starts corporation inc.JP:8850

Market cap
¥185.2B
P/E ratio
11.5x
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-29,36741,82640,14347,64252,73144,50746,87760,03672,65074,38585,22594,037
Notes receivable - trade----------1324-
Accounts receivable - trade----------9,79411,61012,712
Accounts receivable - trade----------9,79411,61012,712
Supplies-----------2019
Contract assets----------3,4464,5397,697
Real estate for sale in process-17,15517,97222,97314,85522,20631,46716,3118,4228,6117,73110,36211,967
Prepaid expenses-1,0141,3741,3971,3041,6132,0131,9792,1561,6491,9651,9092,414
Real estate for sale-11,4354,9925,4919,6922,54113,93822,56119,97914,15510,9251,5033,563
Accounts receivable - other-----------42,11737,224
Real estate for sale in process-17,15517,97222,97314,85522,20631,46716,3118,4228,6117,73110,36211,967
Other-4,9264,3666,2584,4756,8378,7516,3997,1616,7447,32510,70413,497
Costs on construction contracts in progress-6704499081,1061,1791,3751,4171,4921,4651,8351,9872,022
Allowance for doubtful accounts--213-178-178-119-100-99-119-139-303-261-305-373
Prepaid expenses-1,0141,3741,3971,3041,6132,0131,9792,1561,6491,9651,9092,414
Current assets-73,26180,57688,26589,38097,610113,924107,426112,046116,918117,161127,562147,540
Other-4,9264,3666,2584,4756,8378,7516,3997,1616,7447,32510,70413,497
Allowance for doubtful accounts--213-178-178-119-100-99-119-139-303-261-305-373
Current assets-73,26180,57688,26589,38097,610113,924107,426112,046116,918117,161127,562147,540
Buildings-----------27,31436,842
Buildings and structures-29,14630,21330,46130,67732,79643,61853,18254,10461,29870,58973,92685,497
Accumulated depreciation--9,676-10,470-11,596-12,507-13,515-14,704-16,322-18,304-20,655-23,145-25,269-28,353
Buildings and structures, net-19,46919,74318,86418,16919,28128,91336,86035,80040,64247,44348,65657,143
Structures-----------737903
Machinery, equipment and vehicles-5,0635,3826,1846,4997,0677,8198,0238,5659,1109,45310,18610,714
Accumulated depreciation--3,418-3,747-4,053-4,362-5,023-5,693-5,986-6,471-7,037-7,566-8,171-8,729
Machinery, equipment and vehicles, net-1,6461,6352,1312,1362,0442,1262,0362,0942,0731,8872,0141,985
Machinery and equipment, net-----------6363
Land-31,08949,29248,70048,53149,15563,92164,75465,28867,55975,09376,48075,065
Vehicles-----------1011
Construction in progress-111,060508914,4652,9381,0016,2812,5451,3905,2531,411
Tools, furniture and fixtures-----------507968
Other-4,2204,5424,7044,8185,0815,8537,2837,4188,2629,1409,60011,026
Land-31,08949,29248,70048,53149,15563,92164,75465,28867,55975,09376,48075,065
Accumulated depreciation--3,496-3,718-3,705-3,777-4,047-4,285-4,905-5,434-6,180-6,864-7,708-8,460
Construction in progress-111,060508914,4652,9381,0016,2812,5451,3905,2531,411
Other, net-7248239981,0401,0331,5682,3781,9832,0822,2761,8912,566
Property, plant and equipment-52,93972,55370,74270,76975,98099,468107,031111,446114,903128,091134,297138,172
Software-9311,1781,2311,3051,3031,3931,2781,3281,3801,4852,0372,259
Software in progress----------5441,1552,061
Other-1561201631301711713211642016126665
Goodwill-2,8682,6552,7892,4902,1901,9321,6231,4001,2541,016911652
Intangible assets-3,9553,9534,1843,9263,6663,4973,2222,8932,8363,1144,1715,038
Other-1561201631301711713211642016126665
Intangible assets-3,9553,9534,1843,9263,6663,4973,2222,8932,8363,1144,1715,038
Investment securities-10,30310,12810,1288,5888,8659,79611,43010,58713,46812,85613,56915,834
Shares of subsidiaries and associates-----------11,81711,980
Long-term loans receivable-1631,3201,5302,246365471498502462411413309
Long-term loans receivable from subsidiaries and associates-----------10,24110,425
Long-term prepaid expenses-516504383346180268231315241589801929
Long-term prepaid expenses-516504383346180268231315241589801929
Retirement benefit asset---413-------8574,616
Guarantee deposits-----------700698
Deferred tax assets-------2,8853,1352,4082,4892,6151,887
Prepaid pension costs-----------67311
Other-4,0253,8314,1075,4065,8346,3416,9117,7028,1959,00610,12510,116
Other-4,0253,8314,1075,4065,8346,3416,9117,7028,1959,00610,12510,116
Allowance for doubtful accounts--353-366-419-414-288-255-369-344-275-309-303-194
Allowance for doubtful accounts--353-366-419-414-288-255-369-344-275-309-303-194
Allowance for investment loss---91-341-219-285-271-366-256-118-123-153-143
Allowance for investment loss---91-341-219-285-271-366-256-118-123-153-143
Investments and other assets-15,20115,47615,80516,47315,55618,94921,22021,64224,38224,91927,06833,356
Investments and other assets-15,20115,47615,80516,47315,55618,94921,22021,64224,38224,91927,06833,356
Non-current assets-72,09491,98290,73291,16995,203121,915131,474135,983142,122156,126165,537176,568
