JP:E05121

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-10,10710,99713,03715,18413,54616,89119,23521,18021,68719,15719,52719,594
Notes and accounts receivable - trade, and contract assets----------21,09226,05723,989
Costs on construction contracts in progress-1,0151,5538311,2062,8862,76896592558190127190
Supplies-658377---------
Raw materials and supplies---77120197198196146153180309295
Other-4885465666731,1248851,8729639331,2261,3612,026
Allowance for doubtful accounts--15-23-28-42-74-81-55-81-62-40-99-81
Current assets-17,80721,51823,77727,38829,88434,97339,07938,82842,27241,70747,28346,016
Other-4885465666731,1248851,8729639331,2261,3612,026
Allowance for doubtful accounts--15-23-28-42-74-81-55-81-62-40-99-81
Current assets-17,80721,51823,77727,38829,88434,97339,07938,82842,27241,70747,28346,016
Buildings and structures, net-2,3562,5472,4052,5444,0954,0074,1564,1433,9454,5465,7205,614
Machinery, equipment and vehicles, net-2726267284111100806858129138
Tools,furniture and fixtures-261392378481508476441404547501888803
Tools,furniture and fixtures-261392378481508476441404547501888803
Land-6,2086,5486,5087,1827,1927,1626,7826,8966,89611,92914,01018,202
Land-6,2086,5486,5087,1827,1927,1626,7826,8966,89611,92914,01018,202
Construction in progress--289718247-14-1-14
Construction in progress--289718247-14-1-14
Property, plant and equipment-8,8549,51710,21510,29911,90511,76411,48111,53911,45717,03720,74824,773
Goodwill-534704391,0992,1431,9031,3651,0957816151,193904
Other-1,7131,8711,7841,3931,0401,0369109791,1821,2961,3061,373
Intangible assets-1,7672,3412,2232,4923,1842,9402,2762,0741,9631,9112,4992,278
Other-1,7131,8711,7841,3931,0401,0369109791,1821,2961,3061,373
Intangible assets-1,7672,3412,2232,4923,1842,9402,2762,0741,9631,9112,4992,278
Investment securities-161169213188233259200171179187228160
Shares of subsidiaries and associates------3599131146183193235
Guarantee deposits-1,0441,0299831,0121,1231,0521,1111,0341,0541,1211,3061,229
Retirement benefit asset---------202276449920
Deferred tax assets-------910978943933749646
Other-9016287097131,3221,3111,6099791,0221,0691,0451,052
Allowance for doubtful accounts--147-148-146-142-130-129-129-123-122-210-125-124
Deferred tax assets-------910978943933749646
Investments and other assets-2,6552,4402,2722,2842,8863,3883,8033,1733,4263,5603,8464,120
Guarantee deposits-1,0441,0299831,0121,1231,0521,1111,0341,0541,1211,3061,229
Other-9016287097131,3221,3111,6099791,0221,0691,0451,052
Allowance for doubtful accounts--147-148-146-142-130-129-129-123-122-210-125-124
Investments and other assets-2,6552,4402,2722,2842,8863,3883,8033,1733,4263,5603,8464,120
Non-current assets-13,27714,29914,71115,07617,97718,09417,56016,78616,84722,50927,09531,172
Assets-31,08535,81838,48842,46547,86152,50056,63955,61459,12064,21774,37877,188
Notes and accounts payable - trade-2,7384,2104,5614,7556,7607,0717,5746,6578,1619,80612,68512,908
Short-term borrowings-1,2651,2201,0347922,1552,9653,9482,9172,6673,0393,8214,299
Accrued expenses-----2,0612,6902,6092,2952,4552,5862,9113,456
Income taxes payable-1,0151,2081,0551,2925761,4181,0821,3791,3021,4471,4221,621
Income taxes payable-1,0151,2081,0551,2925761,4181,0821,3791,3021,4471,4221,621
Accrued expenses-----2,0612,6902,6092,2952,4552,5862,9113,456
Provision for bonuses-1,3061,3791,3741,6841,5321,5911,6901,8381,8591,9021,7491,789
Provision for loss on construction contracts-----31583--1260
Other-4,8515,5725,8727,7746,7934,5455,2294,7304,2903,9694,9956,055
Provision for bonuses-1,3061,3791,3741,6841,5321,5911,6901,8381,8591,9021,7491,789
Current liabilities-11,95614,17614,71816,75818,51620,72322,72320,15920,79322,77027,58730,391
Other-4,8515,5725,8727,7746,7934,5455,2294,7304,2903,9694,9956,055
Current liabilities-11,95614,17614,71816,75818,51620,72322,72320,15920,79322,77027,58730,391
Retirement benefit liability--1,0044634994954675296165044771,1131,108
Provision for retirement benefits-779-----------
Deferred tax liabilities-------211145145121297286
Other-5776155825996058359138407468521,5651,610
Non-current liabilities-2,0282,5772,0961,7693,0082,8582,9802,6102,2451,4512,9763,005
Other-5776155825996058359138407468521,5651,610
Non-current liabilities-2,0282,5772,0961,7693,0082,8582,9802,6102,2451,4512,9763,005
Liabilities-13,98516,75316,81418,52821,52423,58125,70322,77023,03924,22230,56433,397
Share capital-2,4922,4922,4922,4922,4922,4922,4922,4922,4922,4922,4922,492
Capital surplus-2,2932,2932,2932,2932,3052,3052,1321,8711,8711,8711,8711,871
Capital surplus-2,2932,2932,2932,2932,3052,3052,1321,8711,8711,8711,8711,871
Retained earnings-12,20014,07316,38118,59220,64022,90425,28628,20431,19634,73037,94837,400
Retained earnings-12,20014,07316,38118,59220,64022,90425,28628,20431,19634,73037,94837,400
Treasury shares--1-1-1-1-1-1-1-1-2-2-2-2
Shareholders' equity-16,98518,85721,16523,37725,43627,70029,91032,56635,55939,09342,31141,762
Valuation difference on available-for-sale securities-413864406459281622234751
Valuation and translation adjustments--74-991016340171-45-306-1511155821,008
Foreign currency translation adjustment--116177745-973-95-153-20964484670
Remeasurements of defined benefit plans---155-40-23-143920-168352750286
Valuation and translation adjustments--74-991016340171-45-306-1511155821,008
Net assets15,19317,10019,06421,67423,93726,33628,91830,93532,84436,08139,99543,81443,791
Non-controlling interests---4064968591,0451,0715846747869201,019
Net assets15,19317,10019,06421,67423,93726,33628,91830,93532,84436,08139,99543,81443,791
Liabilities and net assets-31,08535,81838,48842,46547,86152,50056,63955,61459,12064,21774,37877,188