Topcon
7732
TEMONA
3985
Forside
2330
Okamoto Glass
7746
Delta-Fly Pharma
4598
(Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q3)Sep 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 18.07%17.92B | 7.16%15.95B | 1.61%16.7B | 1.61%16.7B | -11.19%15.58B | -12.41%15.17B | -6.70%14.88B | 7.56%16.44B | 7.56%16.44B | 27.54%17.54B |
-Cash and cash equivalents | -30.41%2.31B | -21.74%2.61B | -0.34%3B | -0.34%3B | -5.81%3.44B | -13.14%3.32B | -0.63%3.34B | -35.54%3.01B | -35.54%3.01B | 153.69%3.65B |
-Short term investments | 31.67%15.6B | 15.51%13.34B | 2.05%13.7B | 2.05%13.7B | -12.60%12.14B | -12.21%11.85B | -8.31%11.55B | 26.56%13.42B | 26.56%13.42B | 12.78%13.89B |
Receivables | -13.68%1.64B | -19.91%1.46B | -18.93%1.39B | -18.93%1.39B | -3.90%1.55B | 37.13%1.9B | 88.98%1.83B | 59.49%1.72B | 59.49%1.72B | 50.35%1.61B |
-Accounts receivable | 19.57%798.28M | -8.44%682.81M | 18.10%713.19M | 18.10%713.19M | -4.96%808.91M | 4.64%667.61M | 89.66%745.74M | 11.61%603.9M | 11.61%603.9M | 128.46%851.15M |
-Gross accounts receivable | 19.57%798.28M | -8.44%682.81M | 18.10%713.19M | 18.10%713.19M | -4.96%808.91M | 4.64%667.61M | 89.66%745.74M | 11.61%603.9M | 11.61%603.9M | 128.46%851.15M |
-Other receivables | -31.70%841.31M | -27.83%779.33M | -38.99%680.13M | -38.99%680.13M | -2.70%740.45M | 64.88%1.23B | 88.51%1.08B | 107.77%1.11B | 107.77%1.11B | 8.76%761.04M |
Prepaid assets | -50.94%89.89M | 92.14%258.53M | 130.99%262.06M | 130.99%262.06M | 78.88%259.18M | 44.04%183.21M | 166.01%134.55M | 286.68%113.45M | 286.68%113.45M | 193.96%144.89M |
Other current assets | -66.86%145.85M | 18.79%445.11M | -31.48%393.55M | -31.48%393.55M | -13.33%526.19M | 305.00%440.05M | 4.81%374.72M | 39.47%574.35M | 39.47%574.35M | 140.12%607.1M |
Total current assets | 11.84%19.79B | 5.21%18.11B | -0.49%18.75B | -0.49%18.75B | -10.01%17.92B | -6.59%17.7B | -0.62%17.22B | 12.16%18.84B | 12.16%18.84B | 31.58%19.91B |
Non current assets | ||||||||||
Net PPE | -10.61%268.5M | 4.25%278.89M | 4.63%288.76M | 4.63%288.76M | 100.87%311.15M | 91.82%300.36M | 77.04%267.52M | 72.00%275.99M | 72.00%275.99M | 9.06%154.91M |
-Gross PP&E | -10.61%268.5M | 4.25%278.89M | 4.63%288.76M | 4.63%288.76M | 100.87%311.15M | 91.82%300.36M | 77.04%267.52M | 72.00%275.99M | 72.00%275.99M | 9.06%154.91M |
Total investment | 7.59%254.06M | -19.59%247.23M | -20.94%243.08M | -20.94%243.08M | -12.58%245.63M | -15.95%236.14M | 9.43%307.45M | 9.43%307.45M | 9.43%307.45M | -10.86%280.97M |
-Financial asset investment | 7.59%254.06M | -19.59%247.23M | -20.94%243.08M | -20.94%243.08M | -12.58%245.63M | -15.95%236.14M | 9.43%307.45M | 9.43%307.45M | 9.43%307.45M | -10.86%280.97M |
-Including:Available-for-sale securities | 7.59%254.06M | -19.59%247.23M | -20.94%243.08M | -20.94%243.08M | -12.58%245.63M | -15.95%236.14M | 9.43%307.45M | 9.43%307.45M | 9.43%307.45M | -10.86%280.97M |
