JP Stock MarketDetailed Quotes

7267 Honda Motor

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  • 1756.0
  • +19.5+1.12%
20min DelayNot Open May 13 15:00 JST
8.47TMarket Cap7.77P/E (Static)

Honda Motor Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
27.47%5.18T
27.47%5.18T
12.44%4.47T
9.96%4.62T
7.70%4.31T
4.48%4.07T
4.48%4.07T
28.41%3.98T
49.40%4.2T
44.18%4.01T
-Cash and cash equivalents
30.28%4.95T
30.28%4.95T
20.18%4.32T
12.84%4.44T
12.49%4.08T
3.49%3.8T
3.49%3.8T
33.62%3.6T
50.25%3.94T
45.00%3.63T
-Accounts receivable
35.68%3.8T
35.68%3.8T
30.49%3.44T
19.01%3.33T
14.89%3.07T
12.57%2.8T
12.57%2.8T
13.20%2.64T
23.75%2.79T
12.60%2.68T
-Notes receivable
11.33%284.84B
11.33%284.84B
-7.61%268.25B
-10.57%284.35B
-9.65%275.68B
-9.29%255.85B
-9.29%255.85B
-19.91%290.35B
-12.31%317.98B
-16.74%305.13B
-Other receivables
----
----
----
----
----
29.60%244.44B
29.60%244.44B
----
----
----
Total current assets
23.95%11.87T
23.95%11.87T
18.28%10.75T
10.35%10.7T
8.79%10.06T
8.33%9.58T
8.33%9.58T
19.69%9.09T
35.44%9.69T
27.26%9.25T
Non current assets
-Accumulated depreciation
----
----
----
----
----
-5.00%-8.57T
-5.00%-8.57T
----
----
----
Investment properties
13.22%968.14B
13.22%968.14B
7.27%917.04B
3.52%964.15B
5.18%961.5B
4.32%855.07B
4.32%855.07B
11.68%854.9B
28.68%931.36B
24.66%914.18B
-Long term equity investment
38.50%6.06T
38.50%6.06T
23.36%5.39T
10.19%5.25T
-2.48%4.89T
-12.24%4.37T
-12.24%4.37T
-2.58%4.37T
1.84%4.77T
12.67%5.02T
-Including:Available-for-sale securities
13.22%968.14B
13.22%968.14B
7.27%917.04B
3.52%964.15B
5.18%961.5B
4.32%855.07B
4.32%855.07B
11.68%854.9B
28.68%931.36B
24.66%914.18B
Non current note receivables
61.50%170.86B
61.50%170.86B
33.79%132.29B
27.06%125.69B
24.03%115.86B
15.50%105.79B
15.50%105.79B
-1.65%98.88B
-6.88%98.92B
-13.93%93.42B
-Goodwill
14.79%999.69B
14.79%999.69B
7.37%934.26B
6.02%922.12B
4.55%914.72B
2.52%870.9B
2.52%870.9B
5.78%870.12B
5.27%869.8B
6.76%874.91B
-Other intangible assets
63.15%2.31T
63.15%2.31T
38.38%1.85T
15.37%2.23T
20.45%2.03T
43.11%1.42T
43.11%1.42T
151.33%1.34T
498.44%1.93T
441.71%1.68T
Regulatory assets
28.34%3.8T
28.34%3.8T
30.49%3.44T
19.01%3.33T
14.89%3.07T
14.24%2.96T
14.24%2.96T
13.20%2.64T
23.75%2.79T
12.60%2.68T
Non current deferred assets
40.58%5.62T
40.58%5.62T
34.69%5.13T
25.66%5.08T
16.48%4.64T
6.81%4T
6.81%4T
3.64%3.81T
8.61%4.04T
6.67%3.98T
Liabilities
Current liabilities
Current debt and capital lease obligation
24.74%4.11T
24.74%4.11T
15.04%3.78T
6.55%3.76T
8.55%3.55T
5.54%3.29T
5.54%3.29T
5.84%3.28T
15.37%3.52T
0.19%3.27T
-Current debt
24.74%4.11T
24.74%4.11T
15.04%3.78T
6.55%3.76T
8.55%3.55T
5.54%3.29T
5.54%3.29T
5.84%3.28T
15.37%3.52T
0.19%3.27T
-accounts payable
36.21%1.61T
36.21%1.61T
19.60%1.39T
10.66%1.43T
15.60%1.36T
12.82%1.18T
12.82%1.18T
12.10%1.16T
50.26%1.3T
14.85%1.17T
-Total tax payable
29.61%8.44T
29.61%8.44T
16.77%7.67T
6.12%7.61T
-2.43%7.19T
-9.46%6.52T
-9.46%6.52T
-1.89%6.57T
4.45%7.17T
11.32%7.37T
-Other payable
10.50%502.07B
10.50%502.07B
11.07%513.94B
11.14%526.74B
13.61%502.82B
6.99%454.35B
6.99%454.35B
34.90%462.7B
36.88%473.94B
26.11%442.6B
Current accrued expenses
52.14%638.32B
52.14%638.32B
34.15%473.88B
32.08%450.58B
23.10%405.68B
11.71%419.57B
11.71%419.57B