Assets-145,355172,558178,997180,550192,814234,252238,900248,029259,040273,287293,100324,109
Short-term borrowings-9,0997,9815,2014,8015,70117,9014,2016,3815,1345,4747,9748,379
Accounts payable-trade and accounts payable for construction contracts-14,39914,85318,53913,44615,40114,96019,09020,03916,81516,67622,80122,198
Current portion of long-term borrowings-13,77513,40516,16913,81114,63419,55718,93015,04115,40919,34515,22314,256
Short-term borrowings-9,0997,9815,2014,8015,70117,9014,2016,3815,1345,4747,9748,379
Accounts payable - other-----------7,8204,872
Current portion of long-term borrowings-13,77513,40516,16913,81114,63419,55718,93015,04115,40919,34515,22314,256
Income taxes payable-2,8984,0352,4623,7563,8543,9385,2123,7883,5004,3615,2706,157
Advances received-----------3839
Contract liabilities----------11,74112,73313,259
Deposits received-----------20,64714,418
Accrued expenses-5776736488578971,0921,2551,0631,1191,1351,3501,728
Provision for bonuses-1,7382,1491,9072,1912,4322,4272,8012,6122,7262,7782,9893,064
Other-2,5143,4134,8636,8539,57111,2077,0056,8288,9866,6028,6528,774
Provision for point card certificates-335340376392404421456484524387342363
Current liabilities-57,24061,31462,72660,42868,30688,54476,74477,81674,95481,79891,81893,615
Deposits received from the tenant of an apartment-7,1567,7608,1558,6579,42910,28111,02711,98212,60513,29614,48115,433
Other-2,5143,4134,8636,8539,57111,2077,0056,8288,9866,6028,6528,774
Current liabilities-57,24061,31462,72660,42868,30688,54476,74477,81674,95481,79891,81893,615
Long-term borrowings-43,71356,88352,45948,56742,12351,89253,74649,93249,22049,96442,45250,797
Guarantee deposits received-----------472473
Long-term contract liabilities----------772707680
Deferred tax liabilities for land revaluation reserve-673673611578573573573573573573573573
Provision for retirement benefits for directors (and other officers)-3453666868789561,0149468789069881,0501,126
Provision for retirement benefits for directors (and other officers)-3453666868789561,0149468789069881,0501,126
Provision for warranties for completed construction-7387868489919989529831,0571,0481,1071,1681,176
Deferred tax liabilities-----------1,3651,374
Provision for loss on lease business-38336367540600483424499464476420319
Provision for loss on lease business-38336367540600483424499464476420319
Deferred tax liabilities for land revaluation reserve-673673611578573573573573573573573573
Asset retirement obligations-1,0431,0691,0381,0179821,0211,2611,2381,6502,2232,7513,201
Retirement benefit liability--2892506751,1009081,3871,740253248268263
Non-current liabilities-53,02468,46661,58658,58852,82462,74567,30063,81062,11463,81156,19565,175
Asset retirement obligations-1,0431,0691,0381,0179821,0211,2611,2381,6502,2232,7513,201
Other-4,9188,0645,3185,3395,4885,9007,9777,8917,9977,4566,8027,036
Non-current liabilities-53,02468,46661,58658,58852,82462,74567,30063,81062,11463,81156,19565,175
Liabilities-110,264129,779124,312119,016121,130151,290144,044141,627137,068145,610148,013158,790
Share capital-4,4744,47411,03911,03911,03911,03911,03911,03911,03911,03911,03911,039
Legal capital surplus-----------6,1986,198
Other capital surplus-----------11
Capital surplus-4,1334,1336,2216,2216,2216,2216,2216,2326,2326,2466,4176,545
Capital surplus-4,1334,1336,2216,2216,2216,2216,2216,2326,2326,2466,4176,545
Legal retained earnings-----------190190
General reserve-----------1,2101,210
Retained earnings brought forward-----------56,02667,065
Retained earnings-17,44224,09732,83141,19652,20962,77974,78286,05498,498111,600127,700144,836
Retained earnings-17,44224,09732,83141,19652,20962,77974,78286,05498,498111,600127,700144,836
Treasury shares--57-58-429-429-429-431-431-431-432-8,173-8,173-8,173
Shareholders' equity-25,99332,64649,66358,02769,03979,60991,612102,894115,337120,713136,984154,247
Valuation difference on available-for-sale securities-2,2421,7912,4801,8771,4411,8642,1642,0084,1553,8413,4683,352
Revaluation reserve for land-1,1561,1661,2331,2641,2531,2531,2531,2531,2531,2531,2531,253
Valuation and translation adjustments-3,1243,1784,2282,6701,7552,4032,2352,0595,2515,3525,5357,908
Foreign currency translation adjustment--274-781901041732193336-343-185289212
Remeasurements of defined benefit plans--299325-576-1,113-934-1,215-1,2401854435233,089
Valuation and translation adjustments-3,1243,1784,2282,6701,7552,4032,2352,0595,2515,3525,5357,908
Net assets29,28035,09142,77954,68561,53371,68382,96294,856106,402121,972127,676145,086165,318
Non-controlling interests---7948358879481,0081,4481,3831,6102,5663,162
Net assets29,28035,09142,77954,68561,53371,68382,96294,856106,402121,972127,676145,086165,318
Liabilities and net assets-145,355172,558178,997180,550192,814234,252238,900248,029259,040273,287293,100324,109