(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 | -7.62%195.26B | 23.27%231.04B | 23.27%231.04B | 11.53%181.38B | -0.69%211.37B | -14.57%179.16B | -8.71%187.43B | -8.71%187.43B | -21.34%162.63B | 4.14%212.84B |
-Cash and cash equivalents | 4.06%194.92B | 9.37%204.88B | 9.37%204.88B | 0.77%163.63B | -11.87%187.31B | -23.63%160.05B | -8.74%187.32B | -8.74%187.32B | -20.75%162.39B | 4.74%212.55B |
-Short term investments | -98.56%347M | 24,577.36%26.16B | 24,577.36%26.16B | 7,295.83%17.75B | 8,196.90%24.06B | 12,069.43%19.11B | 68.25%106M | 68.25%106M | -86.97%240M | -79.94%290M |
Receivables | -1.74%164.62B | 18.64%178.71B | 18.64%178.71B | 15.64%178.16B | 15.93%167.53B | 10.47%157.14B | 10.76%150.64B | 10.76%150.64B | 15.25%154.06B | 14.43%144.52B |
-Accounts receivable | -1.74%164.62B | 18.64%178.71B | 18.64%178.71B | 15.64%178.16B | 15.93%167.53B | 10.47%157.14B | 10.76%150.64B | 10.76%150.64B | 15.25%154.06B | 14.43%144.52B |
Inventory | 2.16%286.05B | 14.82%286.6B | 14.82%286.6B | 14.94%272.5B | 18.99%279.99B | 24.68%272.5B | 25.73%249.62B | 25.73%249.62B | 27.53%237.07B | 30.41%235.32B |
Tax assets-Current | -65.82%1.09B | -54.21%1.34B | -54.21%1.34B | 44.68%3.67B | 248.69%3.2B | 320.27%3.44B | 275.32%2.92B | 275.32%2.92B | 227.23%2.54B | 106.76%918M |
Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --5.33B |
Other current assets | 45.30%32.17B | 17.48%24.43B | 17.48%24.43B | 80.09%33.3B | -9.46%22.14B | 10.99%21.44B | 14.97%20.8B | 14.97%20.8B | 10.42%18.49B | 35.99%24.45B |
Total current assets | -0.74%679.2B | 18.11%722.12B | 18.11%722.12B | 16.39%669.01B | 9.76%684.24B | 7.28%633.68B | 9.43%611.4B | 9.43%611.4B | 5.69%574.79B | 17.72%623.37B |
Non current assets | ||||||||||
Net PPE | 2.83%412.16B | 12.13%415.85B | 12.13%415.85B | 9.20%389.54B | 8.80%400.83B | 10.04%389.18B | 11.08%370.87B | 11.08%370.87B | 13.12%356.72B | 19.78%368.4B |
Total investment | 50.26%41.52B | 1.78%38.78B | 1.78%38.78B | -23.22%29.39B | -39.13%27.63B | -30.91%27.37B | 26.71%38.1B | 26.71%38.1B | 50.24%38.27B | 80.49%45.39B |
-Long-term equity investment | -4.42%2.03B | -34.51%2.41B | -34.51%2.41B | -45.33%1.99B | -42.87%2.13B | -8.47%3.6B | -10.96%3.68B | -10.96%3.68B | -9.58%3.64B | -5.07%3.73B |
-Financial asset investment | 54.82%39.48B | 5.66%36.37B | 5.66%36.37B | -20.89%27.39B | -38.79%25.5B | -33.39%23.77B | 32.71%34.42B | 32.71%34.42B | 61.48%34.63B | 96.31%41.67B |
-Including:Available-for-sale securities | 54.82%39.48B | 5.66%36.37B | 5.66%36.37B | -20.89%27.39B | -38.79%25.5B | -33.39%23.77B | 32.71%34.42B | 32.71%34.42B | 61.48%34.63B | 96.31%41.67B |
Goodwill and other intangible assets | -7.38%546.6B | 9.29%588.23B | 9.29%588.23B | 4.16%558.81B | 1.24%590.17B | 2.32%576.72B | 4.55%538.21B | 4.55%538.21B | 10.23%536.5B | 22.77%582.93B |
