JP Stock MarketDetailed Quotes

7157 Lifenet Insurance

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  • 1990
  • +49+2.52%
20min DelayNot Open Nov 29 15:30 JST
159.83BMarket Cap26.19P/E (Static)

Lifenet Insurance Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Financial asset investment
21.87%60.09B
4.70%52.64B
4.70%52.64B
9.34%52.02B
1.61%49.3B
9.62%51.15B
-7.76%50.27B
-7.76%50.27B
1.18%47.58B
14.70%48.52B
-Debt securities
----
----
----
----
----
----
----
----
-0.95%34.38B
7.83%35.31B
-Equity investment
21.96%58.96B
4.55%51.56B
4.55%51.56B
8,719.76%50.89B
8,689.09%48.34B
10,143.35%50.09B
-6.66%49.32B
-6.66%49.32B
5.87%577M
0.00%550M
-Available-for-sale securities
17.24%1.13B
12.47%1.07B
12.47%1.07B
-91.67%1.05B
-92.40%963M
-90.37%1.06B
-42.53%954M
-42.53%954M
7.26%12.62B
40.54%12.67B
-Financial assets
--0
--0
--0
--83M
----
--0
--0
--0
----
----
Cash, cash equivalents and short term investments
-24.10%18.66B
101.23%24.42B
101.23%24.42B
483.41%23.87B
670.09%24.59B
200.00%12.81B
37.90%12.14B
37.90%12.14B
-6.43%4.09B
-19.16%3.19B
-Cash and cash equivalents
-24.10%18.66B
101.23%24.42B
101.23%24.42B
483.41%23.87B
670.09%24.59B
200.00%12.81B
37.90%12.14B
37.90%12.14B
-6.43%4.09B
-19.16%3.19B
Restricted cash and cash equivalents
----
----
----
----
----
----
----
----
-6.60%5.22B
2.53%5.64B
Reinsurance assets
93.43%648M
0.00%579M
0.00%579M
--479M
--335M
--473M
-32.20%579M
-32.20%579M
----
----
Insurance contract assets
15.04%33.53B
13.50%32.38B
13.50%32.38B
--30.92B
--29.15B
--30.11B
30.18%28.53B
30.18%28.53B
----
----
Receivables
-50.00%5M
-54.05%17M
-54.05%17M
-99.76%15M
-99.83%10M
-99.25%44M
37.04%37M
37.04%37M
22.67%6.29B
24.99%6.01B
-Accounts receivable
----
----
----
----
----
----
----
----
22.67%6.29B
24.99%6.01B
-Taxes receivable
-50.00%5M
-54.05%17M
-54.05%17M
--15M
--10M
--44M
37.04%37M
37.04%37M
----
----
Net PPE
428.87%1.5B
-46.91%172M
-46.91%172M
153.09%205M
230.23%284M
221.98%293M
-28.48%324M
-28.48%324M
-25.00%81M
-14.85%86M
-Gross PP&E
428.87%1.5B
-46.91%172M
-46.91%172M
--205M
--284M
--293M
-28.48%324M
-28.48%324M
----
----
Goodwill and other intangible assets
4.42%1.96B
11.75%1.89B
11.75%1.89B
48.41%1.92B
47.60%1.88B
46.50%1.8B
18.23%1.69B
18.23%1.69B
-0.84%1.29B
0.55%1.27B
-Other intangible assets
4.42%1.96B
11.75%1.89B
11.75%1.89B
48.41%1.92B
47.60%1.88B
46.50%1.8B
18.23%1.69B
18.23%1.69B
-0.84%1.29B
0.55%1.27B
Other assets
142.16%695M
29.67%319M
29.67%319M
-91.15%296M
-91.44%287M
-93.42%285M
12.84%246M
12.84%246M
-21.47%3.34B
-59.55%3.35B
Total assets
10.64%117.09B
19.83%112.42B
19.83%112.42B
61.61%109.73B
55.48%105.83B
42.74%96.97B
6.37%93.81B
6.37%93.81B
0.17%67.9B
2.81%68.07B
Liabilities
Insurance contract liabilities
45.61%597M
711.70%763M
711.70%763M
