(FY)Jan 31, 2023 | (Q4)Jan 31, 2023 | (Q2)Jul 31, 2022 | (FY)Jan 31, 2022 | (Q4)Jan 31, 2022 | (Q2)Jul 31, 2021 | (FY)Jan 31, 2021 | (Q4)Jan 31, 2021 | (Q2)Jul 31, 2020 | (FY)Jan 31, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -9.42%1.12B | -9.42%1.12B | 34.94%1.41B | 36.06%1.24B | 36.06%1.24B | 98.10%1.05B | 57.57%908.64M | --908.64M | 1.02%528.06M | -14.76%576.65M |
-Cash and cash equivalents | -9.42%1.12B | -9.42%1.12B | 34.94%1.41B | 36.06%1.24B | 36.06%1.24B | 98.10%1.05B | 57.57%908.64M | --908.64M | 1.02%528.06M | -14.76%576.65M |
Receivables | 38.47%661.29M | 38.47%661.29M | 29.84%542.88M | 21.96%477.58M | 21.96%477.58M | 93.48%418.13M | 29.14%391.59M | --391.59M | -6.65%216.11M | 124.86%303.22M |
-Accounts receivable | 49.42%661.29M | 49.42%661.29M | 29.84%542.88M | 13.02%442.58M | 13.02%442.58M | 93.48%418.13M | 29.14%391.59M | --391.59M | -6.65%216.11M | 124.86%303.22M |
-Gross accounts receivable | 49.42%661.29M | 49.42%661.29M | 29.84%542.88M | 13.02%442.58M | 13.02%442.58M | 93.48%418.13M | 29.14%391.59M | --391.59M | -6.65%216.11M | 124.86%303.22M |
-Other receivables | ---- | ---- | ---- | --35M | --35M | ---- | ---- | ---- | ---- | ---- |
Inventory | 1,415.36%32.37M | 1,415.36%32.37M | --0 | --2.14M | --2.14M | --28.36M | ---- | ---- | ---- | ---- |
Prepaid assets | ---- | ---- | ---- | ---- | ---- | ---- | -35.41%13.17M | --13.17M | ---- | 67.11%20.39M |
Other current assets | 121.50%70.82M | 121.50%70.82M | 55.38%32.25M | 414.33%31.97M | 414.33%31.97M | -21.67%20.75M | 62.59%6.22M | --6.22M | 49.07%26.5M | -70.52%3.82M |
Total current assets | 7.80%1.88B | 7.80%1.88B | 31.28%1.99B | 32.46%1.75B | 32.46%1.75B | 96.37%1.51B | 45.96%1.32B | --1.32B | -0.18%770.66M | 7.91%904.08M |
Non current assets | ||||||||||
Net PPE | -36.77%25.82M | -36.77%25.82M | -0.83%39.13M | -2.22%40.83M | -2.22%40.83M | -7.76%39.46M | 19.86%41.76M | --41.76M | 42.89%42.78M | 11.75%34.84M |
-Gross PP&E | 6.80%67.74M | 6.80%67.74M | --64.96M | 9.08%63.43M | 9.08%63.43M | ---- | 25.56%58.15M | --58.15M | 41.86%56.46M | 16.37%46.31M |
-Accumulated depreciation | -85.54%-41.92M | -85.54%-41.92M | ---25.82M | -37.84%-22.59M | -37.84%-22.59M | ---- | -42.85%-16.39M | ---16.39M | -38.73%-13.68M | -33.05%-11.47M |
Prepaid assets-non current | 173.26%186.69M | 173.26%186.69M | 4.70%72.46M | -6.07%68.32M | -6.07%68.32M | 2.92%69.21M | 4.84%72.73M | --72.73M | 22.86%67.24M | 24.62%69.37M |
Total investment | 246.95%21.07M | 246.95%21.07M | 59.42%6.07M | 60.90%6.07M | 60.90%6.07M | 0.93%3.81M | 0.00%3.78M | --3.78M | --3.78M | --3.78M |
-Long-term equity investment | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%3.78M | --3.78M | --3.78M | --3.78M |
-Financial asset investment | 246.95%21.07M | 246.95%21.07M | 59.42%6.07M | --6.07M | --6.07M | --3.81M | ---- | ---- | ---- | ---- |
-Including:Available-for-sale securities | 246.95%21.07M | 246.95%21.07M | 59.42%6.07M | --6.07M | --6.07M | --3.81M | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | -4.60%106.06M | -4.60%106.06M | 80.07%118.85M | 121.32%111.17M | 121.32%111.17M | 101.29%66M | 129.61%50.23M | --50.23M | 298.61%32.79M | 395.63%21.88M |
-Other intangible assets | -4.60%106.06M | -4.60%106.06M | --118.85M | 121.32%111.17M | 121.32%111.17M | ---- | 129.61%50.23M | --50.23M | ---- | 395.63%21.88M |
Deferred tax assets-non current | 3.00%14.59M | 3.00%14.59M | -53.95%2.72M | 228.24%14.17M | 228.24%14.17M | -80.46%5.9M | -43.34%4.32M | --4.32M | 662.83%30.17M | 496.55%7.62M |
Other non current assets | -35.21%1.98M | -35.21%1.98M | 14.62%2.35M | 39.46%3.05M | 39.46%3.05M | -22.71%2.05M | -35.96%2.19M | --2.19M | 31.89%2.66M | 65.54%3.42M |
Total non current assets | 46.22%356.22M | 46.22%356.22M | 29.58%241.58M | 39.21%243.61M | 39.21%243.61M | 3.91%186.43M | 24.21%175M | --175M | 81.47%179.41M | 48.94%140.89M |
