Alt
260A
Shin-Etsu Chemical
4063
Metaplanet
3350
4
Astellas Pharma
4503
5
Mitsubishi
8058
(FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q3)Dec 31, 2024 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -40.10%218.31B | -40.10%218.31B | -25.60%212.36B | -9.46%329.26B | -43.82%338.65B | -8.11%364.47B | -8.11%364.47B | -30.94%285.44B | -7.47%363.65B | 79.00%602.81B |
-Cash and cash equivalents | -43.88%188.37B | -43.88%188.37B | -29.18%179.87B | -12.28%292.99B | -46.05%302.93B | -10.92%335.69B | -10.92%335.69B | -33.48%253.98B | -7.50%333.99B | 79.38%561.49B |
-Short term investments | 4.02%29.94B | 4.02%29.94B | 3.28%32.49B | 22.28%36.26B | -13.57%35.72B | 45.49%28.78B | 45.49%28.78B | -0.07%31.46B | -7.17%29.66B | 74.03%41.33B |
Receivables | 18.23%632.53B | 18.23%632.53B | 29.98%644.63B | 14.42%558.27B | 27.06%587.67B | 25.01%534.99B | 25.01%534.99B | 9.90%495.96B | 7.83%487.89B | 5.49%462.5B |
-Accounts receivable | 18.23%632.53B | 18.23%632.53B | 29.98%644.63B | 14.42%558.27B | 27.06%587.67B | 25.01%534.99B | 25.01%534.99B | 9.90%495.96B | 7.83%487.89B | 5.49%462.5B |
Inventory | 19.51%297.26B | 19.51%297.26B | 27.15%287.34B | 21.80%260.21B | 27.88%256.05B | 42.64%248.74B | 42.64%248.74B | 38.45%225.98B | 26.69%213.65B | 21.47%200.22B |
Tax assets-Current | 4.90%13.69B | 4.90%13.69B | 30.38%12.97B | -24.46%12.62B | -16.14%12.34B | -26.73%13.05B | -26.73%13.05B | -14.79%9.94B | 51.61%16.71B | -18.90%14.71B |
Holding assets for sale | -70.84%363M | -70.84%363M | -69.22%365M | --0 | ---- | 68.70%1.25B | 68.70%1.25B | -6.47%1.19B | --1.2B | --1.2B |
Other current assets | 21.58%39.2B | 21.58%39.2B | 46.39%46.25B | 26.72%42.65B | 27.69%45.97B | -0.58%32.24B | -0.58%32.24B | -0.84%31.6B | -0.97%33.65B | 15.61%36B |
Total current assets | 0.55%1.2T | 0.55%1.2T | 14.65%1.2T | 7.72%1.2T | -5.83%1.24T | 13.79%1.19T | 13.79%1.19T | -2.10%1.05T | 5.44%1.12T | 33.17%1.32T |
Non current assets | ||||||||||
Net PPE | 11.98%328.92B | 11.98%328.92B | 15.12%332.72B | 6.34%315.35B | 6.50%309.69B | 2.54%293.74B | 2.54%293.74B | 7.40%289.03B | 5.70%296.56B | 3.79%290.78B |
Total investment | 0.65%125.18B | 0.65%125.18B | 23.51%144.77B | 3.71%123.04B | 20.28%132.9B | 12.48%124.38B | 12.48%124.38B | 14.12%117.21B | 16.01%118.64B | 4.22%110.5B |
-Long-term equity investment | 21.07%18.99B | 21.07%18.99B | 22.46%19.15B | 18.23%18.14B | 32.35%19.48B | 23.60%15.68B | 23.60%15.68B | 24.09%15.64B | 7.18%15.34B | 25.39%14.72B |
-Financial asset investment | -2.30%106.2B | -2.30%106.2B | 23.67%125.62B | 1.55%104.9B | 18.42%113.42B | 11.04%108.69B | 11.04%108.69B | 12.73%101.57B | 17.44%103.29B | 1.59%95.78B |
-Including:Available-for-sale securities | -2.30%106.2B | -2.30%106.2B | 23.67%125.62B | 1.55%104.9B | 18.42%113.42B | 11.04%108.69B | 11.04%108.69B | 12.73%101.57B | 17.44%103.29B | 1.59%95.78B |
Long-term accounts receivable and other receivables | -7.93%18.45B | -7.93%18.45B | -10.63%18.61B | -7.43%20.08B | -3.98%22.04B | -17.09%20.04B | -17.09%20.04B | -16.07%20.82B | -18.72%21.69B | -16.18%22.96B |
Goodwill and other intangible assets | -17.82%1.54T | -17.82%1.54T | -10.66%1.64T | -11.12%1.72T | 105.77%1.95T | 110.18%1.87T | 110.18%1.87T | 95.65%1.84T | 92.34%1.94T | -2.87%946.11B |
