PRESSANCE CORPORATIONJP:E04047

Market cap
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
Sep 30,
2021
Sep 30,
2022
Sep 30,
2023
Sep 30,
2024
Cash and deposits-14,49818,67720,94222,88730,53431,37441,99044,77490,799103,138106,658110,147101,779
Accounts receivable - trade-3527344293796514211289116173195
Contract assets-------------4,937
Real estate for sale-2,3483,6382,6024,17414,32411,2769,60327,0748,53823,49112,0758,17123,867
Real estate for sale in process-41,33746,91268,85588,376122,175180,462225,302217,964142,143102,347108,538126,241162,215
Real estate for sale-2,3483,6382,6024,17414,32411,2769,60327,0748,53823,49112,0758,17123,867
Real estate for sale in process-41,33746,91268,85588,376122,175180,462225,302217,964142,143102,347108,538126,241162,215
Raw materials and supplies-7414194159188208279293152143153157159
Raw materials and supplies-7414194159188208279293152143153157159
Other-5061,0351,1931,8574,0253,7633,3535,8177,3898,2906,3204,1227,154
Allowance for doubtful accounts----------95-124-138-125-112
Other-5061,0351,1931,8574,0253,7633,3535,8177,3898,2906,3204,1227,154
Current assets-59,13570,79794,070117,888171,810228,067280,592296,066249,040237,376233,724248,889300,195
Allowance for doubtful accounts----------95-124-138-125-112
Current assets-59,13570,79794,070117,888171,810228,067280,592296,066249,040237,376233,724248,889300,195
Buildings and structures-139148139182283329390437424406445442844
Accumulated depreciation--59-60-67-80-106-129-157-192-226-195-225-168-449
Buildings and structures, net-798872102177200232245197211219274394
Real estate for rent-2,4005,1676,8695,83211,91114,67716,2217,59614,77015,61315,32822,15522,238
Accumulated depreciation--100-207-267-397-558-741-969-603-1,031-1,021-1,028-1,432-1,792
Real estate for rent, net-2,3004,9606,6025,43411,35313,93615,2526,99313,73814,59214,30020,72220,446
Land-99999494272272272271243197197197646
Other-120127135164260309284344317290311285521
Accumulated depreciation--74-83-102-108-197-223-191-214-240-229-232-204-353
Other, net-4644325663869312977607881167
Real estate for rent-2,4005,1676,8695,83211,91114,67716,2217,59614,77015,61315,32822,15522,238
Accumulated depreciation--100-207-267-397-558-741-969-603-1,031-1,021-1,028-1,432-1,792
Real estate for rent, net-2,3004,9606,6025,43411,35313,93615,2526,99313,73814,59214,30020,72220,446
Land-99999494272272272271243197197197646
Property, plant and equipment-2,5245,1916,8115,68711,86614,49415,8487,64014,25715,06214,79721,27521,655
Property, plant and equipment-2,5245,1916,8115,68711,86614,49415,8487,64014,25715,06214,79721,27521,655
Intangible assets-632252427743233225414910111411490
Intangible assets-632252427743233225414910111411490
Investment securities-74708174578673715110212216388
Long-term loans receivable-4219381522213651383981220
Deferred tax assets-------1,5842,4723,7092,7361,9361,1411,036
Long-term loans receivable from subsidiaries and associates-----3761,4272,4603,193762----
Other-2552973223764494521,0161,027754606665722992
Allowance for doubtful accounts--------------19
Investments and other assets-5435946436781,3553,3125,1706,8175,3153,4842,7332,0392,119
Deferred tax assets-------1,5842,4723,7092,7361,9361,1411,036
Other-2552973223764494521,0161,027754606665722992
Investments and other assets-5435946436781,3553,3125,1706,8175,3153,4842,7332,0392,119
Non-current assets-3,0745,8177,4796,39013,49718,23821,35114,71219,72218,64817,64423,43023,864
Assets-62,20976,614101,549124,278185,307245,399301,942310,779268,762256,024251,369272,319324,060
