Financial Statements

(Millions of yen)

As of March 31, 2023 As of March 31, 2024
Assets
Current assets
Cash and deposits 595,961 674,234
Notes and accounts receivable - trade, and
contract assets
184,633 151,006
Finance receivables 226,042 240,517
Merchandise and finished goods 259,848 317,485
Work in process 24,835 24,684
Raw materials and supplies 66,901 69,717
Short-term loans receivable 1,022 7,027
Other 121,481 144,510
Allowance for doubtful accounts (5,766) (1,333)
Total current assets 1,474,959 1,627,849
Non-current assets
Property, plant and equipment
Buildings and structures, net 86,288 92,079
Machinery, equipment and vehicles, net 134,524 187,469
Tools, furniture and fixtures, net 56,044 66,496
Land 116,734 122,506
Construction in progress 61,011 29,583
Total property, plant and equipment 454,603 498,135
Intangible assets 40,003 44,904
Investments and other assets
Investment securities 95,361 104,094
Long-term loans receivable 2,760 5,013
Retirement benefit asset 4,045 17,224
Deferred tax assets 74,029 86,313
Other 59,660 75,445
Allowance for doubtful accounts (3,898) (4,511)
Total investments and other assets 231,959 283,579
Total non-current assets 726,565 826,620
Total assets 2,201,524 2,454,470
     
Liabilities
Current liabilities
Notes and accounts payable - trade 369,495 337,434
Electronically recorded obligations - operating 92,009 102,141
Short-term borrowings 31,330 68,053
Commercial papers 47,500 43,500
Current portion of long-term borrowings73,098 224,612
Lease liabilities 3,519 3,719
Accounts payable - other, and accrued
expenses
233,874 232,510
Income taxes payable 13,510 9,540
Provision for product warranties 54,605 68,048
Provision for contingent loss 10,504 -
Other 77,939 85,641
Total current liabilities 1,007,389 1,175,202
Non-current liabilities
Long-term borrowings 248,048 127,781
Lease liabilities24,785 24,690
Deferred tax liabilities 320 203
Retirement benefit liability 36,688 20,367
Other 53,915 61,768
Total non-current liabilities 363,758 234,811
Total liabilities 1,371,148 1,410,014
Net assets
Shareholders' equity
Share capital 284,382 284,382
Capital surplus 199,620 199,585
Retained earnings 338,424 478,239
Treasury shares (989) (1,688)
Total shareholders' equity 821,438 960,518
Accumulated other comprehensive income
Valuation difference on available-for-sale
securities
977 2,045
Deferred gains or losses on hedges (35) (739)
Foreign currency translation adjustment (5,438) 35,454
Remeasurements of defined benefit plans(15,802) 12,933
Total accumulated other comprehensive
income
(20,298) 49,694
Share acquisition rights 29 23
Non-controlling interests 29,208 34,219
Total net assets 830,376 1044,456
Total liabilities and net assets 2,201,524 2,454,470

(Millions of yen)

For the fiscal year
ended March 31, 2023
For the fiscal year
ended March 31, 2024
Net sales 2,458,141 2,789,589
Cost of sales 1,935,341 2,220,743
Gross profit 522,799 568,846
Selling, general and administrative expenses
Advertising and promotion expenses 51,535 63,009
Freight costs 72,747 93,593
Provision of allowance for doubtful accounts(605) (159)
Remuneration, salaries and allowances for directors
(and other officers)
74,711 81,438
Retirement benefit expenses 3,982 4,444
Depreciation 14,516 16,690
Research and development expenses 61,025 57,642
Other 54,390 61,215
Total selling, general and administrative expenses 332,304 377,874
Operating profit (loss) 190,495 190,971
Non-operating income
Interest income 7,623 13,412
Dividend income 677 580
Foreign exchange gains 5,421 12,888
Share of profit of entities accounted for using
equity method
- 5,259
Other 2,603 2,268
Total non-operating income 16,326 34,409
Non-operating expenses
Interest expenses 3,559 6,054
Litigation expenses 4,306 5,422
Financing expenses 706 692
Share of loss of entities accounted for using
equity method
12,209 -
Other 4,017 4,171
Total non-operating expenses 24,799 16,340
Ordinary profit (loss) 182,022 209,040
Extraordinary income
Gain on sale of non-current assets 27,271 481
Gain on sale of investment securities 24 97
Gain on liquidation of subsidiaries - 824
Other 398 103
Total extraordinary income 27,693 1,506
Extraordinary losses
Loss on retirement of non-current assets 1,941 3,348
Loss on sale of non-current assets 1,713 119
Impairment losses 5,015 1,294
Loss related to Russian operations 19,928 1,313
Loss related to Chinese operations 10,504 23,002
Other 2,483 635
Total extraordinary losses 41,586 29,714
Profit (loss) before income taxes 168,129 180,832
Income taxes - current 36,410 27,577
Income taxes - deferred (44,642) (7,307)
Total income taxes (8,232) 20,270
Profit (loss) 176,361 160,562
Profit (loss) attributable to non-controlling
interests
7,630 5,852
Profit (loss) attributable to owners of parent 168,730 154,709

(Millions of yen)

For the fiscal year
ended March 31, 2023
For the fiscal year
ended March 31, 2024
Cash flows from operating activities
Profit (loss) before income taxes 168,129 180,832
Depreciation 60,132 67,737
Impairment losses 5,015 1,294
Loss related to Russian operations 19,928 1,313
Loss related to Chinese operations 10,504 23,002
Loss (gain) on liquidation of subsidiaries - (824)
Increase (decrease) in allowance for doubtful accounts (3,632) (4,258)
Increase (decrease) in retirement benefit liability8,003 3,560
Interest and dividend income(8,300) (13,993)
Interest expenses3,559 6,054
Foreign exchange losses (gains) (5,354) (7,861)
Share of loss (profit) of entities accounted
for using equity method
12,209 (5,259)
Loss (gain) on sale and retirement of non-current
assets
(23,616) 2,987
Decrease (increase) in trade receivables(59,282) 43,597
Decrease (increase) in finance receivables (3,496) (14,335)
Decrease (increase) in inventories (38,739) (25,751)
Increase (decrease) in trade payables 63,702 (58,946)
Increase (decrease) in accounts payable - other,
and accrued expenses
6,639 1,119
Other, net (19,341) (41,426)
Subtotal196,058 158,843
Interest and dividends received 13,447 18,833
Interest paid (3,620) (5,877)
Income taxes paid (32,309) (30,992)
Net cash provided by (used in) operating
activities
173,576 140,806
Cash flows from investing activities
Purchase of property, plant and equipment (71,041) (113,964)
Proceeds from sale of property, plant and
equipment
36,389 1,768
Purchase of intangible assets (8,601) (12,881)
Other, net (9,891) (13,788)
Net cash provided by (used in) investing activities (53,145) (138,865)
Cash flows from financing activities
Increase (decrease) in short-term borrowings 8,797 34,768
Increase (decrease) in commercial papers 4,500 (4,000)
Proceeds from long-term borrowings 238,541 117,602
Repayments of long-term borrowings (306,549) (87,436)
Dividends paid (16) (14,845)
Dividends paid to non-controlling interests (2,633) (3,104)
Other, net (4,504) (5,310)
Net cash provided by (used in) financing activities(61,865) 37,674
Effect of exchange rate change on cash and cash
equivalents
25,890 38,658
Net increase (decrease) in cash and cash equivalents 84,456 78,274
Cash and cash equivalents at beginning of period 511,473 595,930
Cash and cash equivalents at end of period 595,930 674,204