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2436 Kyodo Public Relations

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  • 684
  • 00.00%
20min DelayMarket to Open May 28 15:00 JST
5.93BMarket Cap12.22P/E (Static)

Kyodo Public Relations Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
25.76%2.66B
16.09%2.69B
16.09%2.69B
-2.42%2.33B
-11.11%2.31B
2.32%2.11B
19.31%2.32B
19.31%2.32B
47.87%2.38B
61.03%2.6B
-Cash and cash equivalents
25.76%2.66B
16.09%2.69B
16.09%2.69B
-2.42%2.33B
-11.11%2.31B
2.32%2.11B
19.31%2.32B
19.31%2.32B
47.87%2.38B
61.03%2.6B
Receivables
-3.77%1.18B
6.76%1.26B
6.76%1.26B
13.22%1.1B
12.24%1.09B
32.35%1.23B
32.37%1.18B
32.37%1.18B
22.09%971.64M
13.28%968.67M
-Accounts receivable
-3.13%1.16B
6.74%1.24B
6.74%1.24B
11.94%1.09B
12.17%1.09B
29.42%1.2B
30.50%1.16B
30.50%1.16B
22.09%971.64M
13.28%968.67M
-Gross accounts receivable
-3.13%1.16B
6.74%1.24B
6.74%1.24B
11.94%1.09B
12.17%1.09B
29.42%1.2B
30.50%1.16B
30.50%1.16B
22.09%971.64M
13.28%968.67M
-Other receivables
-31.77%18.53M
7.86%18.04M
7.86%18.04M
--12.48M
--659K
--27.15M
--16.72M
--16.72M
----
----
Inventory
107.40%192.42M
0.91%129.09M
0.91%129.09M
-54.63%128.4M
-3.66%152.77M
-29.14%92.78M
2.35%127.93M
2.35%127.93M
71.67%283M
82.61%158.57M
Other current assets
12.23%56.75M
6.73%59.92M
6.73%59.92M
74.51%67.5M
53.44%57.52M
67.07%50.57M
113.75%56.14M
113.75%56.14M
34.14%38.68M
-5.28%37.48M
Total current assets
17.35%4.09B
12.43%4.14B
12.43%4.14B
-1.50%3.62B
-4.14%3.61B
10.45%3.48B
23.33%3.68B
23.33%3.68B
41.34%3.68B
45.01%3.76B
Non current assets
Net PPE
-8.58%319.08M
-0.05%326.09M
-0.05%326.09M
119.13%340.3M
111.31%345.08M
4.95%349.05M
2.33%326.27M
2.33%326.27M
-18.44%155.3M
-12.34%163.31M
-Gross PP&E
-8.58%319.08M
7.58%493.92M
7.58%493.92M
--340.3M
111.31%345.08M
4.95%349.05M
6.67%459.11M
6.67%459.11M
----
-12.34%163.31M
-Accumulated depreciation
----
-26.33%-167.82M
-26.33%-167.82M
----
----
----
-19.07%-132.84M
-19.07%-132.84M
----
----
Total investment
-3.94%177.38M
12.60%204.54M
12.60%204.54M
15.18%200.77M
72.03%205.54M
34.83%184.65M
32.68%181.66M
32.68%181.66M
-18.66%174.32M
-30.79%119.48M
-Long-term equity investment
1.74%20.63M
-32.52%16.06M
-32.52%16.06M
-25.45%17.95M
-11.79%18.08M
1.75%20.28M
1.19%23.8M
1.19%23.8M
-71.46%24.08M
-61.37%20.49M
-Financial asset investment
-4.64%156.75M
19.40%188.48M
19.40%188.48M
21.69%182.82M
89.38%187.46M
40.46%164.37M
39.21%157.86M
39.21%157.86M
15.64%150.23M
-17.23%98.99M
-Including:Available-for-sale securities
-4.64%156.75M
19.40%188.48M
19.40%188.48M
21.69%182.82M
89.38%187.46M
40.46%164.37M
39.21%157.86M
39.21%157.86M
15.64%150.23M
-17.23%98.99M
Goodwill and other intangible assets
-19.40%538.78M
-17.21%582.76M
-17.21%582.76M
-18.18%622.48M
-14.21%663.33M
