日本市場個股詳情

3441 山王

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延時20分鐘行情休市中 12/13 15:30 (東京)
35.00億總市值10.23市盈率(靜)

山王關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/07/31
(FY)2023/07/31
(FY)2022/07/31
(FY)2021/07/31
(FY)2020/07/31
(FY)2019/07/31
(FY)2018/07/31
(FY)2017/07/31
(FY)2016/07/31
(FY)2015/07/31
經營活動現金流量(間接法)
經營活動產生的現金
-24.83%9.66億
222.64%12.86億
-40.13%3.98億
327.43%6.66億
-210.90%-2.93億
120.57%2.64億
169.58%1.2億
6.27%-1.72億
-7,032.54%-1.83億
-101.04%-257.2萬
扣除非現金調整前淨利潤
48.94%3.55億
-34.28%2.38億
-63.43%3.63億
357.16%9.92億
136.86%2.17億
-922.25%-5.89億
-29.15%7,158萬
119.19%1.01億
62.85%-5.27億
-2,075.94%-14.17億
非現金項目調整總額
-24.99%3.23億
-36.12%4.31億
676.31%6.74億
-142.07%-1.17億
-36.38%2.78億
51.36%4.37億
270.58%2.89億
-71.11%7,791.5萬
-75.91%2.7億
424.28%11.19億
-折舊與攤銷
-9.49%4.62億
7.14%5.11億
-2.92%4.77億
37.91%4.91億
36.34%3.56億
2.97%2.61億
55.63%2.54億
15.88%1.63億
-33.08%1.41億
-28.47%2.1億
-在損益中確認的減值損失回撥
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----
-89.31%1,554.2萬
121.95%1.45億
824.38%6,552.9萬
-69.53%708.9萬
-97.67%2,326.7萬
23,241.64%9.98億
-資產準備金與勾銷
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----
----
----
----
----
----
----
99.00%-108.4萬
63.12%-1.09億
-處置利潤
-82.38%802.8萬
185.87%4,555.3萬
92.96%-5,304.7萬
-416.50%-7.54億
-555.07%-1.46億
161.73%3,207.9萬
38.52%-5,196.5萬
-8,552.50%-8,452.5萬
146.31%100萬
101.36%40.6萬
-匯兌損益淨額
-1.53%-245.1萬
77.52%-241.4萬
9.61%-1,073.9萬
-154.95%-1,188.1萬
-10.10%2,162.1萬
3,477.81%2,405萬
93.79%-71.2萬
-117.17%-1,146.2萬
386.78%6,677.2萬
-417.63%-2,328.3萬
-養老金及員工福利費用
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-22.35%523.2萬
-96.62%673.8萬
-其他非現金項目
-17.53%-1.45億
-147.12%-1.23億
65.49%2.61億
411.56%1.58億
220.31%3,087萬
-215.01%-2,565.9萬
474.73%2,231.1萬
-88.55%388.2萬
-7.01%3,389.2萬
-20.69%3,644.6萬
營運資本變動
-53.23%2.88億
196.55%6.16億
-204.97%-6.38億
73.42%-2.09億
-289.61%-7.88億
272.60%4.15億
31.41%-2.41億
-577.75%-3.51億
-75.14%7,344.7萬
889.07%2.95億
-應收款(增)減
-110.06%-1.1億
320.32%10.91億
-2.49%-4.95億
32.64%-4.83億
-205.83%-7.18億
368.39%6.78億
-38.16%-2.53億
-374.17%-1.83億
-41.37%6,669萬
173.50%1.14億
-存貨(增)減
122.32%3,632萬
3.26%-1.63億
-576.94%-1.68億
109.68%3,526.6萬
-427.31%-3.64億
-12.70%-6,912.1萬
65.74%-6,133.2萬
-1,148.30%-1.79億
-56.91%1,707.7萬
-64.10%3,963萬
-應付款(減)增
242.64%1.66億
-2,237.68%-1.16億
-97.29%543.2萬
61.64%2.01億
220.57%1.24億
-297.10%-1.03億
146.11%5,221萬
140.30%2,121.4萬
-137.05%-5,263.6萬
