(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 | 1.51%5.82B | -6.45%5.03B | -6.45%5.03B | -5.40%4.49B | -31.17%5.73B | -38.68%4.93B | -30.41%5.37B | -30.41%5.37B | -31.55%4.75B | 11.77%8.32B |
-Cash and cash equivalents | 1.51%5.82B | -6.45%5.03B | -6.45%5.03B | -5.40%4.49B | -31.17%5.73B | -38.68%4.93B | -30.41%5.37B | -30.41%5.37B | -31.55%4.75B | 11.77%8.32B |
Receivables | 11.55%6.83B | 11.64%8.19B | 11.64%8.19B | 1.85%6.62B | 8.52%6.13B | 14.65%6.79B | 2.35%7.33B | 2.35%7.33B | 5.40%6.5B | 5.84%5.64B |
-Accounts receivable | 15.78%5B | 4.77%5.47B | 4.77%5.47B | 0.28%4.54B | 8.65%4.32B | 13.31%4.66B | -4.51%5.22B | -4.51%5.22B | -26.47%4.53B | -25.50%3.97B |
-Other receivables | 1.45%1.83B | 28.64%2.72B | 28.64%2.72B | 5.46%2.07B | 8.22%1.81B | 17.70%2.14B | 24.45%2.11B | 24.45%2.11B | --1.96B | --1.67B |
Inventory | 14.14%8.16B | 12.04%7.21B | 12.04%7.21B | 15.69%7.53B | 23.92%7.15B | 25.19%7.04B | 23.29%6.43B | 23.29%6.43B | 19.27%6.5B | 7.08%5.77B |
Prepaid assets | ---- | 19.44%197.58M | 19.44%197.58M | ---- | ---- | ---- | -3.88%165.43M | -3.88%165.43M | ---- | ---- |
Other current assets | 5.26%734.42M | -3.39%189.34M | -3.39%189.34M | 5.61%760.03M | 45.97%697.72M | 60.09%723.87M | 271.33%195.99M | 271.33%195.99M | 94.44%719.65M | 33.57%478M |
Total current assets | 9.35%21.54B | 6.71%20.81B | 6.71%20.81B | 5.01%19.39B | -2.54%19.7B | -2.77%19.49B | -4.07%19.5B | -4.07%19.5B | -2.40%18.47B | 9.12%20.21B |
Non current assets | ||||||||||
Net PPE | 9.06%11.77B | 12.89%11.68B | 12.89%11.68B | 13.27%11.51B | 13.85%10.79B | 13.47%10.8B | 7.50%10.34B | 7.50%10.34B | 7.13%10.16B | -0.29%9.48B |
-Gross PP&E | 9.06%11.77B | 12.89%11.68B | 12.89%11.68B | 13.27%11.51B | 13.85%10.79B | 13.47%10.8B | 7.50%10.34B | 7.50%10.34B | 7.13%10.16B | -0.29%9.48B |
Prepaid assets-non current | ---- | 116.23%72.04M | 116.23%72.04M | ---- | ---- | ---- | -4.09%33.32M | -4.09%33.32M | ---- | ---- |
Total investment | ---- | -5.98%1.1B | -5.98%1.1B | ---- | ---- | ---- | 15.20%1.17B | 15.20%1.17B | ---- | ---- |
-Financial asset investment | ---- | -5.98%1.1B | -5.98%1.1B | ---- | ---- | ---- | 15.20%1.17B | 15.20%1.17B | ---- | ---- |
-Including:Available-for-sale securities | ---- | -5.98%1.1B | -5.98%1.1B | ---- | ---- | ---- | 15.20%1.17B | 15.20%1.17B | ---- | ---- |
Long-term accounts receivable and other receivables | ---- | 7.26%31.25M | 7.26%31.25M | ---- | ---- | ---- | 0.83%29.13M | 0.83%29.13M | ---- | ---- |
Goodwill and other intangible assets | -2.60%2.41B | 6.93%2.46B | 6.93%2.46B | 0.35%2.48B | 98.46%2.47B | 108.39%2.39B | 119.44%2.3B | 119.44%2.3B | 168.92%2.47B | 56.40%1.25B |
-Goodwill | 3.12%823.76M | -4.27%794.19M | -4.27%794.19M | -21.77%811.67M | --798.84M | --779.33M | 7,412.32%829.59M | 7,412.32%829.59M | --1.04B | ---- |
-Other intangible assets | -5.32%1.58B | 13.23%1.67B | 13.23%1.67B | 16.32%1.67B | --1.67B | --1.61B | 41.91%1.47B | 41.91%1.47B | --1.44B | ---- |
Deferred tax assets-non current | ---- | -18.32%844.99M | -18.32%844.99M | ---- | ---- | ---- | 10.52%1.03B | 10.52%1.03B | ---- | ---- |
Other non current assets | -6.41%2.47B | 0.45%142.73M | 0.45%142.73M | 5.90%2.51B | 17.60%2.64B | 11.88%2.78B | 0.67%142.09M | 0.67%142.09M | 8.05%2.37B | -1.82%2.25B |
Total non current assets | 4.68%16.65B | 8.47%16.33B | 8.47%16.33B | 9.98%16.5B | 22.62%15.9B | 21.44%15.98B | 17.37%15.06B | 17.37%15.06B | 19.11%15.01B | 3.02%12.97B |
Total assets | 7.26%38.19B | 7.48%37.14B | 7.48%37.14B | 7.23%35.9B | 7.30%35.6B | 6.82%35.47B | 4.22%34.56B | 4.22%34.56B | 6.20%33.47B | 6.65%33.18B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 24.50%3.35B | 12.06%3.1B | 12.06%3.1B | 6.09%2.62B | 15.23%2.69B | 20.52%2.7B | -1.06%2.76B | -1.06%2.76B | 14.69%2.47B | 11.12%2.33B |
