(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 | 57.66%30.1M | 245.93%232.14M | 245.93%232.14M | 279.52%188.33M | -71.27%19.09M | 95.89%88.47M | -26.99%67.11M | -26.99%67.11M | -83.90%49.62M | -72.60%66.44M |
-Cash and cash equivalents | 57.66%30.1M | 245.93%232.14M | 245.93%232.14M | 279.52%188.33M | -71.27%19.09M | 95.89%88.47M | -26.99%67.11M | -26.99%67.11M | -83.90%49.62M | -72.60%66.44M |
Receivables | -35.27%629.65M | -68.20%352.27M | -68.20%352.27M | -0.52%1.13B | -34.07%972.74M | -34.75%1.01B | -21.43%1.11B | -21.43%1.11B | 177.93%1.13B | 875.43%1.48B |
-Accounts receivable | -35.44%622.09M | -68.67%344.75M | -68.67%344.75M | -0.54%1.12B | -34.31%963.57M | -34.78%1B | -21.33%1.1B | -21.33%1.1B | 297.99%1.12B | 4,064.42%1.47B |
-Other receivables | -17.57%7.56M | 1.70%7.52M | 1.70%7.52M | 2.04%8.01M | 7.20%9.18M | -31.33%7.4M | -33.79%7.4M | -33.79%7.4M | -93.71%7.85M | -92.62%8.56M |
Inventory | -21.90%141.76M | -70.65%39.22M | -70.65%39.22M | -25.58%170.56M | -23.05%181.51M | -49.14%124.74M | -45.47%133.6M | -45.47%133.6M | -88.18%229.18M | -65.43%235.87M |
Prepaid assets | 194.37%935.48M | -83.96%21.53M | -83.96%21.53M | 8.80%336.15M | 676,059.57%317.8M | 314,945.00%315.05M | 171,928.21%134.18M | 171,928.21%134.18M | 275,752.68%308.96M | -99.87%47K |
Tax assets-Current | -74.10%16.03M | --123.02M | --123.02M | --67.63M | --61.87M | ---- | ---- | ---- | ---- | ---- |
Other current assets | 100.40%1.51M | -110.70%-2.34M | -110.70%-2.34M | -2,628.39%-330.99M | -2,909.69%-374.8M | 457.30%10.65M | 760.19%21.86M | 760.19%21.86M | -66.46%13.09M | 82.07%-12.45M |
Total current assets | 48.91%1.75B | -47.71%765.83M | -47.71%765.83M | -10.10%1.56B | -33.26%1.18B | -15.86%1.55B | -16.01%1.46B | -16.01%1.46B | -35.65%1.73B | 69.15%1.77B |
Non current assets | ||||||||||
Net PPE | 78.75%69.97M | 227.98%37.07M | 227.98%37.07M | 207.80%37.55M | 243.38%39.14M | -22.14%9.09M | -1.57%11.3M | -1.57%11.3M | -2.38%12.2M | 77.22%11.4M |
-Gross PP&E | 76.93%83.54M | 98.84%47.73M | 98.84%47.73M | 94.38%46.71M | 34.65%47.22M | -51.34%16.89M | -50.39%24.01M | -50.39%24.01M | -81.29%24.03M | -74.41%35.07M |
-Accumulated depreciation | -68.10%-13.57M | 16.03%-10.67M | 16.03%-10.67M | 22.56%-9.16M | 65.88%-8.07M | 66.13%-7.81M | 65.58%-12.7M | 65.58%-12.7M | 89.79%-11.83M | 81.88%-23.67M |
Prepaid assets-non current | 18.33%84.88M | 163.94%62.95M | 163.94%62.95M | 199.25%71.73M | 198.01%71.73M | -0.86%23.58M | -2.73%23.85M | -2.73%23.85M | -63.66%23.97M | -83.87%24.07M |
Long-term accounts receivable and other receivables | -0.50%1.82B | -0.50%1.82B | -0.50%1.82B | 0.00%1.83B | 1.00%1.83B | 0.44%1.83B | 0.44%1.83B | 0.44%1.83B | 65.82%1.83B | 64.17%1.81B |