1,957.05%1.42億
-應計費用(減)增
171.91%7,501.3萬
-256.21%-1.04億
184.46%6,677.6萬
-70.23%2,347.5萬
596.97%7,885.4萬
-315.09%-1,586.7萬
130.51%737.7萬
-139.67%-2,418.2萬
--6,095.1萬
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-貸款、租賃及其他損失準備金
-102.75%-1,350.3萬
-357.10%-666萬
-192.22%-145.7萬
108.59%158萬
-434.15%-1,839.6萬
49.52%-344.4萬
-169.14%-682.3萬
--986.8萬
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-其他流動資產變動
258.16%1.35億
-86.44%-8,513.6萬
-447.84%-4,566.4萬
-88.04%1,312.8萬
254.13%1.1億
-447.48%-7,124.4萬
403.39%2,050.3萬
121.86%407.3萬
---1,863.5萬
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已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流)
6.12%-4,322.8萬
1.22%-4,604.8萬
-12.41%-4,661.7萬
19.12%-4,147.1萬
-11.11%-5,127.4萬
-18.62%-4,614.7萬
-7.53%-3,890.4萬
15.25%-3,618.1萬
6.32%-4,268.9萬
-15.49%-4,556.7萬
已收到的利息(經營活動產生的現金流)
344.86%3,582.9萬
-19.55%805.4萬
-20.13%1,001.1萬
-46.59%1,253.4萬
-10.94%2,346.6萬
8.47%2,634.9萬
62.39%2,429.1萬
-51.20%1,495.8萬
-20.75%3,065.1萬
29.54%3,867.4萬
已支付退稅
77.49%-2,685.5萬
-700.66%-1.19億
76.49%-1,490.3萬
-239.18%-6,338.2萬
46.66%-1,868.7萬
-37.37%-3,503.6萬
22.34%-2,550.5萬
-30.75%-3,284.2萬
33.31%-2,511.8萬
-118.10%-3,766.1萬
其他經營現金流入(流出)
112.78%1.23億
128.56%5,766.7萬
-2.02億
0
0
0.00%-1,000
-100.01%-1,000
942.45%1,954.6萬
187,600.00%187.5萬
-200.00%-1,000
經營活動現金淨額
-11.05%10.55億
717.70%11.86億
-74.70%1.45億
269.03%5.73億
-262.23%-3.39億
162.89%2.09億
138.52%7,952萬
5.61%-2.06億
-364.13%-2.19億
-121.33%-4,712.7萬
投資活動現金流量
物業、廠房及設備交易淨額
75.44%-2.34億
-120.80%-9.54億
21.20%-4.32億
35.08%-5.48億
-53.87%-8.45億
-6.60%-5.49億
-94.77%-5.15億
-9.64%-2.64億
-31.23%-2.41億
-244.99%-1.84億
無形資產交易淨額
-307.35%-1,723.1萬
84.52%-423萬
11.04%-2,733.2萬
60.25%-3,072.4萬
-1,160.30%-7,729.4萬
57.38%-613.3萬
-205.20%-1,439萬
50.88%-471.5萬
-7.96%-959.9萬
40.85%-889.1萬
投資產品交易淨額
97.11%-3,152萬
-1,359.51%-10.91億
148.09%8,663.9萬
-85.45%3,492.2萬
391.83%2.4億
-209.28%-8,226萬
-66.83%7,527.3萬
1,214.31%2.27億
-4.59%-2,036.4萬
-8.42%-1,947萬
其他投資變動淨額
0.00%-1,000
0.00%-1,000
-100.00%-1,000
68,908,600.00%6.89億
100.00%-1,000
-40.76%-3,015萬
-357.59%-2,142萬
-102.77%-468.1萬
123.34%1.69億
306.71%7,557.7萬
投資活動現金淨額
86.19%-2.83億
-449.71%-20.5億
-357.47%-3.73億
121.23%1.45億
-2.17%-6.82億
-40.37%-6.68億
-913.99%-4.76億
54.17%-4,690萬
25.06%-1.02億
-338.76%-1.37億
融資活動現金流量
債務發行/償還的淨額
-304.74%-2.26億
170.55%1.1億
-9.33%-1.57億
-114.94%-1.43億
79.66%9.58億
-9.47%5.33億
182.26%5.89億