-Goodwill | -0.83%415.21B | -0.83%415.21B | 11.55%432.8B | -1.09%399.44B | 24.74%443.67B | 27.49%418.69B | 27.49%418.69B | 19.72%387.97B | 14.37%403.82B | 6.41%355.68B |
-Other intangible assets | -22.71%1.12T | -22.71%1.12T | -16.59%1.21T | -13.76%1.32T | 154.59%1.5T | 158.46%1.45T | 158.46%1.45T | 135.56%1.45T | 134.47%1.53T | -7.72%590.42B |
Deferred tax assets-non current | 115.19%98.11B | 115.19%98.11B | 91.33%81.55B | 20.07%53.17B | -46.17%54.18B | -45.83%45.59B | -45.83%45.59B | -54.28%42.62B | -54.09%44.28B | 9.27%100.64B |
Other non current assets | 53.80%28.6B | 53.80%28.6B | 201.86%25.94B | 204.40%26.55B | 206.78%29.22B | 80.90%18.6B | 80.90%18.6B | -21.24%8.59B | -26.22%8.72B | -25.51%9.52B |
Total non current assets | -9.97%2.14T | -9.97%2.14T | -3.06%2.25T | -6.88%2.26T | 68.51%2.49T | 68.84%2.37T | 68.84%2.37T | 60.86%2.32T | 59.15%2.43T | -0.81%1.48T |
Total assets | -6.44%3.34T | -6.44%3.34T | 2.46%3.45T | -2.28%3.46T | 33.51%3.74T | 45.31%3.57T | 45.31%3.57T | 34.00%3.37T | 37.13%3.54T | 12.74%2.8T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | -49.69%286.68B | -49.69%286.68B | -25.87%376.46B | -23.64%393.47B | 59.87%653.84B | 216.35%569.84B | 216.35%569.84B | 181.48%507.83B | 150.60%515.26B | 98.06%408.97B |
-Current debt and capital lease obligation | -43.56%266.53B | -43.56%266.53B | -18.99%329.85B | -26.24%307.26B | 77.86%549.6B | 529.70%472.28B | 529.70%472.28B | --407.18B | --416.56B | --309B |
-Including:Current debt | -43.56%266.53B | -43.56%266.53B | -18.99%329.85B | -26.24%307.26B | 77.86%549.6B | 529.70%472.28B | 529.70%472.28B | --407.18B | --416.56B | --309B |
-Other financial liabilities | -79.35%20.14B | -79.35%20.14B | -53.69%46.61B | -12.65%86.21B | 4.27%104.24B | -7.20%97.57B | -7.20%97.57B | -44.21%100.65B | -52.00%98.7B | -51.58%99.97B |
Payables | -0.59%222.39B | -0.59%222.39B | 33.01%246.39B | 10.44%197.21B | 31.11%202.83B | 53.89%223.71B | 53.89%223.71B | 21.33%185.25B | 3.35%178.57B | -9.57%154.71B |
-accounts payable | 1.43%187.84B | 1.43%187.84B | 35.82%204.31B | 9.45%161.17B | 25.07%173.15B | 32.06%185.19B | 32.06%185.19B | 12.06%150.43B | 0.49%147.25B | -9.05%138.44B |
-Total tax payable | -10.30%34.55B | -10.30%34.55B | 20.86%42.09B | 15.07%36.05B | 82.45%29.69B | 649.76%38.52B | 649.76%38.52B | 88.75%34.82B | 19.35%31.32B | -13.72%16.27B |
Current provisions | 10.13%17.29B | 10.13%17.29B | 42.54%19.71B | 12.19%14.19B | -19.75%14.14B | -12.07%15.7B | -12.07%15.7B | 9.65%13.83B | -9.74%12.65B | 0.38%17.62B |
Other current liabilities | 12.34%535.25B | 12.34%535.25B | 14.14%509.99B | 7.18%488.48B | 22.63%503B | 24.51%476.47B | 24.51%476.47B | 24.05%446.81B | 23.51%455.78B | 18.75%410.19B |
Current liabilities | -17.43%1.06T | -17.43%1.06T | -0.10%1.15T | -5.93%1.09T | 38.56%1.37T | 77.09%1.29T | 77.09%1.29T | 63.44%1.15T | 52.65%1.16T | 33.89%991.49B |
Non current liabilities | ||||||||||
Non current financial liabilities | 21.38%671.65B | 21.38%671.65B | 24.65%702.37B | 27.32%730.68B | 284.19%548.82B | 295.46%553.34B | 295.46%553.34B | 278.84%563.47B | 596.52%573.87B | 27.98%142.85B |
