DIJET INDUSTRIAL CO., LTD.JP:6138

Market cap
¥2.2B
P/E ratio
Mar 31,
2012
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and deposits-1,6151,4131,2871,1501,3232,0261,6861,2581,5771,2021,2411,390
Notes and accounts receivable - trade-2,3412,2812,4262,2742,1552,3992,1112,0621,4801,7991,8922,014
Notes receivable - trade----------224373403
Inventories-3,7753,8294,3744,7424,4054,0824,3644,4674,2804,6565,2075,125
Electronically recorded monetary claims - operating-----------267326
Consumption taxes refund receivable-------16930-415824
Accounts receivable - trade----------1,5751,5181,611
Other-92941811611168817116185344185226
Merchandise and finished goods-1,8951,8612,0162,6292,5322,0431,8842,1932,1992,2462,5472,537
Allowance for doubtful accounts--12-12-11-10-9-11-17-10-7-22-10-10
Work in process-8701,0971,2821,2069821,1381,5511,3541,3461,4491,5401,545
Current assets-8,0767,8938,5388,5108,1588,7888,4847,9687,4158,0208,5738,769
Raw materials and supplies-1,0108711,0769068919019289207359611,1201,043
Prepaid expenses-----------5859
Accounts receivable - other-1715571------97104
Consumption taxes refund receivable-------16930-415824
Other-92941811611168817116185344185226
Allowance for doubtful accounts--12-12-11-10-9-11-17-10-7-22-10-10
Current assets-8,0767,8938,5388,5108,1588,7888,4847,9687,4158,0208,5738,769
Buildings, net-----------1,4261,458
Buildings and structures-3,4963,5343,5643,6113,6693,7074,6444,7364,9034,9444,9765,083
Accumulated depreciation--2,492-2,577-2,652-2,732-2,806-2,871-2,920-3,038-3,166-3,293-3,416-3,507
Buildings and structures, net-1,0049579128798638361,7241,6991,7381,6511,5601,576
Structures, net-----------134118
Machinery, equipment and vehicles-8,5468,7859,99010,92811,50711,61611,70511,92512,01011,88011,75011,319
Accumulated depreciation--6,809-6,715-7,237-7,671-8,178-8,687-8,748-8,941-9,423-9,763-9,954-9,818
Machinery, equipment and vehicles, net-1,7372,0702,7533,2573,3292,9292,9582,9832,5872,1171,7961,501
Machinery and equipment, net-----------1,7901,494
Land-1,0611,0619759751,0321,032976976976976976976
Vehicles, net-----------14
Leased assets-426426484848-5981,3251,4501,6851,8922,103
Accumulated depreciation--153-198-25-34-44--29-137-282-438-626-838
Leased assets, net-27422823144-5691,1871,1681,2471,2671,265
Tools, furniture and fixtures, net-----------132115
Construction in progress-----121688120833275
Land-1,0611,0619759751,0321,032976976976976976976
Other-1,0721,1241,2601,3901,3801,4451,4121,4961,4711,5071,6071,673
Accumulated depreciation--1,008-1,025-1,079-1,180-1,216-1,272-1,192-1,275-1,323-1,370-1,470-1,553
Other, net-64100181210164173220221148137137120
Leased assets, net-27422823144-5691,1871,1681,2471,2671,265
Property, plant and equipment-4,1394,4154,8445,3355,3925,1386,5277,2746,6196,1305,7635,443
Construction in progress-----121688120833275
Property, plant and equipment-4,1394,4154,8445,3355,3925,1386,5277,2746,6196,1305,7635,443
Telephone subscription right-----------1717
Other-56506367675279106205265249222
Other-56506367675279106205265249222
Intangible assets-56506367675279106205265249222
Intangible assets-56506367675279106205265249222
Investment securities-1,1021,4741,7231,2791,3801,6911,3199111,2671,2601,2931,598
Shares of subsidiaries and associates-----------126126
Investments in capital of subsidiaries and associates--225252227205227221232246301334366
Investments in capital of subsidiaries and associates--225252227205227221232246301334366
Insurance funds-272286297310324337351321335272826
Guarantee deposits-----------5148