1,498.35%668.42M
1,571.45%703.88M
1,571.45%703.88M
1,314.71%760.76M
1,240.11%773.24M
-Goodwill
-19.43%474.27M
-17.58%511.64M
-17.58%511.64M
-15.91%549.01M
-14.39%586.39M
--588.66M
--620.77M
--620.77M
--652.88M
--684.99M
-Other intangible assets
-19.11%64.51M
-14.43%71.12M
-14.43%71.12M
-31.90%73.47M
-12.81%76.95M
--79.76M
97.35%83.11M
97.35%83.11M
--107.88M
--88.26M
Defined pension benefit
87.71%138.27M
97.85%133.04M
97.85%133.04M
--89.92M
--76.25M
70.28%73.66M
73.03%67.24M
73.03%67.24M
----
----
Deferred tax assets-non current
-13.54%23.39M
-11.75%40.55M
-11.75%40.55M
26.18%26.64M
-21.92%31.72M
246.45%27.05M
111.06%45.95M
111.06%45.95M
12.58%21.11M
-7.94%40.62M
Other non current assets
172.90%3.83M
14.79%1.81M
14.79%1.81M
-99.17%2.06M
-95.85%9.94M
-84.37%1.4M
347.44%1.58M
347.44%1.58M
-24.17%247.78M
-10.05%239.64M
Total non current assets
-7.94%1.2B
-2.85%1.29B
-2.85%1.29B
-5.67%1.28B
-0.33%1.33B
128.26%1.3B
137.38%1.33B
137.38%1.33B
69.06%1.36B
83.77%1.34B
Total assets
10.46%5.29B
8.38%5.43B
8.38%5.43B
-2.63%4.9B
-3.14%4.94B
28.53%4.79B
41.31%5.01B
41.31%5.01B
47.89%5.04B
53.49%5.1B
Liabilities
Current liabilities
Financial liabilities
-5.15%265.39M
-7.05%279.03M
-7.05%279.03M
-7.52%286.07M
-13.04%289.51M
31.38%279.81M
84.22%300.18M
84.22%300.18M
34.72%309.34M
55.28%332.92M
-Current debt and capital lease obligation
-5.15%265.39M
-7.05%279.03M
-7.05%279.03M
-7.52%286.07M
-13.04%289.51M
31.38%279.81M
84.22%300.18M
84.22%300.18M
34.72%309.34M
55.28%332.92M
-Including:Current debt
-5.15%265.39M
-7.05%279.03M
-7.05%279.03M
-7.52%286.07M
-13.04%289.51M
31.38%279.81M
84.22%300.18M
84.22%300.18M
34.72%309.34M
55.28%332.92M
Payables
20.25%690.55M
18.86%834.29M
18.86%834.29M
-16.41%503.16M
1.45%588.8M
12.07%574.24M
11.53%701.91M
11.53%701.91M
22.60%601.95M
62.34%580.39M
-accounts payable
28.16%461.79M
53.33%521.57M
53.33%521.57M
-36.58%292.12M
-23.38%308.36M
14.60%360.34M
2.57%340.17M
2.57%340.17M
3.45%460.6M
41.75%402.45M
-Total tax payable
-3.98%86.3M
-21.85%143.77M
-21.85%143.77M
-50.02%70.65M
0.14%178.18M
17.74%89.88M
32.09%183.96M
32.09%183.96M
208.85%141.35M
141.77%177.94M
-Other payable
14.86%142.46M
-4.96%168.96M
-4.96%168.96M
--140.39M
--102.26M
2.00%124.03M
12.24%177.78M
12.24%177.78M
----
----
Current provisions
----
-67.45%1.25M
-67.45%1.25M
----
----
----
--3.83M
--3.83M
----
----
Pension and other retirement benefit plans
0.96%90.87M
-14.95%105.72M
-14.95%105.72M
12.13%74.12M
-2.13%113.36M
38.27%90.01M
47.57%124.3M
47.57%124.3M
62.16%66.11M
93.40%115.83M
Accrued and deferred income
--54M
9.08%163.16M
9.08%163.16M
----
----
----
-11.64%149.58M
-11.64%149.58M
30.31%138.59M
98.02%202.92M
Other current liabilities
-20.94%254.5M
-21.11%148.93M
-21.11%148.93M
-12.33%280.91M
-11.88%296.07M