Goodwill and other intangible assets | 126.48%937.69M | 4,394.64%393.01M | 4,394.64%393.01M | 4,219.27%403.51M | 15,071.27%414.02M | -66.91%587K | 690.60%8.74M | 690.60%8.74M | 681.76%9.34M | 112.54%2.73M |
-Goodwill | 126.40%936.12M | --392.64M | --392.64M | --403.06M | --413.48M | ---- | ---- | ---- | ---- | ---- |
-Other intangible assets | 190.20%1.57M | -95.70%376K | -95.70%376K | -95.22%447K | -80.18%541K | -66.91%587K | 690.60%8.74M | 690.60%8.74M | 681.76%9.34M | 112.54%2.73M |
Deferred assets-non current | --0 | --205K | --205K | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other non current assets | 1.33%-1.82B | 1.28%-1.82B | 1.28%-1.82B | -0.02%-1.84B | -1.04%-1.84B | -0.47%-1.84B | -0.48%-1.84B | -0.48%-1.84B | -72.17%-1.84B | -70.44%-1.82B |
Total non current assets | 112.80%1.1B | 1,286.25%499.66M | 1,286.25%499.66M | 1,233.62%504.68M | 1,583.64%516.69M | -15.38%25.29M | 20.11%36.04M | 20.11%36.04M | -67.36%37.84M | -84.11%30.69M |
Total assets | 68.39%2.85B | -15.67%1.27B | -15.67%1.27B | 16.48%2.06B | -5.63%1.69B | -15.85%1.58B | -15.40%1.5B | -15.40%1.5B | -36.96%1.77B | 45.21%1.8B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 9.55%704.4M | 372.09%203M | 372.09%203M | 1,885.42%953M | 920.63%643M | -44.87%43M | -58.25%43M | -58.25%43M | --48M | --63M |
-Current debt and capital lease obligation | 9.55%704.4M | 372.09%203M | 372.09%203M | 1,885.42%953M | 920.63%643M | -44.87%43M | -58.25%43M | -58.25%43M | --48M | --63M |
-Including:Current debt | 9.55%704.4M | 372.09%203M | 372.09%203M | 1,885.42%953M | 920.63%643M | -44.87%43M | -58.25%43M | -58.25%43M | --48M | --63M |
Payables | 322.75%722.05M | -57.35%146.93M | -57.35%146.93M | -61.77%247.86M | -79.70%170.8M | -66.74%323.04M | -57.60%344.45M | -57.60%344.45M | -53.70%648.36M | 243.24%841.3M |
-accounts payable | 213.18%415.45M | -44.66%108.11M | -44.66%108.11M | -57.68%217.05M | -82.21%132.66M | -68.86%288.19M | -74.80%195.37M | -74.80%195.37M | -62.02%512.84M | 236.60%745.74M |
-Total tax payable | 636.44%21.91M | -94.49%7.17M | -94.49%7.17M | -98.43%1.65M | -96.24%2.98M | -48.42%10.32M | 755.18%130.2M | 755.18%130.2M | 992.54%104.65M | 1,707.18%79.06M |
-Other payable | 709.53%284.69M | 67.54%31.65M | 67.54%31.65M | -5.47%29.17M | 113.24%35.17M | -5.23%24.54M | -14.09%18.89M | -14.09%18.89M | -24.12%30.86M | -14.01%16.49M |
Accrued and deferred income | 1,472.57%371.91M | --9.74M | --9.74M | --94.38M | --23.65M | ---- | ---- | ---- | ---- | ---- |
Other current liabilities | -13.56%8.23M | -47.91%4.47M | -47.91%4.47M | 127.31%16.44M | -35.84%9.53M | -72.41%6.93M | -71.26%8.58M | -71.26%8.58M | -86.38%7.23M | -74.10%14.85M |
Current liabilities | 113.30%1.81B | -8.05%364.13M | -8.05%364.13M | 86.43%1.31B | -7.85%846.97M | -65.28%372.97M | -58.27%396.03M | -58.27%396.03M | -55.27%703.59M | 203.93%919.14M |