454.66%2.09億
-1,203.88%-5,885.7萬
96.77%-451.4萬
普通股發行/回購的淨額
---1.35億
--0
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租賃融資增減
-165.34%-8,641.6萬
169.90%1.32億
217.96%4,900.1萬
8.74%-4,154萬
-16.81%-4,551.8萬
-129.06%-3,896.7萬
250.87%1.34億
11.89%-8,888.7萬
-22.39%-1.01億
40.01%-8,242.3萬
已支付現金股息
-3.87%-4,619萬
-20.11%-4,446.9萬
-61.66%-3,702.5萬
---2,290.3萬
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其他籌資費用淨額
0.05%-200.1萬
5.70%-200.2萬
96.12%-212.3萬
-2,017.32%-5,475.4萬
86.45%-258.6萬
36.66%-1,908萬
-1,571.75%-3,012.5萬
58.89%-180.2萬
-106.58%-438.3萬
47.17%6,657.7萬
融資活動現金淨額
-352.66%-4.96億
233.76%1.96億
44.09%-1.47億
-128.83%-2.62億
91.47%9.1億
-31.42%4.75億
487.17%6.93億
171.93%1.18億
-706.08%-1.64億
91.21%-2,036萬
現金淨流量
期初現金流
-20.86%22.03億
-6.30%27.84億
19.80%29.71億
-5.63%24.8億
0.13%26.28億
11.80%26.25億
-5.45%23.48億
-23.80%24.83億
2.00%32.59億
1.87%31.95億
現金變動
141.32%2.76億
-78.24%-6.68億
-182.20%-3.75億
510.77%4.56億
-757.10%-1.11億
-94.32%1,688.2萬
319.60%2.97億
72.11%-1.35億
-137.79%-4.85億
-539.77%-2.04億
匯率變動影響
-16.17%7,269.5萬
-53.68%8,671.6萬
428.87%1.87億
195.42%3,540.1萬
-173.43%-3,709.9萬
32.21%-1,356.8萬
-21,420.43%-2,001.4萬
99.97%-9.3萬
-208.44%-2.91億
2,069.34%2.68億
現金變動之外的其他現金調整
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200.00%1,000
---1,000
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---1,000
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---2,000
期末現金
15.82%25.52億
-20.86%22.03億
-6.30%27.84億
19.80%29.71億
-5.63%24.8億
0.13%26.28億
11.80%26.25億
-5.45%23.48億
-23.80%24.83億
2.00%32.59億
自由現金流
251.53%7.98億
171.34%2.27億
-5,257.44%-3.18億
99.53%-594.2萬
-264.42%-12.61億
23.07%-3.46億
5.41%-4.5億
-1.30%-4.76億
-95.07%-4.69億
-391.52%-2.41億
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)2024/07/31(FY)2023/07/31(FY)2022/07/31(FY)2021/07/31(FY)2020/07/31(FY)2019/07/31(FY)2018/07/31(FY)2017/07/31(FY)2016/07/31(FY)2015/07/31
經營活動現金流量(間接法)
經營活動產生的現金 -24.83%9.66億222.64%12.86億-40.13%3.98億327.43%6.66億-210.90%-2.93億120.57%2.64億169.58%1.2億6.27%-1.72億-7,032.54%-1.83億-101.04%-257.2萬
扣除非現金調整前淨利潤 48.94%3.55億-34.28%2.38億-63.43%3.63億357.16%9.92億136.86%2.17億-922.25%-5.89億-29.15%7,158萬119.19%1.01億62.85%-5.27億-2,075.94%-14.17億
非現金項目調整總額 -24.99%3.23億-36.12%4.31億676.31%6.74億-142.07%-1.17億-36.38%2.78億51.36%4.37億270.58%2.89億-71.11%7,791.5萬-75.91%2.7億424.28%11.19億
-折舊與攤銷 -9.49%4.62億7.14%5.11億-2.92%4.77億37.91%4.91億36.34%3.56億2.97%2.61億55.63%2.54億15.88%1.63億-33.08%1.41億-28.47%2.1億