75.45%321.9M
167.45%188.77M
167.45%188.77M
100.37%320.41M
10.52%335.98M
Current liabilities
7.06%1.36B
4.34%1.53B
4.34%1.53B
-20.34%1.14B
-17.88%1.29B
13.58%1.27B
31.55%1.47B
31.55%1.47B
39.78%1.44B
51.02%1.57B
Non current liabilities
Non current financial liabilities
-27.25%441.29M
-26.87%487.53M
-26.87%487.53M
-30.35%540.36M
-27.92%595.09M
58.57%606.6M
55.83%666.62M
55.83%666.62M
96.60%775.84M
141.39%825.62M
-Long term debt and capital lease obligation
-27.25%441.29M
-26.87%487.53M
-26.87%487.53M
-30.35%540.36M
-27.92%595.09M
58.57%606.6M
55.83%666.62M
55.83%666.62M
96.60%775.84M
141.39%825.62M
-Including:Long term debt
-27.25%441.29M
-26.87%487.53M
-26.87%487.53M
-30.35%540.36M
-27.92%595.09M
58.57%606.6M
55.83%666.62M
55.83%666.62M
96.60%775.84M
141.39%825.62M
Long term pension and other post-retirement benefit plans
-5.90%13.48M
-72.49%13.18M
-72.49%13.18M
-22.29%13.05M
-7.03%14.63M
-69.73%14.33M
3.40%47.93M
3.40%47.93M
14.15%16.8M
11.81%15.73M
Non current deferred liabilities
--35.41M
----
----
--27.87M
----
----
----
----
----
----
Other non current liabilities
-29.58%40.02M
34.59%64.11M
34.59%64.11M
-52.19%45.53M
-44.06%48.04M
232.16%56.83M
309.36%47.63M
309.36%47.63M
362.21%95.22M
554.57%85.87M
Total non current liabilities
-21.77%530.2M
-25.89%564.82M
-25.89%564.82M
-29.40%626.8M
-29.06%657.75M
51.63%677.76M
56.89%762.18M
56.89%762.18M
106.51%887.86M
151.14%927.23M
Total liabilities
-2.99%1.89B
-5.99%2.1B
-5.99%2.1B
-23.80%1.77B
-22.03%1.95B
24.47%1.94B
39.23%2.23B
39.23%2.23B
59.46%2.32B
77.28%2.5B
Shareholders'equity
Share capital
0.74%547.89M
0.82%547.89M
0.82%547.89M
0.45%545.07M
0.30%543.86M
1.15%543.86M
1.15%543.46M
1.15%543.46M
1.18%542.65M
1.70%542.25M
-common stock
0.74%547.89M
0.82%547.89M
0.82%547.89M
0.45%545.07M
0.30%543.86M
1.15%543.86M
1.15%543.46M
1.15%543.46M
1.18%542.65M
1.70%542.25M
Additional paid-in capital
0.71%538.51M
0.78%538.51M
0.78%538.51M
0.41%535.69M
0.25%534.48M
8.52%534.74M
8.52%534.33M
8.52%534.33M
8.57%533.53M
9.18%533.13M
Retained earnings
24.34%1.9B
28.72%1.87B
28.72%1.87B
27.95%1.74B
28.22%1.63B
40.56%1.53B
46.59%1.46B
46.59%1.46B
32.58%1.36B
30.44%1.27B
Less: Treasury stock
-16.32%83.28M
67.55%83.26M
67.55%83.26M
3,455.08%83.26M
3,455.08%83.26M
-26.18%99.53M
-63.14%49.69M
-63.14%49.69M
-98.26%2.34M
-97.79%2.34M
Other reserves
81.90%90.24M
137.09%94.23M
137.09%94.23M
84.00%64.39M
96.50%65.22M
21.02%49.61M
20.46%39.74M
20.46%39.74M
35.81%35M
78.69%33.19M
Other equity interest
56.43%131.04M
66.71%118.21M
66.71%118.21M
85.84%108.65M
110.77%96.59M
152.34%83.77M
244.87%70.91M
244.87%70.91M
949.43%58.46M
663.94%45.83M
Total stockholders'equity
18.33%3.13B
19.08%3.09B
19.08%3.09B
15.16%2.91B
15.01%2.79B
28.38%2.64B
33.64%2.6B
33.64%2.6B
29.60%2.53B