Goodwill and other intangible assets | -40.15%1.26M | -1.85%1.43M | 15.78%1.61M | 15.78%1.61M | 4.83%1.89M | 454.62%2.1M | 545.13%1.46M | 392.20%1.39M | 392.20%1.39M | 359.18%1.8M |
-Other intangible assets | -40.15%1.26M | -1.85%1.43M | 15.78%1.61M | 15.78%1.61M | 4.83%1.89M | 454.62%2.1M | 545.13%1.46M | 392.20%1.39M | 392.20%1.39M | 359.18%1.8M |
Deferred tax assets-non current | -28.81%362.93M | -23.97%466.13M | -33.56%357.75M | -33.56%357.75M | 59.77%629.32M | 42.47%509.81M | 9.50%613.08M | -28.56%538.43M | -28.56%538.43M | -2.75%393.9M |
Other non current assets | -0.83%12.98M | -1.53%12.64M | -21.12%12.89M | -21.12%12.89M | -28.47%13M | 8.03%13.09M | -5.37%12.84M | 11.09%16.34M | 11.09%16.34M | 20.53%18.17M |
Total non current assets | -15.24%899.72M | -16.30%1.01B | -20.67%904.09M | -20.67%904.09M | 41.34%1.2B | 31.40%1.06B | 19.55%1.2B | -5.82%1.14B | -5.82%1.14B | -3.19%849.74M |
Total assets | 10.31%20.69B | 3.81%19.12B | -1.64%19.66B | -1.64%19.66B | -7.90%19.12B | -5.04%18.76B | 0.49%18.42B | 10.95%19.98B | 10.95%19.98B | 29.67%20.76B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 76.92%230M | 76.92%230M | 153.85%330M |
-Current debt and capital lease obligation | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 76.92%230M | 76.92%230M | 153.85%330M |
-Including:Current debt | ---- | ---- | --0 | --0 | --0 | --0 | --0 | 76.92%230M | 76.92%230M | 153.85%330M |
Payables | -33.96%186.94M | -65.52%60.07M | -54.73%207.09M | -54.73%207.09M | -27.24%362.82M | -37.66%283.06M | -25.16%174.23M | -11.03%457.46M | -11.03%457.46M | 118.28%498.67M |
-Total tax payable | -55.59%123.38M | -68.99%44.78M | -62.71%156.34M | -62.71%156.34M | -18.48%355.38M | -30.56%277.79M | 83.45%144.38M | 189.23%419.26M | 189.23%419.26M | 170.38%435.93M |
-Other payable | 1,107.37%63.57M | -48.77%15.29M | 32.86%50.75M | 32.86%50.75M | -88.15%7.44M | -90.25%5.27M | -80.63%29.84M | -89.65%38.2M | -89.65%38.2M | -6.66%62.75M |
Pension and other retirement benefit plans | 5.02%139.73M | 0.83%69.22M | --0 | --0 | -15.05%198.69M | 55.16%133.06M | 77.70%68.65M | --33.64M | --33.64M | 192.63%233.87M |
Accrued and deferred income | 37.64%118.3M | 15.82%428.85M | 19.31%478.99M | 19.31%478.99M | 30.42%378.03M | -19.73%85.95M | 13.35%370.26M | 67.53%401.48M | 67.53%401.48M | 19.46%289.85M |
Other current liabilities | 20.77%79.88M | 20.80%109.52M | 17.76%68.6M | 17.76%68.6M | 106.27%72.25M | 47.04%66.14M | 7.87%90.66M | 11.23%58.26M | 11.23%58.26M | -30.75%35.03M |
Current liabilities | -7.63%524.85M | -5.14%667.65M | -36.09%754.68M | -36.09%754.68M | -27.08%1.01B | -30.86%568.2M | -13.34%703.8M | 26.14%1.18B | 26.14%1.18B | 89.65%1.39B |
Non current liabilities | ||||||||||
Non current financial liabilities | ---- | ---- | --0 | --0 | --0 | --0 | --0 | -17.48%613.5M | -17.48%613.5M | -16.75%646M |
-Long term debt and capital lease obligation | ---- | ---- | --0 | --0 | --0 | --0 | --0 | -17.48%613.5M | -17.48%613.5M | -16.75%646M |