Electronically recorded obligations - operating----4,8577,7715,9567,0858,9236,6411,7043,0326,0074,926
Notes and accounts payable - trade-3,6845,11311,3658167961183242803671,3252,7131,610
Electronically recorded obligations - operating----4,8577,7715,9567,0858,9236,6411,7043,0326,0074,926
Current portion of long-term borrowings-2,5345,1171,8365,40923,97132,50744,54771,18052,31838,22817,47210,0859,455
Short-term borrowings---3,880-1,4407,9669,9201,9044,6629201,2038672,546
Current portion of long-term borrowings-2,5345,1171,8365,40923,97132,50744,54771,18052,31838,22817,47210,0859,455
Income taxes payable-2,2062,2062,4892,6682,5424,1915,4177,4286,6703,7301,3694,8965,024
Income taxes payable-2,2062,2062,4892,6682,5424,1915,4177,4286,6703,7301,3694,8965,024
Advances received-2,9655,3267,0307,07610,82612,49211,50310,7885,6215,0244,6983,2051,987
Provision for bonuses-536281103132170218254212226222195416
Advances received-2,9655,3267,0307,07610,82612,49211,50310,7885,6215,0244,6983,2051,987
Provision for warranties for completed construction-------------57
Other-1,0721,5361,9672,0512,7423,4594,1076,5144,9373,9293,8404,5577,910
Provision for bonuses-536281103132170218254212226222195416
Current liabilities-12,51419,35928,64822,17249,43867,53782,916107,31881,34454,13133,16632,52833,935
Other-1,0721,5361,9672,0512,7423,4594,1076,5144,9373,9293,8404,5577,910
Current liabilities-12,51419,35928,64822,17249,43867,53782,916107,31881,34454,13133,16632,52833,935
Long-term borrowings-17,87119,30727,83251,29875,69195,622120,12085,90346,46952,79857,17563,26693,352
Bonds payable-------------20
Other------818669580581259257542
Long-term borrowings-17,87119,30727,83251,29875,69195,622120,12085,90346,46952,79857,17563,26693,352
Non-current liabilities-18,22219,70028,26951,78276,253102,689124,40786,77047,28453,63757,43563,52494,116
Retirement benefit liability-------------200
Other------818669580581259257542
Non-current liabilities-18,22219,70028,26951,78276,253102,689124,40786,77047,28453,63757,43563,52494,116
Liabilities-30,73639,05956,91773,954125,692170,226207,323194,088128,629107,76890,60196,052128,051
Share capital-1,2291,4191,4621,4731,4731,9742,4044,2906,8806,8907,2757,5807,886
Capital surplus-1,1591,3491,3921,4031,4072,1143,4065,2927,8827,8928,2578,5758,893
Capital surplus-1,1591,3491,3921,4031,4072,1143,4065,2927,8827,8928,2578,5758,893
Retained earnings-29,00334,76341,75550,18159,30871,58987,777106,609125,460133,489145,409160,309178,425
Retained earnings-29,00334,76341,75550,18159,30871,58987,777106,609125,460133,489145,409160,309178,425
Treasury shares----0-2,865-2,869-2,472-887-887-883-883-544-519-497
Shareholders' equity-31,39137,53044,60950,19159,31973,20592,700115,306139,340147,388160,397175,946194,706
Valuation difference on available-for-sale securities-106127-670-111015392
Valuation and translation adjustments-106127-6416-521311377143
Foreign currency translation adjustment-------316-50111213141
Valuation and translation adjustments-106127-6416-521311377143
Share acquisition rights-73194117287180124264381439333249-
Net assets26,59931,47337,55544,63250,32459,61575,17394,619116,690140,132148,256160,768176,266196,009
Non-controlling interests---79161,7831,7801,172398416--1,259
Net assets26,59931,47337,55544,63250,32459,61575,17394,619116,690140,132148,256160,768176,266196,009
Liabilities and net assets-62,20976,614101,549124,278185,307245,399301,942310,779268,762256,024251,369272,319324,060