26.56%2.42B
Noncontrolling interests
37.30%271.88M
31.98%240.71M
31.98%240.71M
20.33%225.71M
14.16%206.57M
93.44%198.03M
--182.38M
--182.38M
--187.57M
--180.95M
Total equity
19.66%3.4B
19.93%3.33B
19.93%3.33B
15.52%3.13B
14.95%2.99B
31.46%2.84B
43.03%2.78B
43.03%2.78B
39.23%2.71B
36.01%2.61B
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
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 25.76%2.66B16.09%2.69B16.09%2.69B-2.42%2.33B-11.11%2.31B2.32%2.11B19.31%2.32B19.31%2.32B47.87%2.38B61.03%2.6B
-Cash and cash equivalents 25.76%2.66B16.09%2.69B16.09%2.69B-2.42%2.33B-11.11%2.31B2.32%2.11B19.31%2.32B19.31%2.32B47.87%2.38B61.03%2.6B
Receivables -3.77%1.18B6.76%1.26B6.76%1.26B13.22%1.1B12.24%1.09B32.35%1.23B32.37%1.18B32.37%1.18B22.09%971.64M13.28%968.67M
-Accounts receivable -3.13%1.16B6.74%1.24B6.74%1.24B11.94%1.09B12.17%1.09B29.42%1.2B30.50%1.16B30.50%1.16B22.09%971.64M13.28%968.67M
-Gross accounts receivable -3.13%1.16B6.74%1.24B6.74%1.24B11.94%1.09B12.17%1.09B29.42%1.2B30.50%1.16B30.50%1.16B22.09%971.64M13.28%968.67M
-Other receivables -31.77%18.53M7.86%18.04M7.86%18.04M--12.48M--659K--27.15M--16.72M--16.72M--------
Inventory 107.40%192.42M0.91%129.09M0.91%129.09M-54.63%128.4M-3.66%152.77M-29.14%92.78M2.35%127.93M2.35%127.93M71.67%283M82.61%158.57M
Other current assets 12.23%56.75M6.73%59.92M6.73%59.92M74.51%67.5M53.44%57.52M67.07%50.57M113.75%56.14M113.75%56.14M34.14%38.68M-5.28%37.48M
Total current assets 17.35%4.09B12.43%4.14B12.43%4.14B-1.50%3.62B-4.14%3.61B10.45%3.48B23.33%3.68B23.33%3.68B41.34%3.68B45.01%3.76B
Non current assets
Net PPE -8.58%319.08M-0.05%326.09M-0.05%326.09M119.13%340.3M111.31%345.08M4.95%349.05M2.33%326.27M2.33%326.27M-18.44%155.3M-12.34%163.31M
-Gross PP&E -8.58%319.08M7.58%493.92M7.58%493.92M--340.3M111.31%345.08M4.95%349.05M6.67%459.11M6.67%459.11M-----12.34%163.31M
-Accumulated depreciation -----26.33%-167.82M-26.33%-167.82M-------------19.07%-132.84M-19.07%-132.84M--------
Total investment -3.94%177.38M12.60%204.54M12.60%204.54M15.18%200.77M72.03%205.54M34.83%184.65M32.68%181.66M32.68%181.66M-18.66%174.32M-30.79%119.48M
-Long-term equity investment 1.74%20.63M-32.52%16.06M-32.52%16.06M-25.45%17.95M-11.79%18.08M1.75%20.28M1.19%23.8M1.19%23.8M-71.46%24.08M-61.37%20.49M
-Financial asset investment -4.64%156.75M19.40%188.48M19.40%188.48M21.69%182.82M89.38%187.46M40.46%164.37M39.21%157.86M39.21%157.86M15.64%150.23M-17.23%98.99M
-Including:Available-for-sale securities -4.64%156.75M19.40%188.48M19.40%188.48M21.69%182.82M89.38%187.46M40.46%164.37M39.21%157.86M39.21%157.86M15.64%150.23M-17.23%98.99M
Goodwill and other intangible assets -19.40%538.78M-17.21%582.76M-17.21%582.76M-18.18%622.48M-14.21%663.33M1,498.35%668.42M1,571.45%703.88M1,571.45%703.88M1,314.71%760.76M1,240.11%773.24M