-Long term debt and capital lease obligation | 26.17%564.89B | 26.17%564.89B | 26.24%585.51B | 31.11%620.24B | 786.12%443.06B | 795.48%447.74B | 795.48%447.74B | --463.8B | --473.05B | --50B |
-Including:Long term debt | 26.17%564.89B | 26.17%564.89B | 26.24%585.51B | 31.11%620.24B | 786.12%443.06B | 795.48%447.74B | 795.48%447.74B | --463.8B | --473.05B | --50B |
-Other financial liabilities-Non current | 1.10%106.76B | 1.10%106.76B | 17.25%116.86B | 9.54%110.44B | 13.90%105.76B | 17.43%105.6B | 17.43%105.6B | -32.99%99.67B | 22.36%100.82B | -16.82%92.85B |
Long term accounts payable and other payables | 46.88%3.23B | 46.88%3.23B | 389.26%10.52B | 326.19%9.8B | 266.89%8.69B | -47.85%2.2B | -47.85%2.2B | -50.89%2.15B | -54.23%2.3B | -51.38%2.37B |
Long term provisions | 10.33%8.13B | 10.33%8.13B | 16.48%6.29B | -16.22%4.52B | 4.09%9.99B | 12.73%7.37B | 12.73%7.37B | 33.66%5.4B | 47.66%5.39B | 24.68%9.59B |
Long term pension and other post-retirement benefit plans | -7.81%22.75B | -7.81%22.75B | -9.66%23.97B | -3.13%23.74B | -6.46%25.38B | -0.58%24.67B | -0.58%24.67B | -28.48%26.53B | -33.62%24.51B | -25.33%27.13B |
Non current deferred liabilities | -89.57%5.35B | -89.57%5.35B | -91.47%5.98B | -74.51%23.62B | 589.22%45.07B | 748.97%51.35B | 748.97%51.35B | 1,060.50%70.01B | 1,418.23%92.67B | 5.45%6.54B |
Other non current liabilities | 9.41%53.57B | 9.41%53.57B | 27.17%56.14B | 9.40%46.69B | 19.61%47.33B | 19.46%48.96B | 19.46%48.96B | 18.23%44.15B | 10.44%42.68B | 11.35%39.57B |
Total non current liabilities | 11.16%764.68B | 11.16%764.68B | 13.14%805.26B | 13.17%839.04B | 200.49%685.26B | 209.12%687.89B | 209.12%687.89B | 199.52%711.71B | 329.23%741.42B | 12.75%228.05B |
Total liabilities | -7.46%1.83T | -7.46%1.83T | 4.95%1.96T | 1.51%1.93T | 68.84%2.06T | 108.06%1.97T | 108.06%1.97T | 97.71%1.87T | 103.79%1.9T | 29.35%1.22T |
Shareholders'equity | ||||||||||
Share capital | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B |
-common stock | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B | 0.00%103B |
Additional paid-in capital | 0.65%185.26B | 0.65%185.26B | 0.84%184.52B | 0.77%183.54B | 1.08%182.59B | 1.54%184.07B | 1.54%184.07B | 1.32%182.98B | 1.11%182.15B | 0.89%180.64B |
Retained earnings | -8.46%740.94B | -8.46%740.94B | -22.01%654.06B | -7.56%817.61B | -11.39%783.78B | -10.87%809.4B | -10.87%809.4B | -15.82%838.62B | -11.86%884.51B | -4.37%884.53B |
Less: Treasury stock | 11.07%37.52B | 11.07%37.52B | 11.26%37.99B | 10.46%38.02B | 11.76%38.53B | 34.47%33.78B | 34.47%33.78B | 48.34%34.15B | 47.55%34.42B | 47.48%34.48B |
Other equity interest | -2.20%521.58B | -2.20%521.58B | 42.98%590.22B | -8.01%463.7B | 45.17%645.6B | 56.56%533.3B | 56.56%533.3B | 31.63%412.8B | 30.55%504.1B | 25.13%444.72B |
Total stockholders'equity | -5.18%1.51T | -5.18%1.51T | -0.63%1.49T | -6.68%1.53T | 6.21%1.68T | 5.84%1.6T | 5.84%1.6T | -4.28%1.5T | -0.62%1.64T | 2.56%1.58T |
Total equity | -5.18%1.51T | -5.18%1.51T | -0.63%1.49T | -6.68%1.53T | 6.21%1.68T | 5.84%1.6T | 5.84%1.6T | -4.28%1.5T | -0.62%1.64T | 2.56%1.58T |
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 |