18.72%353.25B
19.92%341.14B
-2.28%329.56B
Current provisions
56.25%566.72B
56.25%566.72B
126.83%570.88B
53.64%440.98B
30.12%374.47B
35.14%362.7B
35.14%362.7B
-4.08%251.67B
11.54%287.02B
-10.98%287.79B
Current liabilities
25.13%8.32T
25.13%8.32T
20.32%7.42T
9.53%7.39T
10.96%6.99T
10.79%6.65T
10.79%6.65T
11.82%6.17T
27.60%6.75T
9.35%6.3T
Non current liabilities
Non current accrued expenses
6.88%8.44T
6.88%8.44T
-0.57%7.95T
-3.53%8.3T
-3.59%8.26T
-4.18%7.89T
-4.18%7.89T
-0.66%7.99T
7.37%8.6T
6.98%8.56T
Long term provisions
38.50%6.06T
38.50%6.06T
23.36%5.39T
10.19%5.25T
-2.48%4.89T
-12.24%4.37T
-12.24%4.37T
-2.58%4.37T
1.84%4.77T
12.67%5.02T
Employee benefits
11.33%284.84B
11.33%284.84B
-7.61%268.25B
-10.57%284.35B
-9.65%275.68B
-9.29%255.85B
-9.29%255.85B
-19.91%290.35B
-12.31%317.98B
-16.74%305.13B
Regulatory liabilities
----
----
----
----
----
2.54%-8.62B
2.54%-8.62B
----
----
----
Total non current liabilities
27.34%16.77T
27.34%16.77T
18.49%15.1T
7.77%15T
3.74%14.18T
-0.25%13.17T
-0.25%13.17T
4.31%12.74T
14.52%13.92T
10.40%13.67T
Shareholders'equity
Share capital
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
-common stock
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
0.00%86.07B
Additional paid-in capital
10.50%205.07B
10.50%205.07B
10.80%205.63B
0.00%185.46B
0.02%185.36B
0.05%185.59B
0.05%185.59B
0.01%185.58B
-0.03%185.45B
7.91%185.33B
Other equity interest
16.20%446.76B
16.20%446.76B
37.13%498.8B
-8.45%399.15B
-18.14%390.03B
-12.48%384.49B
-12.48%384.49B
-1.18%363.75B
32.90%435.98B
25.70%476.45B
Noncontrolling interests
31.77%1.21T
31.77%1.21T
14.45%1.1T
-4.69%1.07T
-1.32%1.02T
-5.32%915.95B
-5.32%915.95B
6.82%963.51B
10.36%1.12T
7.31%1.03T
Total equity
20.69%29.77T
20.69%29.77T
13.62%27.43T
7.16%27.68T
5.24%26.47T
2.91%24.67T
2.91%24.67T
8.51%24.14T
17.91%25.83T
14.43%25.15T
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 27.47%5.18T27.47%5.18T12.44%4.47T9.96%4.62T7.70%4.31T4.48%4.07T4.48%4.07T28.41%3.98T49.40%4.2T44.18%4.01T
-Cash and cash equivalents 30.28%4.95T30.28%4.95T20.18%4.32T12.84%4.44T12.49%4.08T3.49%3.8T3.49%3.8T33.62%3.6T50.25%3.94T45.00%3.63T
-Accounts receivable 35.68%3.8T35.68%3.8T30.49%3.44T19.01%3.33T14.89%3.07T12.57%2.8T12.57%2.8T13.20%2.64T23.75%2.79T12.60%2.68T
-Notes receivable 11.33%284.84B11.33%284.84B-7.61%268.25B-10.57%284.35B-9.65%275.68B-9.29%255.85B-9.29%255.85B-19.91%290.35B-12.31%317.98B-16.74%305.13B
-Other receivables --------------------29.60%244.44B29.60%244.44B------------
Total current assets 23.95%11.87T23.95%11.87T18.28%10.75T10.35%10.7T8.79%10.06T8.33%9.58T8.33%9.58T19.69%9.09T35.44%9.69T27.26%9.25T
Non current assets
-Accumulated depreciation ---------------------5.00%-8.57T-5.00%-8.57T------------
Investment properties 13.22%968.14B13.22%968.14B7.27%917.04B3.52%964.15B5.18%961.5B4.32%855.07B4.32%855.07B11.68%854.9B28.68%931.36B24.66%914.18B
-Long term equity investment 38.50%6.06T38.50%6.06T23.36%5.39T10.19%5.25T-2.48%4.89T-12.24%4.37T-12.24%4.37T-2.58%4.37T1.84%4.77T12.67%5.02T
-Including:Available-for-sale securities 13.22%968.14B13.22%968.14B7.27%917.04B3.52%964.15B5.18%961.5B4.32%855.07B4.32%855.07B11.68%854.9B28.68%931.36B24.66%914.18B