-Goodwill -19.43%474.27M-17.58%511.64M-17.58%511.64M-15.91%549.01M-14.39%586.39M--588.66M--620.77M--620.77M--652.88M--684.99M
-Other intangible assets -19.11%64.51M-14.43%71.12M-14.43%71.12M-31.90%73.47M-12.81%76.95M--79.76M97.35%83.11M97.35%83.11M--107.88M--88.26M
Defined pension benefit 87.71%138.27M97.85%133.04M97.85%133.04M--89.92M--76.25M70.28%73.66M73.03%67.24M73.03%67.24M--------
Deferred tax assets-non current -13.54%23.39M-11.75%40.55M-11.75%40.55M26.18%26.64M-21.92%31.72M246.45%27.05M111.06%45.95M111.06%45.95M12.58%21.11M-7.94%40.62M
Other non current assets 172.90%3.83M14.79%1.81M14.79%1.81M-99.17%2.06M-95.85%9.94M-84.37%1.4M347.44%1.58M347.44%1.58M-24.17%247.78M-10.05%239.64M
Total non current assets -7.94%1.2B-2.85%1.29B-2.85%1.29B-5.67%1.28B-0.33%1.33B128.26%1.3B137.38%1.33B137.38%1.33B69.06%1.36B83.77%1.34B
Total assets 10.46%5.29B8.38%5.43B8.38%5.43B-2.63%4.9B-3.14%4.94B28.53%4.79B41.31%5.01B41.31%5.01B47.89%5.04B53.49%5.1B
Liabilities
Current liabilities
Financial liabilities -5.15%265.39M-7.05%279.03M-7.05%279.03M-7.52%286.07M-13.04%289.51M31.38%279.81M84.22%300.18M84.22%300.18M34.72%309.34M55.28%332.92M
-Current debt and capital lease obligation -5.15%265.39M-7.05%279.03M-7.05%279.03M-7.52%286.07M-13.04%289.51M31.38%279.81M84.22%300.18M84.22%300.18M34.72%309.34M55.28%332.92M
-Including:Current debt -5.15%265.39M-7.05%279.03M-7.05%279.03M-7.52%286.07M-13.04%289.51M31.38%279.81M84.22%300.18M84.22%300.18M34.72%309.34M55.28%332.92M
Payables 20.25%690.55M18.86%834.29M18.86%834.29M-16.41%503.16M1.45%588.8M12.07%574.24M11.53%701.91M11.53%701.91M22.60%601.95M62.34%580.39M
-accounts payable 28.16%461.79M53.33%521.57M53.33%521.57M-36.58%292.12M-23.38%308.36M14.60%360.34M2.57%340.17M2.57%340.17M3.45%460.6M41.75%402.45M
-Total tax payable -3.98%86.3M-21.85%143.77M-21.85%143.77M-50.02%70.65M0.14%178.18M17.74%89.88M32.09%183.96M32.09%183.96M208.85%141.35M141.77%177.94M
-Other payable 14.86%142.46M-4.96%168.96M-4.96%168.96M--140.39M--102.26M2.00%124.03M12.24%177.78M12.24%177.78M--------
Current provisions -----67.45%1.25M-67.45%1.25M--------------3.83M--3.83M--------
Pension and other retirement benefit plans 0.96%90.87M-14.95%105.72M-14.95%105.72M12.13%74.12M-2.13%113.36M38.27%90.01M47.57%124.3M47.57%124.3M62.16%66.11M93.40%115.83M
Accrued and deferred income --54M9.08%163.16M9.08%163.16M-------------11.64%149.58M-11.64%149.58M30.31%138.59M98.02%202.92M
Other current liabilities -20.94%254.5M-21.11%148.93M-21.11%148.93M-12.33%280.91M-11.88%296.07M75.45%321.9M167.45%188.77M167.45%188.77M100.37%320.41M10.52%335.98M
Current liabilities 7.06%1.36B4.34%1.53B4.34%1.53B-20.34%1.14B-17.88%1.29B13.58%1.27B31.55%1.47B31.55%1.47B39.78%1.44B51.02%1.57B
Non current liabilities