-98.59%693M
-99.14%410M
-99.73%121M
1.08%94M
1.08%94M
17.85%49.16B
19.57%47.59B
Payables
----
----
----
----
----
----
----
----
28.10%547M
30.61%512M
-Accounts payable
----
----
----
----
----
----
----
----
28.10%547M
30.69%511M
-Total tax payable
----
----
----
----
----
----
----
----
----
0.00%1M
Non-current financial liabilities
110.74%2.49B
22.21%1.77B
22.21%1.77B
--1.19B
19,616.67%1.18B
--1.45B
-9.40%1.45B
-9.40%1.45B
----
-33.33%6M
-Derivative product liabilities
1,275.00%55M
--171M
--171M
--0
--4M
----
--0
--0
----
----
-Long term debt and capital lease obligation
600.50%1.41B
-56.86%110M
-56.86%110M
--138M
3,250.00%201M
--228M
-29.75%255M
-29.75%255M
----
-33.33%6M
-Including:Long term capital lease obligation
600.50%1.41B
-56.86%110M
-56.86%110M
--138M
3,250.00%201M
--228M
-29.75%255M
-29.75%255M
----
-33.33%6M
-Other financial liabilities-non current
5.32%1.03B
24.79%1.49B
24.79%1.49B
--1.05B
--978M
--1.23B
-3.41%1.19B
-3.41%1.19B
----
----
Long term provisions
0.00%34M
0.00%34M
0.00%34M
-71.90%34M
-70.43%34M
-68.52%34M
0.00%34M
0.00%34M
27.37%121M
32.18%115M
Non current accrued and deferred income
----
----
----
----
----
----
----
----
----
13.64%1.08B
-Non current accrued expenses
----
----
----
----
----
----
----
----
----
13.64%1.08B
Non current deferred liabilities
16.81%19.77B
14.54%18.61B
14.54%18.61B
--17.98B
--16.92B
17,831.25%17.21B
13.21%16.25B
13.21%16.25B
--0
----
Other liabilities
19.21%273M
25.17%363M
25.17%363M
-80.96%230M
114.02%229M
-89.65%147M
15.54%290M
15.54%290M
18.43%1.21B
-11.57%107M
Total liabilities
23.36%23.16B
18.91%21.54B
18.91%21.54B
-60.58%20.12B
-62.00%18.78B
-59.97%18.97B
10.94%18.11B
10.94%18.11B
16.59%51.03B
18.16%49.42B
Shareholders'equity
Share capital
0.13%26.65B
22.79%26.62B
22.79%26.62B
22.79%26.62B
22.79%26.62B
0.10%21.68B
0.10%21.68B
0.10%21.68B
0.10%21.68B
0.11%21.68B
-common stock
0.13%26.65B
22.79%26.62B
22.79%26.62B
22.79%26.62B
22.79%26.62B
0.10%21.68B
0.10%21.68B
0.10%21.68B
0.10%21.68B
0.11%21.68B
Additional paid-in capital
----
----
----
----
----
----
----
----
0.10%21.68B
0.11%21.68B
Less: Treasury stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
20.09%36.63B
20.67%33.48B
20.67%33.48B
225.00%32.11B
224.79%30.51B
228.28%29.51B
14.73%27.75B
14.73%27.75B
-24.56%-25.69B
-21.66%-24.45B
Other reserves
0.12%26.59B
22.56%26.55B
22.56%26.55B
3,439.62%26.55B
10,431.52%26.55B
8,670.45%21.66B
0.04%21.66B
0.04%21.66B
-159.82%-795M
-121.91%-257M
Other equity interest
20.26%4.04B
-8.24%4.22B
-8.24%4.22B
--4.32B
--3.36B
--5.13B
5.67%4.6B
5.67%4.6B
----
----
Total stockholders'equity
7.90%93.91B
20.06%90.87B
20.06%90.87B
431.22%89.6B
366.71%87.04B
279.49%77.99B
5.34%75.69B
5.34%75.69B
-29.76%16.87B
-23.52%18.65B
Noncontrolling interests
