Good Com Asset Co., Ltd.JP:3475

Market cap
¥24.1B
P/E ratio
13.8x
Oct 31,
2014
Oct 31,
2015
Oct 31,
2016
Oct 31,
2017
Oct 31,
2018
Oct 31,
2019
Oct 31,
2020
Oct 31,
2021
Oct 31,
2022
Oct 31,
2023
Cash and deposits-1,6111,4432,5395,8344,9806,5987,97411,6778,061
Accounts receivable - trade--------43
Real estate for sale-2,0332,0398,6285,6208,52815,5538,62910,23936,406
Real estate for sale in process-2,0261,63379325491,7431,7312535,168
Real estate for sale-2,0332,0398,6285,6208,52815,5538,62910,23936,406
Real estate for sale in process-2,0261,63379325491,7431,7312535,168
Advance payments to suppliers-3245282277301,1068071,0798731,235
Current portion of long-term loans receivable from subsidiaries and associates---------4
Other-5451325762372662776672,351
Allowance for doubtful accounts-------31-37-79-225
Current assets-6,1025,73512,53912,33914,90024,93719,65323,63453,002
Current assets-6,1025,73512,53912,33914,90024,93719,65323,63453,002
Buildings and structures-191919195558868692
Accumulated depreciation and impairment---------30-40
Buildings and structures, net-87553838625753
Other-51010101427373740
Accumulated depreciation and impairment---------22-23
Other, net-1542515191417
Property, plant and equipment-1413974353817170
Property, plant and equipment-1413974353817170
Goodwill------540250106-
Software---2114031117
Software---2114031117
Intangible assets--22115802811177
Intangible assets--22115802811177
Investment securities-871013151421255
Deferred tax assets-----81157199177196
Other-98815272150176211428217
Investments and other assets-13111364142247346431631418
Deferred tax assets-----81157199177196
Other-98815272150176211428217
Investments and other assets-13111364142247346431631418
Non-current assets-14412875150292979793818495
Assets-6,2465,86312,61412,43515,19225,91620,44624,45253,497
Accounts payable for construction contracts-34438511742781111651,322488
Short-term borrowings-1,4587463862921,4883,4901,9362,04814,686
Current portion of bonds payable-10101010-42828282
Current portion of long-term borrowings-3599826,0223,4613,8788,0053,0173,03614,380
Refund liabilities--------134100
Income taxes payable-30617611543539174066687939
Provision for bonuses-161616171718192129
Income taxes payable-30617611543539174066687939
Provision for loss on guarantees------25284044
Provision for bonuses-161616171718192129
Other-1501821915493064301,160482716
Current liabilities-2,7532,5646,9054,8276,18312,9267,2368,04530,564
Other-1501821915493064301,160482716
Current liabilities-2,7532,5646,9054,8276,18312,9267,2368,04530,564
Bonds payable-302010--237335253171
Long-term borrowings-2,1001,3692,4401,2341,9444,2923,6254,64911,062
Provision for shareholder benefit program-----252673-
Non-current liabilities-2,2201,4842,4671,2511,9914,5924,0014,93511,324
Other-192117172237343092
Non-current liabilities-2,2201,4842,4671,2511,9914,5924,0014,93511,324
Liabilities-4,9734,0489,3726,0788,17417,51811,23712,98041,889
Share capital-92925041,5881,5901,5941,5951,5961,596
Capital surplus---4131,4971,4981,5021,5041,5041,509
Capital surplus---4131,4971,4981,5021,5041,5041,509
Retained earnings-1,1811,7242,3233,2734,1465,6347,0949,3369,463
Retained earnings-1,1811,7242,3233,2734,1465,6347,0949,3369,463
Treasury shares----0-0-215-330-987-969-958
Shareholders' equity-1,2731,8163,2416,3587,0188,4009,20711,46711,610
Valuation difference on available-for-sale securities-21312-0460
Valuation and translation adjustments-0-11-1-1-325-2
Foreign currency translation adjustment--2-2-2-2-3-2-2-2-2
Valuation and translation adjustments-0-11-1-1-325-2
Net assets7121,2731,8153,2416,3577,0188,3989,20911,47211,608
Liabilities and net assets-6,2465,86312,61412,43515,19225,91620,44624,45253,497