Deferred tax assets-non current | 17.24%25.33B | -2.35%19.98B | -2.35%19.98B | 0.87%21.78B | -3.67%21.6B | 2.79%21.3B | 1.29%20.46B | 1.29%20.46B | 3.04%21.59B | 3.35%22.42B |
Other non current assets | 98.36%47.46B | 100.34%46.46B | 100.34%46.46B | 48.35%23.14B | 45.74%23.93B | 49.54%22.55B | 44.53%23.19B | 44.53%23.19B | 69.47%15.6B | 60.22%16.42B |
Total non current assets | 0.84%1.07T | 11.96%1.11T | 11.96%1.11T | 5.57%1.02T | 2.76%1.06T | 4.47%1.04T | 8.29%990.83B | 8.29%990.83B | 12.94%968.68B | 23.36%1.04T |
Total assets | 0.22%1.75T | 14.30%1.83T | 14.30%1.83T | 9.60%1.69T | 5.39%1.75T | 5.52%1.67T | 8.72%1.6T | 8.72%1.6T | 10.13%1.54T | 21.18%1.66T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -86.08%22.85B | 775.17%164.71B | 775.17%164.71B | 760.07%158.91B | 776.04%164.15B | 721.98%162.37B | 125.42%18.82B | 125.42%18.82B | -53.25%18.48B | -50.99%18.74B |
-Current debt and capital lease obligation | -90.41%15B | 1,297.75%156.87B | 1,297.75%156.87B | 1,248.72%151.25B | 1,281.13%156.4B | 1,189.53%153.85B | 901.16%11.22B | 901.16%11.22B | -65.36%11.21B | -64.52%11.32B |
-Including:Current debt | -90.41%15B | 1,297.75%156.87B | 1,297.75%156.87B | 1,248.72%151.25B | 1,281.13%156.4B | 1,189.53%153.85B | 901.16%11.22B | 901.16%11.22B | -65.36%11.21B | -64.52%11.32B |
-Other financial liabilities | 1.23%7.85B | 3.16%7.84B | 3.16%7.84B | 5.51%7.66B | 4.57%7.75B | 8.82%8.51B | 5.11%7.6B | 5.11%7.6B | 1.71%7.26B | 17.38%7.41B |
Payables | 10.98%121.79B | -0.88%120.24B | -0.88%120.24B | 4.96%107.22B | 7.27%109.73B | 12.37%101.5B | 26.82%121.3B | 26.82%121.3B | 24.77%102.15B | 18.16%102.3B |
-accounts payable | 8.86%93.96B | -4.06%93.77B | -4.06%93.77B | 4.19%87.3B | 4.82%86.32B | 10.53%85.51B | 19.86%97.74B | 19.86%97.74B | 16.71%83.79B | 13.27%82.34B |
-Total tax payable | 18.81%27.82B | 12.32%26.47B | 12.32%26.47B | 8.46%19.92B | 17.37%23.42B | 23.39%15.99B | 67.07%23.56B | 67.07%23.56B | 82.18%18.36B | 43.81%19.95B |
Current provisions | 30.46%227M | -35.26%213M | -35.26%213M | -40.11%212M | -55.95%174M | -32.17%310M | -34.07%329M | -34.07%329M | -23.71%354M | -8.56%395M |
Held for sale liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --776M |
Other current liabilities | 0.74%86.18B | 21.20%94B | 21.20%94B | 13.64%84.91B | 6.86%85.55B | 3.10%75.19B | 5.91%77.55B | 5.91%77.55B | 13.14%74.72B | 32.13%80.06B |
Current liabilities | -35.75%231.04B | 73.92%379.15B | 73.92%379.15B | 79.48%351.24B | 77.79%359.61B | 84.98%339.37B | 22.66%218B | 22.66%218B | 4.16%195.7B | 8.84%202.26B |
Non current liabilities | ||||||||||
Non current financial liabilities | 77.53%189.16B | -57.74%105.8B | -57.74%105.8B | -57.75%105.48B | -58.94%106.55B | -58.52%105.67B | -1.89%250.35B | -1.89%250.35B | 0.49%249.67B | 4.13%259.52B |
-Long term debt and capital lease obligation | 113.15%159.8B | -66.03%74.98B | -66.03%74.98B | -66.00%74.98B | -67.17%74.97B | -66.47%74.97B | -1.85%220.71B | -1.85%220.71B | 0.00%220.49B | 4.37%228.34B |