Total assets | 12.50%2.24B | 12.50%2.24B | 31.09%2.23B | 33.25%1.99B | 33.25%1.99B | 78.91%1.7B | 43.03%1.49B | --1.49B | 9.09%950.08M | 12.07%1.04B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 60.19%226.45M | 60.19%226.45M | 46.44%156.02M | 9.59%141.36M | 9.59%141.36M | -34.94%106.54M | -19.21%128.99M | --128.99M | 0.68%163.76M | -5.96%159.66M |
-Current debt and capital lease obligation | 60.19%226.45M | 60.19%226.45M | 46.44%156.02M | 9.59%141.36M | 9.59%141.36M | -34.94%106.54M | -19.21%128.99M | --128.99M | 0.68%163.76M | -5.96%159.66M |
-Including:Current debt | 60.19%226.45M | 60.19%226.45M | 46.44%156.02M | 9.59%141.36M | 9.59%141.36M | -34.94%106.54M | -19.21%128.99M | --128.99M | 0.68%163.76M | -5.96%159.66M |
Payables | -31.37%307.35M | -31.37%307.35M | 44.83%421.08M | 74.78%447.81M | 74.78%447.81M | 124.01%290.74M | 69.71%256.22M | --256.22M | 63.95%129.79M | 44.98%150.97M |
-accounts payable | -8.52%230.9M | -8.52%230.9M | 91.91%389.59M | 90.74%252.39M | 90.74%252.39M | 152.38%203.01M | 44.66%132.33M | --132.33M | 30.53%80.44M | 80.21%91.47M |
-Total tax payable | -60.88%76.45M | -60.88%76.45M | -64.12%31.48M | 57.73%195.41M | 57.73%195.41M | 77.77%87.73M | 108.23%123.89M | --123.89M | 181.42%49.35M | 60.54%59.5M |
Current provisions | ---- | ---- | ---- | --11.58M | --11.58M | --13.99M | ---- | ---- | ---- | ---- |
Pension and other retirement benefit plans | 37.08%14.14M | 37.08%14.14M | --0 | --10.32M | --10.32M | --5.16M | ---- | ---- | ---- | ---- |
Accrued and deferred income | 24.26%635.85M | 24.26%635.85M | 26.31%648.92M | 187.71%511.7M | 187.71%511.7M | 292.48%513.76M | 20.22%177.85M | --177.85M | -46.60%130.9M | -43.28%147.94M |
Other current liabilities | 91.13%84.81M | 91.13%84.81M | 170.15%138.17M | -85.08%44.38M | -85.08%44.38M | -83.02%51.15M | 11.73%297.38M | --297.38M | 564.55%301.18M | 26,616,900.00%266.17M |
Current liabilities | 8.69%1.27B | 8.69%1.27B | 39.01%1.36B | 35.64%1.17B | 35.64%1.17B | 35.24%981.33M | 18.72%860.44M | --860.44M | 35.83%725.64M | 35.53%724.74M |
Non current liabilities | ||||||||||
Non current financial liabilities | 17.31%603.56M | 17.31%603.56M | 17.31%616.24M | 3.76%514.5M | 3.76%514.5M | 286.28%525.32M | 182.75%495.86M | --495.86M | -35.68%136M | -39.36%175.37M |
-Long term debt and capital lease obligation | 17.31%603.56M | 17.31%603.56M | 17.31%616.24M | 3.76%514.5M | 3.76%514.5M | 286.28%525.32M | 182.75%495.86M | --495.86M | -35.68%136M | -39.36%175.37M |
-Including:Long term debt | 17.31%603.56M | 17.31%603.56M | 17.31%616.24M | 3.76%514.5M | 3.76%514.5M | 286.28%525.32M | 182.75%495.86M | --495.86M | -35.68%136M | -39.36%175.37M |
Other non current liabilities | -46.00%1.18M | -46.00%1.18M | -37.36%1.69M | -31.53%2.19M | -31.53%2.19M | -25.36%2.69M | 319,300.00%3.19M | --3.19M | 360,300.00%3.6M | --1K |
Total non current liabilities | 17.04%604.74M | 17.04%604.74M | 17.03%617.92M | 3.53%516.69M | 3.53%516.69M | 278.23%528.01M | 184.57%499.06M | --499.06M | -33.97%139.6M | -39.36%175.38M |
Total liabilities | 11.26%1.87B | 11.26%1.87B | 31.32%1.98B | 23.86%1.68B | 23.86%1.68B | 74.44%1.51B | 51.04%1.36B | --1.36B | 16.04%865.24M | 9.24%900.12M |
Shareholders'equity | ||||||||||
Share capital | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | --50M | 0.00%50M | 0.00%50M |
-common stock | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | 0.00%50M | --50M | 0.00%50M | 0.00%50M |
Retained earnings | 23.07%317.21M | 23.07%317.21M | 39.71%196.15M | 202.82%257.74M | 202.82%257.74M | 303.01%140.4M | -10.28%85.11M | --85.11M | -53.69%34.84M | 62.17%94.86M |
Total stockholders'equity | 19.33%367.21M | 19.33%367.21M | 29.28%246.15M | 127.76%307.74M | 127.76%307.74M | 124.43%190.4M | -6.73%135.11M | --135.11M | -32.25%84.84M | 33.52%144.86M |
Total equity | 19.33%367.21M | 19.33%367.21M | 29.28%246.15M | 127.76%307.74M | 127.76%307.74M | 124.43%190.4M | -6.73%135.11M | --135.11M | -32.25%84.84M | 33.52%144.86M |
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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