Deferred tax assets-------15122328451059
Insurance funds-272286297310324337351321335272826
Other-3887171687366606661607062
Deferred tax assets-------15122328451059
Allowance for doubtful accounts--28-28-28-30-30-28-28-28-28-28-28-28
Other-3887171687366606661607062
Investments and other assets-1,7352,0282,3151,8541,9532,3312,0741,7241,9091,6651,8032,034
Allowance for doubtful accounts--28-28-28-30-30-28-28-28-28-28-28-28
Investments and other assets-1,7352,0282,3151,8541,9532,3312,0741,7241,9091,6651,8032,034
Non-current assets-5,9306,4937,2237,2567,4117,5228,6809,1048,7338,0607,8147,698
Assets-14,00614,38715,76115,76615,56916,27217,16417,07216,14816,08016,38716,467
Notes payable - trade-----------120122
Notes and accounts payable - trade-1,1901,270849563468550627430411450420344
Electronically recorded obligations - operating---632667496810941574439674751544
Accounts payable - trade-----------280194
Short-term borrowings-1,6871,3981,7952,0552,0811,7111,7932,1802,7052,3872,2922,123
Short-term borrowings-1,6871,3981,7952,0552,0811,7111,7932,1802,7052,3872,2922,123
Income taxes payable-54344288451582829342771
Current portion of long-term borrowings-----------1,4921,523
Provision for bonuses-183193214221186214179177185194194184
Income taxes payable-54344288451582829342771
Other-4767258467624046411,1461,072408510526783
Accrued expenses-----------97140
Current liabilities-3,5913,6204,3784,3563,6804,0844,7154,4634,1524,2574,2593,980
Provision for bonuses-183193214221186214179177185194194184
Other-4767258467624046411,1461,072408510526783
Current liabilities-3,5913,6204,3784,3563,6804,0844,7154,4634,1524,2574,2593,980
Long-term borrowings-2,4362,4642,6332,8953,1852,9652,8642,7602,6442,6472,6442,772
Lease liabilities-23626165--5481,1411,1061,1671,1541,108
Deferred tax liabilities------------207
Asset retirement obligations-181818181818181818181818
Long-term accounts payable - other-----------6565
Retirement benefit liability--1,4051,4711,4421,3431,2261,1531,108910748750513
Provision for retirement benefits-1,259---------753638
Other-386357376375374374368367367656565
Non-current liabilities-4,4704,5364,8184,8044,9944,7494,9515,3945,0454,6434,6304,683
Liabilities-8,0608,1559,1969,1608,6748,8329,6669,8569,1978,9018,8908,663
Share capital-3,0993,0993,0993,0993,0993,0993,0993,0993,0993,0993,0993,099
Legal capital surplus-----------1,6891,689
Other capital surplus-----------1414
Gain on disposal of treasury stock-----------1414
Capital surplus-1,7031,7031,7031,7031,7031,7031,7031,7031,7031,7031,7031,703
Capital surplus-1,7031,7031,7031,7031,7031,7031,7031,7031,7031,7031,7031,703
Other retained earnings-----------1,4871,235
Retained earnings brought forward-----------1,4871,235
Retained earnings-9291,1281,0831,5151,7122,0072,3252,3791,6911,7492,0671,861
Retained earnings-9291,1281,0831,5151,7122,0072,3252,3791,6911,7492,0671,861
Treasury shares--22-22-44-44-44-45-46-46-46-46-47-47
Shareholders' equity-5,7105,9095,8426,2746,4706,7647,0827,1366,4476,5056,8226,617
Valuation difference on available-for-sale securities-243479690383459656390120385380421654
Valuation and translation adjustments-236322723332425676417805046746751,187
Foreign currency translation adjustment--730137916750492458163252408
Remeasurements of defined benefit plans---186-104-142-101-30-22-65611313125
Valuation and translation adjustments-236322723332425676417805046746751,187
Net assets5,7075,9466,2316,5656,6066,8957,4407,4987,2166,9517,1797,4977,805
Liabilities and net assets-14,00614,38715,76115,76615,56916,27217,16417,07216,14816,08016,38716,467