PASCO CORPORATIONJP:E04340

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
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and deposits-8,6808,7078,5478,14810,19715,06414,41313,72716,16419,14519,09519,729
Notes and accounts receivable - trade, and contract assets----------34,11636,97037,985
Notes receivable - trade----------1310
Accounts receivable - trade----------26,72531,43131,256
Work in process-4297792464986381,8222,2461,765425169200299
Contract assets----------7,4055,5356,718
Other inventories-1271901877867668949323811630
Merchandise-601129335282749412230644
Other-1,8742,3693,1803,1373,8223,6573,4602,2352,1682,5962,4962,785
Work in process-4297792464986381,8222,2461,765425169200299
Allowance for doubtful accounts--321-364-363-355-370-399-306-202-85-63-67-44
Supplies-677893433940407985225
Current assets-42,35544,99844,12445,86750,27552,13851,51250,76853,12556,00358,81160,785
Other-1,8742,3693,1803,1373,8223,6573,4602,2352,1682,5962,4962,785
Allowance for doubtful accounts--321-364-363-355-370-399-306-202-85-63-67-44
Current assets-42,35544,99844,12445,86750,27552,13851,51250,76853,12556,00358,81160,785
Buildings and structures-5,4815,5725,4434,3914,4434,1364,0433,4683,5563,2842,9962,751
Accumulated depreciation--2,642-2,676-2,736-2,334-2,468-2,411-2,518-2,308-2,406-2,050-1,784-1,579
Buildings and structures, net-2,8382,8962,7072,0571,9761,7251,5241,1601,1491,2341,2121,172
Machinery, equipment and vehicles-6,9258,0168,5919,0877,2607,0785,8952,4482,2342,0182,1391,805
Accumulated depreciation--3,510-4,070-4,913-5,313-4,467-4,873-4,127-2,209-1,942-1,708-1,767-1,517
Machinery, equipment and vehicles, net-3,4153,9463,6793,7742,7942,2051,768238292310372287
Tools, furniture and fixtures-3,7774,9025,4545,6475,9676,1645,9046,1996,8547,1228,0858,204
Accumulated depreciation--2,054-2,606-3,207-3,875-4,404-4,858-4,795-4,278-4,753-5,111-5,478-5,753
Tools, furniture and fixtures, net-1,7232,2952,2461,7721,5621,3061,1081,9202,1012,0102,6072,450
Land-6,1635,6495,3574,5674,5674,0604,0462,4772,4772,3641,2531,034
Tools, furniture and fixtures-3,7774,9025,4545,6475,9676,1645,9046,1996,8547,1228,0858,204
Accumulated depreciation--2,054-2,606-3,207-3,875-4,404-4,858-4,795-4,278-4,753-5,111-5,478-5,753
Tools, furniture and fixtures, net-1,7232,2952,2461,7721,5621,3061,1081,9202,1012,0102,6072,450
Leased assets-474571573450401436459347526593
Accumulated depreciation--352-428-473-445-400-433-404-1-16-35-63-22
Leased assets, net-1221431004135423116271
Land-6,1635,6495,3574,5674,5674,0604,0462,4772,4772,3641,2531,034
Construction in progress-49944231147491924577204591,070194335
Leased assets-474571573450401436459347526593
Accumulated depreciation--352-428-473-445-400-433-404-1-16-35-63-22
Leased assets, net-1221431004135423116271
Property, plant and equipment-14,76015,37214,40012,22210,9489,4908,9606,5206,5137,0065,6425,351
Construction in progress-49944231147491924577204591,070194335
Property, plant and equipment-14,76015,37214,40012,22210,9489,4908,9606,5206,5137,0065,6425,351
Software-2,2922,9353,4754,3192,9482,4211,8001,6371,6801,8161,9601,792
Software in progress-1,9142,4682,7596284574401,1711,6441,9661,9119081,276
Other-244267270235192153117-----
Intangible assets-4,5655,7826,6515,2963,6663,0663,1313,2873,6513,7282,8693,068
Investment securities-1,2161,2871,6091,0261,0161,2661,0901,0371,1143493111,042
Distressed receivables-14219317316116438832527647454448
Distressed receivables-14219317316116438832527647454448
Deferred tax assets-------1,3581,59651452779350
Retirement benefit asset---350-----7239011,1502,434
Other-2,1603,0792,0022,0601,4301,2781,0831,2431,6581,5381,4781,468
Deferred tax assets-------1,3581,59651452779350
Allowance for doubtful accounts--278-561-526-418-452-812-563-469-211-127-126-129