Non current financial liabilities -27.25%441.29M-26.87%487.53M-26.87%487.53M-30.35%540.36M-27.92%595.09M58.57%606.6M55.83%666.62M55.83%666.62M96.60%775.84M141.39%825.62M
-Long term debt and capital lease obligation -27.25%441.29M-26.87%487.53M-26.87%487.53M-30.35%540.36M-27.92%595.09M58.57%606.6M55.83%666.62M55.83%666.62M96.60%775.84M141.39%825.62M
-Including:Long term debt -27.25%441.29M-26.87%487.53M-26.87%487.53M-30.35%540.36M-27.92%595.09M58.57%606.6M55.83%666.62M55.83%666.62M96.60%775.84M141.39%825.62M
Long term pension and other post-retirement benefit plans -5.90%13.48M-72.49%13.18M-72.49%13.18M-22.29%13.05M-7.03%14.63M-69.73%14.33M3.40%47.93M3.40%47.93M14.15%16.8M11.81%15.73M
Non current deferred liabilities --35.41M----------27.87M------------------------
Other non current liabilities -29.58%40.02M34.59%64.11M34.59%64.11M-52.19%45.53M-44.06%48.04M232.16%56.83M309.36%47.63M309.36%47.63M362.21%95.22M554.57%85.87M
Total non current liabilities -21.77%530.2M-25.89%564.82M-25.89%564.82M-29.40%626.8M-29.06%657.75M51.63%677.76M56.89%762.18M56.89%762.18M106.51%887.86M151.14%927.23M
Total liabilities -2.99%1.89B-5.99%2.1B-5.99%2.1B-23.80%1.77B-22.03%1.95B24.47%1.94B39.23%2.23B39.23%2.23B59.46%2.32B77.28%2.5B
Shareholders'equity
Share capital 0.74%547.89M0.82%547.89M0.82%547.89M0.45%545.07M0.30%543.86M1.15%543.86M1.15%543.46M1.15%543.46M1.18%542.65M1.70%542.25M
-common stock 0.74%547.89M0.82%547.89M0.82%547.89M0.45%545.07M0.30%543.86M1.15%543.86M1.15%543.46M1.15%543.46M1.18%542.65M1.70%542.25M
Additional paid-in capital 0.71%538.51M0.78%538.51M0.78%538.51M0.41%535.69M0.25%534.48M8.52%534.74M8.52%534.33M8.52%534.33M8.57%533.53M9.18%533.13M
Retained earnings 24.34%1.9B28.72%1.87B28.72%1.87B27.95%1.74B28.22%1.63B40.56%1.53B46.59%1.46B46.59%1.46B32.58%1.36B30.44%1.27B
Less: Treasury stock -16.32%83.28M67.55%83.26M67.55%83.26M3,455.08%83.26M3,455.08%83.26M-26.18%99.53M-63.14%49.69M-63.14%49.69M-98.26%2.34M-97.79%2.34M
Other reserves 81.90%90.24M137.09%94.23M137.09%94.23M84.00%64.39M96.50%65.22M21.02%49.61M20.46%39.74M20.46%39.74M35.81%35M78.69%33.19M
Other equity interest 56.43%131.04M66.71%118.21M66.71%118.21M85.84%108.65M110.77%96.59M152.34%83.77M244.87%70.91M244.87%70.91M949.43%58.46M663.94%45.83M
Total stockholders'equity 18.33%3.13B19.08%3.09B19.08%3.09B15.16%2.91B15.01%2.79B28.38%2.64B33.64%2.6B33.64%2.6B29.60%2.53B26.56%2.42B
Noncontrolling interests 37.30%271.88M31.98%240.71M31.98%240.71M20.33%225.71M14.16%206.57M93.44%198.03M--182.38M--182.38M--187.57M--180.95M
Total equity 19.66%3.4B19.93%3.33B19.93%3.33B15.52%3.13B14.95%2.99B31.46%2.84B43.03%2.78B43.03%2.78B39.23%2.71B36.01%2.61B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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