.72%71.92M | 15.27%70.92M | 3.55%63.87M | 3.55%63.87M | 5.59%64.4M | 6.45%62.69M | 6.69%61.53M | 8.15%61.68M | 8.15%61.68M | -75.97%60.99M |
Total non current liabilities | 23.74%1.14B | 7.39%904.99M | 1.40%839.62M | 1.40%839.62M | 37.88%916.63M | 37.83%920.9M | 34.60%842.7M | 28.73%828.02M | 28.73%828.02M | -0.85%664.82M |
Total liabilities | 10.94%4.06B | 2.45%3.57B | -35.53%2.98B | -35.53%2.98B | -25.51%3.34B | -19.28%3.66B | -10.28%3.48B | 14.10%4.62B | 14.10%4.62B | 21.01%4.48B |
Shareholders'equity | ||||||||||
Share capital | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M |
-common stock | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M | 0.00%243.94M |
Additional paid-in capital | 20.24%380.53M | 21.64%372.89M | 22.53%372.89M | 22.53%372.89M | 3.99%316.46M | 3.99%316.46M | 2.39%306.56M | 1.64%304.33M | 1.64%304.33M | 1.64%304.33M |
Retained earnings | 11.75%19.36B | 11.58%18.56B | 13.03%18.33B | 13.03%18.33B | 16.23%17.67B | 22.64%17.33B | 29.96%16.63B | 32.89%16.22B | 32.89%16.22B | 34.55%15.2B |
Less: Treasury stock | 4.31%1.04B | 4.48%1.05B | 4.42%1.05B | 4.42%1.05B | -0.96%992.54M | -0.96%994.59M | -0.91%1B | -0.85%1B | -0.85%1B | -0.89%1B |
Other reserves | 60.99%2.6B | 125.93%1.99B | 78.96%1.58B | 78.96%1.58B | 68.84%1.82B | 55.85%1.61B | 49.17%880.61M | 233.77%881.75M | 233.77%881.75M | 1,132.96%1.08B |
Total stockholders'equity | 16.43%21.55B | 17.91%20.12B | 17.02%19.48B | 17.02%19.48B | 20.42%19.06B | 25.83%18.5B | 32.05%17.06B | 38.71%16.64B | 38.71%16.64B | 44.94%15.83B |
Noncontrolling interests | 13.59%991.91M | 14.94%941.82M | 4.43%904.62M | 4.43%904.62M | 8.05%897.32M | 5.68%873.24M | 7.67%819.44M | 23.57%866.24M | 23.57%866.24M | 26.26%830.51M |
Total equity | 16.31%22.54B | 17.78%21.06B | 16.40%20.38B | 16.40%20.38B | 19.80%19.96B | 24.76%19.38B | 30.69%17.88B | 37.87%17.51B | 37.87%17.51B | 43.88%16.66B |
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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