Investments and other assets-3,2403,9993,6092,8303,2593,7493,2943,6853,8473,2343,6534,915
Other-2,1603,0792,0022,0601,4301,2781,0831,2431,6581,5381,4781,468
Allowance for doubtful accounts--278-561-526-418-452-812-563-469-211-127-126-129
Investments and other assets-3,2403,9993,6092,8303,2593,7493,2943,6853,8473,2343,6534,915
Non-current assets-22,56525,15224,66020,34817,87316,30515,38613,49214,01113,96912,16513,336
Assets-64,92070,15068,78365,94568,14867,85266,89964,26167,13769,88270,97774,121
Notes and accounts payable - trade-4,2994,2644,2174,0554,1234,8314,5674,2114,4654,4234,3744,409
Short-term borrowings-20,21823,01521,89221,07423,79122,66320,20017,40018,50018,50018,50016,900
Lease liabilities-75583916321721618-22
Income taxes payable-8951,1671273322613792467463089831,533944
Income taxes payable-8951,1671273322613792467463089831,533944
Advances received-1,7211,7791,7381,5941,5562,1312,2372,3432,3382,5011,7112,118
Provision for bonuses-444486499520537554548558586597630629
Advances received-1,7211,7791,7381,5941,5562,1312,2372,3432,3382,5011,7112,118
Provision for bonuses for directors (and other officers)-13131385--1315161613
Provision for loss on construction contracts-3616483904851,1959731,1881,084201194106220
Provision for loss on contract--352-7391,008516437135-110-53
Provision for bonuses-444486499520537554548558586597630629
Other-3,1542,7093,5062,8392,7462,8484,5493,4863,4323,5744,1364,344
Provision for bonuses for directors (and other officers)-13131385--1315161613
Current liabilities-31,21034,53032,45231,69535,25234,89833,99229,98329,86430,89031,00929,656
Provision for loss on construction contracts-3616483904851,1959731,1881,084201194106220
Provision for loss on contract--352-7391,008516437135-110-53
Current liabilities-31,21034,53032,45231,69535,25234,89833,99229,98329,86430,89031,00929,656
Long-term borrowings-18,14718,14918,12118,07718,07118,07816,80015,20015,20014,40011,60010,800
Lease liabilities-60502152345518--40
Other-15917814784883138161718164132
Long-term accounts payable - other-736632151552351313407297164
Non-current liabilities-19,95619,56819,14219,15719,02718,76517,66716,32715,42915,02912,23511,592
Deferred tax liabilities-------2104222516277
Retirement benefit liability--6852525334343285381,087157177157177
Other-15917814784883138161718164132
Non-current liabilities-19,95619,56819,14219,15719,02718,76517,66716,32715,42915,02912,23511,592
Liabilities-51,16654,09751,59350,85254,28053,66351,65946,31045,29345,92043,24441,249
Share capital-8,7588,7588,7588,7588,7588,7588,7588,7588,7588,7588,7588,758
Capital surplus-389389-000-77---
Capital surplus-389389-000-77---
Retained earnings-4,6926,0556,9015,7774,6375,0136,3299,80212,70014,34417,86821,952
Retained earnings-4,6926,0556,9015,7774,6375,0136,3299,80212,70014,34417,86821,952
Treasury shares--498-517-529-540-549-554-560-563-565-3-26-31
Shareholders' equity-13,34114,68515,13013,99612,84713,21714,52718,00520,90023,09926,59930,679
Valuation difference on available-for-sale securities-691023379616287221580-1507
Valuation and translation adjustments--1057481,665698623545273-4905234965981,582
Foreign currency translation adjustment--1745869427145836055419073226433324
Remeasurements of defined benefit plans--60386-112-122-148-290-596369269164750
Valuation and translation adjustments--1057481,665698623545273-4905234965981,582
Net assets12,41013,75416,05217,19015,09413,86814,18915,23917,95022,19724,04327,73232,872
Non-controlling interests---396400399428437436419474533610
Net assets12,41013,75416,05217,19015,09413,86814,18915,23917,95022,19724,04327,73232,872
Liabilities and net assets-64,92070,15068,78365,94568,14867,85266,89964,26167,13769,88270,97774,121