-35.29%11M
-31.25%11M
-31.25%11M
--16M
--17M
--13M
-30.43%16M
-30.43%16M
----
----
Total equity
7.89%93.92B
20.05%90.88B
20.05%90.88B
431.31%89.61B
366.80%87.05B
279.55%78B
5.33%75.7B
5.33%75.7B
-29.76%16.87B
-23.52%18.65B
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
(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
Financial asset investment 21.87%60.09B4.70%52.64B4.70%52.64B9.34%52.02B1.61%49.3B9.62%51.15B-7.76%50.27B-7.76%50.27B1.18%47.58B14.70%48.52B
-Debt securities ---------------------------------0.95%34.38B7.83%35.31B
-Equity investment 21.96%58.96B4.55%51.56B4.55%51.56B8,719.76%50.89B8,689.09%48.34B10,143.35%50.09B-6.66%49.32B-6.66%49.32B5.87%577M0.00%550M
-Available-for-sale securities 17.24%1.13B12.47%1.07B12.47%1.07B-91.67%1.05B-92.40%963M-90.37%1.06B-42.53%954M-42.53%954M7.26%12.62B40.54%12.67B
-Financial assets --0--0--0--83M------0--0--0--------
Cash, cash equivalents and short term investments -24.10%18.66B101.23%24.42B101.23%24.42B483.41%23.87B670.09%24.59B200.00%12.81B37.90%12.14B37.90%12.14B-6.43%4.09B-19.16%3.19B
-Cash and cash equivalents -24.10%18.66B101.23%24.42B101.23%24.42B483.41%23.87B670.09%24.59B200.00%12.81B37.90%12.14B37.90%12.14B-6.43%4.09B-19.16%3.19B
Restricted cash and cash equivalents ---------------------------------6.60%5.22B2.53%5.64B
Reinsurance assets 93.43%648M0.00%579M0.00%579M--479M--335M--473M-32.20%579M-32.20%579M--------
Insurance contract assets 15.04%33.53B13.50%32.38B13.50%32.38B--30.92B--29.15B--30.11B30.18%28.53B30.18%28.53B--------
Receivables -50.00%5M-54.05%17M-54.05%17M-99.76%15M-99.83%10M-99.25%44M37.04%37M37.04%37M22.67%6.29B24.99%6.01B
-Accounts receivable --------------------------------22.67%6.29B24.99%6.01B
-Taxes receivable -50.00%5M-54.05%17M-54.05%17M--15M--10M--44M37.04%37M37.04%37M--------
Net PPE 428.87%1.5B-46.91%172M-46.91%172M153.09%205M230.23%284M221.98%293M-28.48%324M-28.48%324M-25.00%81M-14.85%86M
-Gross PP&E 428.87%1.5B-46.91%172M-46.91%172M--205M--284M--293M-28.48%324M-28.48%324M--------
Goodwill and other intangible assets 4.42%1.96B11.75%1.89B11.75%1.89B48.41%1.92B47.60%1.88B46.50%1.8B18.23%1.69B18.23%1.69B-0.84%1.29B0.55%1.27B
-Other intangible assets 4.42%1.96B11.75%1.89B11.75%1.89B48.41%1.92B47.60%1.88B46.50%1.8B18.23%1.69B18.23%1.69B-0.84%1.29B0.55%1.27B
Other assets 142.16%695M29.67%319M29.67%319M-91.15%296M-91.44%287M-93.42%285M12.84%246M12.84%246M-21.47%3.34B-59.55%3.35B
Total assets 10.64%117.09B19.83%112.42B19.83%112.42B61.61%109.73B55.48%105.83B42.74%96.97B6.37%93.81B6.37%93.81B0.17%67.9B2.81%68.07B
Liabilities
Insurance contract liabilities 45.61%597M711.70%763M711.70%763M-98.59%693M-99.14%410M-99.73%121M1.08%94M1.08%94M17.85%49.16B19.57%47.59B
Payables --------------------------------28.10%547M30.61%512M