-Including:Long term debt | ---- | ---- | --0 | --0 | --0 | --0 | --0 | -17.48%613.5M | -17.48%613.5M | -16.75%646M |
Long term accounts payable and other payables | 0.00%70M | 0.00%70M | 0.00%70M | 0.00%70M | -0.69%70M | -0.69%70M | -0.69%70M | -17.14%70M | -17.14%70M | -69.85%70.48M |
Long term pension and other post-retirement benefit plans | 10.18%552.56M | 10.35%546.61M | 8.59%502.06M | 8.59%502.06M | 10.59%507.69M | 10.61%501.51M | 12.23%495.34M | 14.13%462.35M | 14.13%462.35M | 11.23%459.08M |
Non current deferred liabilities | --225.63M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other non current liabilities | -38.89%68.92M | -28.72%79.07M | -23.19%87.79M | -23.19%87.79M | 383.59%103.38M | 481.06%112.78M | 470.46%110.93M | 488.42%114.29M | 488.42%114.29M | -38.30%21.38M |
Total non current liabilities | 34.02%917.11M | 2.87%695.68M | -47.64%659.84M | -47.64%659.84M | -43.10%681.06M | -43.99%684.29M | -45.56%676.27M | 0.61%1.26B | 0.61%1.26B | -17.86%1.2B |
Total liabilities | 15.13%1.44B | -1.21%1.36B | -42.05%1.41B | -42.05%1.41B | -34.50%1.69B | -38.71%1.25B | -32.82%1.38B | 11.53%2.44B | 11.53%2.44B | 18.08%2.58B |
Shareholders'equity | ||||||||||
Share capital | 0.06%4.07B | 0.06%4.07B | 0.06%4.07B | 0.06%4.07B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 35.26%4.06B |
-common stock | 0.06%4.07B | 0.06%4.07B | 0.06%4.07B | 0.06%4.07B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 0.15%4.06B | 35.26%4.06B |
Additional paid-in capital | 0.06%4.52B | 0.06%4.52B | 0.06%4.52B | 0.06%4.52B | 0.13%4.52B | 0.13%4.52B | 0.13%4.52B | 0.13%4.52B | 0.13%4.52B | 30.63%4.51B |
Retained earnings | 7.25%9.28B | 6.89%8.87B | 5.88%9.38B | 5.88%9.38B | 3.50%9.05B | 4.68%8.65B | 11.43%8.3B | 14.83%8.86B | 14.83%8.86B | 17.35%8.74B |
Less: Treasury stock | 8.01%1.59B | 21.25%1.59B | 49.44%1.59B | 49.44%1.59B | 76.85%1.59B | 87.41%1.47B | 85.81%1.31B | 49.43%1.07B | 49.43%1.07B | 26.27%900.16M |
Other reserves | 122.25%1.6B | 30.52%676.03M | 186.86%715.25M | 186.86%715.25M | -59.06%330.63M | -7.61%721.04M | 207.60%517.96M | 153.49%249.34M | 153.49%249.34M | 1,634.22%807.66M |
Other equity interest | -13.25%72K | -13.25%72K | -13.25%72K | -13.25%72K | 0.00%83K | 0.00%83K | 0.00%83K | 0.00%83K | 0.00%83K | -74.06%83K |
Total stockholders'equity | 8.47%17.87B | 2.83%16.54B | 2.80%17.09B | 2.80%17.09B | -4.94%16.37B | -2.07%16.48B | 3.92%16.08B | 10.06%16.63B | 10.06%16.63B | 31.06%17.22B |
Noncontrolling interests | 33.90%1.37B | 27.38%1.22B | 25.48%1.15B | 25.48%1.15B | 10.64%1.06B | 16.35%1.03B | 19.74%956.87M | 28.24%914.33M | 28.24%914.33M | 40.12%954.87M |
Total equity | 9.96%19.25B | 4.21%17.76B | 3.98%18.24B | 3.98%18.24B | -4.12%17.42B | -1.15%17.51B | 4.69%17.04B | 10.88%17.54B | 10.88%17.54B | 31.50%18.17B |
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 |