Non current liabilities | ||||||||||
Non current financial liabilities | --630M | --650M | --650M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Long term debt and capital lease obligation | --630M | --650M | --650M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Including:Long term debt | --630M | --650M | --650M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Long term provisions | ---- | ---- | ---- | -15.11%2.78M | -15.11%2.78M | 0.00%3.28M | 0.00%3.28M | 0.00%3.28M | -8.39%3.28M | -8.39%3.28M |
Long term pension and other post-retirement benefit plans | ---- | ---- | ---- | 15.71%3.98M | 16.69%3.98M | 37.04%3.48M | 38.51%3.48M | 38.51%3.48M | 38.41%3.44M | 38.80%3.41M |
Other non current liabilities | -9.66%26.61M | 26.91%29.03M | 26.91%29.03M | 26.68%29.24M | 26.43%29.45M | -3.58%22.66M | -14.39%22.87M | -14.39%22.87M | -14.28%23.08M | -14.16%23.29M |
Total non current liabilities | 1,713.38%656.61M | 2,192.07%679.03M | 2,192.07%679.03M | 20.82%36M | 20.79%36.21M | 0.34%29.42M | -8.85%29.63M | -8.85%29.63M | -9.67%29.8M | -9.62%29.98M |
Total liabilities | 178.90%2.46B | 145.07%1.04B | 145.07%1.04B | 83.76%1.35B | -6.95%883.18M | -63.54%402.38M | -56.63%425.66M | -56.63%425.66M | -54.33%733.38M | 182.82%949.12M |
Shareholders'equity | ||||||||||
Share capital | 1.47%10.97B | 3.06%10.97B | 3.06%10.97B | 1.56%10.81B | 1.56%10.81B | 0.62%10.71B | 0.00%10.64B | 0.00%10.64B | 0.34%10.64B | 2.01%10.64B |
-common stock | 1.47%10.97B | 3.06%10.97B | 3.06%10.97B | 1.56%10.81B | 1.56%10.81B | 0.62%10.71B | 0.00%10.64B | 0.00%10.64B | 0.34%10.64B | 2.01%10.64B |
Additional paid-in capital | 18.98%4.81B | 8.38%4.21B | 8.38%4.21B | 4.28%4.05B | 4.28%4.05B | 1.71%3.95B | 0.00%3.88B | 0.00%3.88B | 0.95%3.88B | 5.70%3.88B |
Retained earnings | -9.52%-15.39B | -11.22%-14.96B | -11.22%-14.96B | -4.93%-14.15B | -2.63%-14.06B | 2.01%-13.5B | 2.18%-13.45B | 2.18%-13.45B | -1.74%-13.49B | -3.79%-13.7B |
Less: Treasury stock | 0.25%5.95M | 0.42%5.95M | 0.42%5.95M | 0.44%5.94M | 0.39%5.94M | 0.32%5.93M | 0.34%5.92M | 0.34%5.92M | 0.41%5.92M | 0.44%5.92M |
Other equity interest | -49.87%9.93M | 67.76%16.65M | 67.76%16.65M | 99.50%19.8M | -25.31%19.8M | -17.85%21.78M | -62.56%9.93M | -62.56%9.93M | -42.64%9.93M | --26.51M |
Total stockholders'equity | -51.85%390.86M | -79.32%222.34M | -79.32%222.34M | -31.10%714.64M | -4.15%811.72M | 52.67%1.17B | 35.69%1.08B | 35.69%1.08B | -13.78%1.04B | -6.03%846.83M |
Total equity | -51.85%390.86M | -79.32%222.34M | -79.32%222.34M | -31.10%714.64M | -4.15%811.72M | 52.67%1.17B | 35.69%1.08B | 35.69%1.08B | -13.78%1.04B | -6.03%846.83M |
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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