Non current note receivables 61.50%170.86B61.50%170.86B33.79%132.29B27.06%125.69B24.03%115.86B15.50%105.79B15.50%105.79B-1.65%98.88B-6.88%98.92B-13.93%93.42B
-Goodwill 14.79%999.69B14.79%999.69B7.37%934.26B6.02%922.12B4.55%914.72B2.52%870.9B2.52%870.9B5.78%870.12B5.27%869.8B6.76%874.91B
-Other intangible assets 63.15%2.31T63.15%2.31T38.38%1.85T15.37%2.23T20.45%2.03T43.11%1.42T43.11%1.42T151.33%1.34T498.44%1.93T441.71%1.68T
Regulatory assets 28.34%3.8T28.34%3.8T30.49%3.44T19.01%3.33T14.89%3.07T14.24%2.96T14.24%2.96T13.20%2.64T23.75%2.79T12.60%2.68T
Non current deferred assets 40.58%5.62T40.58%5.62T34.69%5.13T25.66%5.08T16.48%4.64T6.81%4T6.81%4T3.64%3.81T8.61%4.04T6.67%3.98T
Liabilities
Current liabilities
Current debt and capital lease obligation 24.74%4.11T24.74%4.11T15.04%3.78T6.55%3.76T8.55%3.55T5.54%3.29T5.54%3.29T5.84%3.28T15.37%3.52T0.19%3.27T
-Current debt 24.74%4.11T24.74%4.11T15.04%3.78T6.55%3.76T8.55%3.55T5.54%3.29T5.54%3.29T5.84%3.28T15.37%3.52T0.19%3.27T
-accounts payable 36.21%1.61T36.21%1.61T19.60%1.39T10.66%1.43T15.60%1.36T12.82%1.18T12.82%1.18T12.10%1.16T50.26%1.3T14.85%1.17T
-Total tax payable 29.61%8.44T29.61%8.44T16.77%7.67T6.12%7.61T-2.43%7.19T-9.46%6.52T-9.46%6.52T-1.89%6.57T4.45%7.17T11.32%7.37T
-Other payable 10.50%502.07B10.50%502.07B11.07%513.94B11.14%526.74B13.61%502.82B6.99%454.35B6.99%454.35B34.90%462.7B36.88%473.94B26.11%442.6B
Current accrued expenses 52.14%638.32B52.14%638.32B34.15%473.88B32.08%450.58B23.10%405.68B11.71%419.57B11.71%419.57B18.72%353.25B19.92%341.14B-2.28%329.56B
Current provisions 56.25%566.72B56.25%566.72B126.83%570.88B53.64%440.98B30.12%374.47B35.14%362.7B35.14%362.7B-4.08%251.67B11.54%287.02B-10.98%287.79B
Current liabilities 25.13%8.32T25.13%8.32T20.32%7.42T9.53%7.39T10.96%6.99T10.79%6.65T10.79%6.65T11.82%6.17T27.60%6.75T9.35%6.3T
Non current liabilities
Non current accrued expenses 6.88%8.44T6.88%8.44T-0.57%7.95T-3.53%8.3T-3.59%8.26T-4.18%7.89T-4.18%7.89T-0.66%7.99T7.37%8.6T6.98%8.56T
Long term provisions 38.50%6.06T38.50%6.06T23.36%5.39T10.19%5.25T-2.48%4.89T-12.24%4.37T-12.24%4.37T-2.58%4.37T1.84%4.77T12.67%5.02T
Employee benefits 11.33%284.84B11.33%284.84B-7.61%268.25B-10.57%284.35B-9.65%275.68B-9.29%255.85B-9.29%255.85B-19.91%290.35B-12.31%317.98B-16.74%305.13B
Regulatory liabilities --------------------2.54%-8.62B2.54%-8.62B------------
Total non current liabilities 27.34%16.77T27.34%16.77T18.49%15.1T7.77%15T3.74%14.18T-0.25%13.17T-0.25%13.17T4.31%12.74T14.52%13.92T10.40%13.67T
Shareholders'equity
Share capital 0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B
-common stock 0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B0.00%86.07B
Additional paid-in capital 10.50%205.07B10.50%205.07B10.80%205.63B0.00%185.46B0.02%185.36B0.05%185.59B0.05%185.59B0.01%185.58B-0.03%185.45B7.91%185.33B
Other equity interest 16.20%446.76B16.20%446.76B37.13%498.8B-8.45%399.15B-18.14%390.03B-12.48%384.49B-12.48%384.49B-1.18%363.75B32.90%435.98B25.70%476.45B
Noncontrolling interests 31.77%1.21T31.77%1.21T14.45%1.1T-4.69%1.07T-1.32%1.02T-5.32%915.95B-5.32%915.95B6.82%963.51B10.36%1.12T7.31%1.03T
Total equity 20.69%29.77T20.69%29.77T13.62%27.43T7.16%27.68T5.24%26.47T2.91%24.67T2.91%24.67T8.51%24.14T17.91%25.83T14.43%25.15T

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