NIPPON EXPRESS CO., LTD.JP:E04319

Market cap
P/E ratio
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
Dec 31,
2021
Cash and deposits-111,49598,82078,014103,37887,59686,70951,22074,96293,623
Notes receivable - trade-7,2906,85915,23716,34517,92616,89417,26214,82214,750
Accounts receivable - trade-273,330321,679296,592298,594322,390331,586305,843348,810-
Accounts receivable trade and contract assets---------415,936
Inventories-8,7226,0206,3686,1286,9798,0279,1058,29613,759
Advance payments to suppliers-7721,4041,4101,1689851,4481,7881,0422,122
Prepaid expenses-5,1084,9144,6804,7024,9345,8047,2457,6859,201
Short-term loans receivable-------129--
Other-32,2723,89927,16326,28331,57733,06335,83518,93637,952
Allowance for doubtful accounts--419-394-352-195-207-197-166-295-195
Current assets-309,352336,113289,042322,768336,334304,696252,796319,670345,629
Vehicles-101,599103,049105,299107,245111,142113,867116,306114,962120,877
Accumulated depreciation--93,410-93,800-95,487-96,325-93,802-89,870-87,037-85,142-85,060
Vehicles, net-8,1899,2489,81210,91917,34023,99629,26929,81935,816
Buildings-448,310439,383432,534452,779455,204462,144458,951458,835477,571
Accumulated depreciation--252,804-255,555-260,265-265,913-271,075-281,644-278,074-281,349-286,233
Buildings, net-195,506183,828172,268186,865184,129180,499180,876177,486191,337
Structures-52,42351,63051,07453,40453,83755,11356,41355,74255,969
Accumulated depreciation--42,385-42,403-42,619-43,343-43,593-44,115-44,242-44,092-44,134
Structures, net-10,0389,2278,45510,06110,24310,99712,17111,65011,834
Machinery and equipment-35,09236,06234,83936,11637,34338,80039,76344,10748,638
Accumulated depreciation--29,172-29,855-29,755-29,684-29,172-30,002-30,133-30,561-31,445
Machinery and equipment, net-5,9196,2065,0836,4318,1718,7979,62913,54517,192
Tools, furniture and fixtures-36,84235,95235,88936,22037,14438,09539,15740,38543,939
Accumulated depreciation--31,954-31,290-31,527-31,383-31,525-31,783-31,473-32,189-32,422
Tools, furniture and fixtures, net-4,8874,6614,3614,8365,6196,3117,6838,19511,517
Vessels-1,8081,7801,7821,7724,6984,7014,6734,6344,634
Accumulated depreciation--1,569-1,569-1,599-1,616-247-558-845-1,116-1,348
Vessels, net-2382101821554,4514,1433,8273,5173,285
Land-129,369128,724125,342126,119130,216131,318130,702121,248120,864
Leased assets-22,15720,01617,89618,36916,32214,99914,23313,55613,800
Accumulated depreciation--10,781-9,993-9,460-9,838-8,928-8,323-6,252-5,805-6,296
Leased assets, net-11,37510,0238,4368,5307,3946,6767,9807,7507,503
Construction in progress-67987414,3814,0633,1229,22415,55511,9551,647
Property, plant and equipment-366,204353,005348,324357,985370,689381,966397,697385,169400,999
Leasehold interests in land-5,0484,8964,7394,6164,5294,5054,5054,5034,467
Goodwill-16,98214,82147,41143,0474,18012,7012,6444,5923,870
Other-566522507529642638577485473
Intangible assets-19,36318,67218,01417,20619,27623,21333,40240,31545,513
Investment securities-88,079114,30391,075104,40485,87577,19762,20964,00360,794
Long-term loans receivable-4,0622,5131,905199553932582363359
Long-term loans receivable from employees-184111755534121075
Long-term prepaid expenses-1,8192,3171,6391,1111,7361,3531,0781,4311,412
Guarantee deposits-10,47410,65210,87410,47110,71111,47412,07014,57714,845
Retirement benefit asset-1,2301,7839626771,1951,4221,2241,4921,673