-Accounts payable --------------------------------28.10%547M30.69%511M
-Total tax payable ------------------------------------0.00%1M
Non-current financial liabilities 110.74%2.49B22.21%1.77B22.21%1.77B--1.19B19,616.67%1.18B--1.45B-9.40%1.45B-9.40%1.45B-----33.33%6M
-Derivative product liabilities 1,275.00%55M--171M--171M--0--4M------0--0--------
-Long term debt and capital lease obligation 600.50%1.41B-56.86%110M-56.86%110M--138M3,250.00%201M--228M-29.75%255M-29.75%255M-----33.33%6M
-Including:Long term capital lease obligation 600.50%1.41B-56.86%110M-56.86%110M--138M3,250.00%201M--228M-29.75%255M-29.75%255M-----33.33%6M
-Other financial liabilities-non current 5.32%1.03B24.79%1.49B24.79%1.49B--1.05B--978M--1.23B-3.41%1.19B-3.41%1.19B--------
Long term provisions 0.00%34M0.00%34M0.00%34M-71.90%34M-70.43%34M-68.52%34M0.00%34M0.00%34M27.37%121M32.18%115M
Non current accrued and deferred income ------------------------------------13.64%1.08B
-Non current accrued expenses ------------------------------------13.64%1.08B
Non current deferred liabilities 16.81%19.77B14.54%18.61B14.54%18.61B--17.98B--16.92B17,831.25%17.21B13.21%16.25B13.21%16.25B--0----
Other liabilities 19.21%273M25.17%363M25.17%363M-80.96%230M114.02%229M-89.65%147M15.54%290M15.54%290M18.43%1.21B-11.57%107M
Total liabilities 23.36%23.16B18.91%21.54B18.91%21.54B-60.58%20.12B-62.00%18.78B-59.97%18.97B10.94%18.11B10.94%18.11B16.59%51.03B18.16%49.42B
Shareholders'equity
Share capital 0.13%26.65B22.79%26.62B22.79%26.62B22.79%26.62B22.79%26.62B0.10%21.68B0.10%21.68B0.10%21.68B0.10%21.68B0.11%21.68B
-common stock 0.13%26.65B22.79%26.62B22.79%26.62B22.79%26.62B22.79%26.62B0.10%21.68B0.10%21.68B0.10%21.68B0.10%21.68B0.11%21.68B
Additional paid-in capital --------------------------------0.10%21.68B0.11%21.68B
Less: Treasury stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 20.09%36.63B20.67%33.48B20.67%33.48B225.00%32.11B224.79%30.51B228.28%29.51B14.73%27.75B14.73%27.75B-24.56%-25.69B-21.66%-24.45B
Other reserves 0.12%26.59B22.56%26.55B22.56%26.55B3,439.62%26.55B10,431.52%26.55B8,670.45%21.66B0.04%21.66B0.04%21.66B-159.82%-795M-121.91%-257M
Other equity interest 20.26%4.04B-8.24%4.22B-8.24%4.22B--4.32B--3.36B--5.13B5.67%4.6B5.67%4.6B--------
Total stockholders'equity 7.90%93.91B20.06%90.87B20.06%90.87B431.22%89.6B366.71%87.04B279.49%77.99B5.34%75.69B5.34%75.69B-29.76%16.87B-23.52%18.65B
Noncontrolling interests -35.29%11M-31.25%11M-31.25%11M--16M--17M--13M-30.43%16M-30.43%16M--------
Total equity 7.89%93.92B20.05%90.88B20.05%90.88B431.31%89.61B366.80%87.05B279.55%78B5.33%75.7B5.33%75.7B-29.76%16.87B-23.52%18.65B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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