-accounts payable | 18.97%2.81B | 1.74%2.52B | 1.74%2.52B | 2.85%2.46B | 12.48%2.36B | 24.72%2.47B | 25.89%2.48B | 25.89%2.48B | 28.66%2.39B | 24.04%2.1B |
-Total tax payable | 64.34%538.36M | 100.68%578.61M | 100.68%578.61M | 108.53%157.85M | 39.92%327.59M | -11.42%230.58M | -65.13%288.33M | -65.13%288.33M | -74.11%75.7M | -42.53%234.12M |
Current provisions | 11.04%223.86M | 4.95%218.02M | 4.95%218.02M | -3.55%203.17M | 5.33%201.61M | 3.02%199.11M | 9.71%207.74M | 9.71%207.74M | 12.64%210.64M | 2.46%191.41M |
Pension and other retirement benefit plans | 7.37%1.08B | 9.90%1.2B | 9.90%1.2B | 14.37%575.34M | 10.16%1.01B | -0.29%505.6M | 2.57%1.09B | 2.57%1.09B | -5.03%503.06M | 3.51%916.32M |
Accrued and deferred income | -10.75%403.84M | -0.82%415.48M | -0.82%415.48M | -0.34%487.78M | 44.32%452.49M | 12.71%1.48B | 45.11%418.93M | 45.11%418.93M | 46.15%489.45M | 47.82%313.54M |
Other current liabilities | 8.93%504.09M | 47.00%446.29M | 47.00%446.29M | 42.14%739.84M | -13.68%462.78M | -9.60%414.33M | 27.40%303.6M | 27.40%303.6M | 32.21%520.5M | 129.09%536.14M |
Current liabilities | 15.53%5.56B | 12.35%5.38B | 12.35%5.38B | 10.33%4.62B | 12.22%4.81B | 12.46%5.3B | 4.63%4.79B | 4.63%4.79B | 16.53%4.19B | 18.59%4.29B |
Non current liabilities | ||||||||||
Long term pension and other post-retirement benefit plans | -42.15%810.65M | -42.54%803.87M | -42.54%803.87M | -13.69%1.4B | -12.90%1.4B | -13.08%1.4B | -12.02%1.4B | -12.02%1.4B | -1.51%1.63B | -1.90%1.61B |
Non current deferred liabilities | ---- | -0.44%1.51B | -0.44%1.51B | ---- | ---- | ---- | 4.57%1.51B | 4.57%1.51B | ---- | ---- |
Other non current liabilities | -2.31%1.72B | -2.02%239.85M | -2.02%239.85M | 3.55%1.76B | 3.49%1.76B | 2.94%1.75B | -3.90%244.8M | -3.90%244.8M | -0.59%1.69B | -0.88%1.7B |
Total non current liabilities | -19.99%2.53B | -19.21%2.55B | -19.21%2.55B | -4.89%3.16B | -4.48%3.16B | -4.84%3.15B | -4.09%3.16B | -4.09%3.16B | -1.04%3.32B | -1.38%3.31B |
Total liabilities | 1.46%8.09B | -0.20%7.93B | -0.20%7.93B | 3.60%7.78B | 4.95%7.97B | 5.32%8.45B | 0.98%7.95B | 0.98%7.95B | 8.05%7.51B | 8.99%7.6B |
Shareholders'equity | ||||||||||
Share capital | 0.61%2.06B | 0.43%2.05B | 0.43%2.05B | 0.43%2.05B | 0.43%2.05B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B |
-common stock | 0.61%2.06B | 0.43%2.05B | 0.43%2.05B | 0.43%2.05B | 0.43%2.05B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B | 0.59%2.04B |
Additional paid-in capital | 0.51%2.49B | 0.35%2.48B | 0.35%2.48B | 0.35%2.48B | 0.35%2.48B | 0.49%2.47B | 0.49%2.47B | 0.49%2.47B | 0.49%2.47B | 0.49%2.47B |
Retained earnings | 9.93%21.2B | 11.47%20.4B | 11.47%20.4B | 11.00%19.75B | 10.92%19.29B | 10.27%18.72B | 7.23%18.3B | 7.23%18.3B | 8.66%17.79B | 9.02%17.39B |
Less: Treasury stock | 0.46%10.73M | 0.46%10.73M | 0.46%10.73M | 0.46%10.73M | 0.00%10.68M | 0.00%10.68M | 0.92%10.68M | 0.92%10.68M | 1.51%10.68M | 1.51%10.68M |
Fixed asset revaluation reserve | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B | 0.00%3.28B |
Other reserves | 96.62%1.08B | 90.59%1.02B | 90.59%1.02B | 45.06%568.83M | 30.72%546.86M | 16.04%524.21M | 14.04%533.23M | 14.04%533.23M | -10.87%392.13M | -4.48%418.36M |
Total stockholders'equity | 8.93%30.1B | 9.77%29.21B | 9.77%29.21B | 8.29%28.11B | 7.99%27.63B | 7.30%27.02B | 5.23%26.61B | 5.23%26.61B | 5.67%25.96B | 5.98%25.59B |
Total equity | 8.93%30.1B | 9.77%29.21B | 9.77%29.21B | 8.29%28.11B | 7.99%27.63B | 7.30%27.02B | 5.23%26.61B | 5.23%26.61B | 5.67%25.96B | 5.98%25.59B |
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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