Deferred tax assets------4,20412,90618,95417,252
Other-4,3114,1334,0513,8764,1233,7643,3532,9782,874
Allowance for doubtful accounts--727-630-597-829-865-818-780-681-829
Investments and other assets-184,584209,444277,391300,391260,015264,522268,204277,933272,744
Non-current assets-570,152581,122643,730675,583649,981669,702699,305703,418719,258
Assets-879,504917,236932,773998,352986,316974,398952,1011,023,0881,064,887
Notes payable - trade-8,0247,3087,5065,8339,8688,1755,5995,5086,175
Accounts payable - trade-153,390170,211151,057156,864163,743173,323162,287175,906209,635
Short-term borrowings-1,99631,9909,38522,94512,7395,16030,003110,003
Accounts payable - other-12,2329,80614,39320,14215,97620,02721,15929,40524,298
Income taxes payable-11,6819,7018,0769,30011,2008,3287,2484,4763,168
Accrued consumption taxes-2,2349,7823,9711,7966,0954,7834,7228,9955,067
Accrued expenses-9,1599,2789,3409,11512,14511,8879,58910,89713,818
Advances received-6,39823,43519,3737,6047,6967,7037,2708,10820,768
Lease obligations--------2,5012,507
Deposits received-58,52755,30141,09544,36158,68671,71644,00748,99566,215
Deposits received from employees-27,41627,51227,77428,06928,4632423
Provision for bonuses-12,98613,34812,73212,69913,76313,74016,68120,22410,367
Provision for bonuses for directors (and other officers)-909090901001106410262
Other-29,7218,53028,82928,6759,88034,25261,57193,38211,893
Current liabilities-251,249292,511254,847268,217259,972260,523266,289246,161334,126
Bonds payable-65,00065,00065,000125,000125,000110,000100,000140,000140,000
Long-term borrowings-131,739100,461158,727137,124165,119160,000130,000130,00070,000
Long-term lease liabilities-NCL-------11,61628,54458,726
Deferred tax liabilities------7,6315,5722,1572,548
Provision for retirement benefits for directors (and other officers)-330350408359414478312251182
Provision for special repairs-26020222420594183201107161
Provision for loss on guarantees-829829829829503470436390403
Other provisions---120205271307458742964
Retirement benefit liability-126,951135,678160,168157,371140,039144,624133,134121,061122,673
Other-2-308233345186301
Non-current liabilities-278,340260,275316,452363,178379,444359,085344,073402,482354,056
Liabilities-529,590552,787571,299631,396639,416619,608610,363648,644688,183
Share capital-70,17570,17570,17570,17570,17570,17570,17570,17570,175
Capital surplus-26,90826,90826,90826,90826,90826,90826,90826,90826,908
Retained earnings-231,567227,000238,918235,312225,770239,412234,185274,555250,846
Treasury shares--17,353-19,444-19,818-20,145-20,191-19,854-18,251-28,273-611
Shareholders' equity-311,297304,639316,183312,250302,662316,641313,017343,365347,318
Valuation difference on available-for-sale securities-38,60059,81045,50054,68844,25938,38528,84831,14729,444
Deferred gains or losses on hedges-15-7-21016-22-236-127-68-57
Foreign currency translation adjustment-3,82914,9018,0859923,941-3,110-5,062-8,8856,343
Remeasurements of defined benefit plans--45,628-42,375-53,888-46,015-40,515-38,070-20,981-8,518-3,308
Valuation and translation adjustments-38,61659,81045,28954,70544,23638,14928,72031,07929,386
Non-controlling interests--18,22715,75816,60617,61816,82717,04118,19420,376
Net assets350,028349,913364,449361,473366,955346,899354,790341,738374,444376,704
Liabilities and net assets-879,504917,236932,773998,352986,316974,398952,1011,023,0881,064,887