-Including:Long term debt | 113.15%159.8B | -66.03%74.98B | -66.03%74.98B | -66.00%74.98B | -67.17%74.97B | -66.47%74.97B | -1.85%220.71B | -1.85%220.71B | 0.00%220.49B | 4.37%228.34B |
-Other financial liabilities-Non current | -7.03%29.36B | 4.00%30.82B | 4.00%30.82B | 4.54%30.5B | 1.31%31.58B | -1.57%30.7B | -2.17%29.64B | -2.17%29.64B | 4.38%29.18B | 2.39%31.17B |
Long term provisions | 17.59%127M | -11.81%112M | -11.81%112M | -16.80%104M | -20.59%108M | 13.11%138M | 12.39%127M | 12.39%127M | 22.55%125M | 38.78%136M |
Long term pension and other post-retirement benefit plans | 20.14%6.05B | 26.28%5.94B | 26.28%5.94B | -4.80%4.92B | -4.53%5.04B | -18.71%5.07B | -19.07%4.7B | -19.07%4.7B | -25.91%5.17B | -22.71%5.28B |
Non current deferred liabilities | -56.33%2.66B | -65.90%3.03B | -65.90%3.03B | -66.60%3.39B | -47.17%6.09B | -35.85%8.57B | -30.41%8.87B | -30.41%8.87B | -16.76%10.16B | -10.07%11.53B |
Other non current liabilities | -3.00%9.71B | 12.89%10.28B | 12.89%10.28B | 17.65%10.52B | 9.84%10.01B | 4.52%9.33B | -7.22%9.11B | -7.22%9.11B | -10.67%8.94B | -10.90%9.11B |
Total non current liabilities | 62.53%207.71B | -54.18%125.16B | -54.18%125.16B | -54.60%124.41B | -55.25%127.79B | -54.56%128.77B | -3.70%273.16B | -3.70%273.16B | -1.32%274.06B | 2.28%285.57B |
Total liabilities | -9.98%438.75B | 2.68%504.31B | 2.68%504.31B | 1.26%475.66B | -0.09%487.4B | 0.27%468.14B | 6.45%491.16B | 6.45%491.16B | 0.89%469.76B | 4.90%487.83B |
Shareholders'equity | ||||||||||
Share capital | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B |
-common stock | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B | 0.00%38.72B |
Additional paid-in capital | 0.02%51.64B | -0.01%51.75B | -0.01%51.75B | -0.48%51.69B | -0.56%51.63B | -0.33%51.82B | -0.31%51.76B | -0.31%51.76B | 0.12%51.94B | 0.19%51.92B |
Retained earnings | 10.19%1T | 9.20%954.68B | 9.20%954.68B | 3.37%922.09B | 3.69%908.81B | 2.98%881.11B | 3.22%874.27B | 3.22%874.27B | 8.36%891.99B | 7.71%876.5B |
Less: Treasury stock | 26.15%14.11B | 7.77%12.44B | 7.77%12.44B | -65.95%19.08B | -45.26%11.18B | 85.51%11.4B | 85.25%11.54B | 85.25%11.54B | 797.04%56.02B | 222.31%20.43B |
Other equity interest | -13.61%235.85B | 86.49%294.38B | 86.49%294.38B | 51.33%222.59B | 21.67%273.02B | 37.50%242.41B | 95.06%157.86B | 95.06%157.86B | 418.24%147.09B | 3,631.85%224.4B |
Total stockholders'equity | 4.16%1.31T | 19.44%1.33T | 19.44%1.33T | 13.25%1.22T | 7.68%1.26T | 7.72%1.2T | 9.75%1.11T | 9.75%1.11T | 14.72%1.07T | 29.55%1.17T |
Total equity | 4.16%1.31T | 19.44%1.33T | 19.44%1.33T | 13.25%1.22T | 7.68%1.26T | 7.72%1.2T | 9.75%1.11T | 9.75%1.11T | 14.72%1.07T | 29.55%1.17T |
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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