-在損益中確認的減值損失回撥 -----------------89.31%1,554.2萬121.95%1.45億824.38%6,552.9萬-69.53%708.9萬-97.67%2,326.7萬23,241.64%9.98億
-資產準備金與勾銷 --------------------------------99.00%-108.4萬63.12%-1.09億
-處置利潤 -82.38%802.8萬185.87%4,555.3萬92.96%-5,304.7萬-416.50%-7.54億-555.07%-1.46億161.73%3,207.9萬38.52%-5,196.5萬-8,552.50%-8,452.5萬146.31%100萬101.36%40.6萬
-匯兌損益淨額 -1.53%-245.1萬77.52%-241.4萬9.61%-1,073.9萬-154.95%-1,188.1萬-10.10%2,162.1萬3,477.81%2,405萬93.79%-71.2萬-117.17%-1,146.2萬386.78%6,677.2萬-417.63%-2,328.3萬
-養老金及員工福利費用 ---------------------------------22.35%523.2萬-96.62%673.8萬
-其他非現金項目 -17.53%-1.45億-147.12%-1.23億65.49%2.61億411.56%1.58億220.31%3,087萬-215.01%-2,565.9萬474.73%2,231.1萬-88.55%388.2萬-7.01%3,389.2萬-20.69%3,644.6萬
營運資本變動 -53.23%2.88億196.55%6.16億-204.97%-6.38億73.42%-2.09億-289.61%-7.88億272.60%4.15億31.41%-2.41億-577.75%-3.51億-75.14%7,344.7萬889.07%2.95億
-應收款(增)減 -110.06%-1.1億320.32%10.91億-2.49%-4.95億32.64%-4.83億-205.83%-7.18億368.39%6.78億-38.16%-2.53億-374.17%-1.83億-41.37%6,669萬173.50%1.14億
-存貨(增)減 122.32%3,632萬3.26%-1.63億-576.94%-1.68億109.68%3,526.6萬-427.31%-3.64億-12.70%-6,912.1萬65.74%-6,133.2萬-1,148.30%-1.79億-56.91%1,707.7萬-64.10%3,963萬
-應付款(減)增 242.64%1.66億-2,237.68%-1.16億-97.29%543.2萬61.64%2.01億220.57%1.24億-297.10%-1.03億146.11%5,221萬140.30%2,121.4萬-137.05%-5,263.6萬1,957.05%1.42億
-應計費用(減)增 171.91%7,501.3萬-256.21%-1.04億184.46%6,677.6萬-70.23%2,347.5萬596.97%7,885.4萬-315.09%-1,586.7萬130.51%737.7萬-139.67%-2,418.2萬--6,095.1萬----
-貸款、租賃及其他損失準備金 -102.75%-1,350.3萬-357.10%-666萬-192.22%-145.7萬108.59%158萬-434.15%-1,839.6萬49.52%-344.4萬-169.14%-682.3萬--986.8萬--------
-其他流動資產變動 258.16%1.35億-86.44%-8,513.6萬-447.84%-4,566.4萬-88.04%1,312.8萬254.13%1.1億-447.48%-7,124.4萬403.39%2,050.3萬121.86%407.3萬---1,863.5萬----
已付股息(經營活動產生的現金流)
已收到的股息(經營活動產生的現金流)
已付利息(經營活動產生的現金流) 6.12%-4,322.8萬1.22%-4,604.8萬-12.41%-4,661.7萬19.12%-4,147.1萬-11.11%-5,127.4萬-18.62%-4,614.7萬-7.53%-3,890.4萬15.25%-3,618.1萬6.32%-4,268.9萬-15.49%-4,556.7萬
已收到的利息(經營活動產生的現金流) 344.86%3,582.9萬-19.55%805.4萬-20.13%1,001.1萬-46.59%1,253.4萬-10.94%2,346.6萬8.47%2,634.9萬62.39%2,429.1萬-51.20%1,495.8萬-20.75%3,065.1萬29.54%3,867.4萬
已支付退稅 77.49%-2,685.5萬-700.66%-1.19億76.49%-1,490.3萬-239.18%-6,338.2萬46.66%-1,868.7萬-37.37%-3,503.6萬22.34%-2,550.5萬-30.75%-3,284.2萬33.31%-2,511.8萬-118.10%-3,766.1萬
其他經營現金流入(流出) 112.78%1.23億128.56%5,766.7萬-2.02億000.00%-1,000-100.01%-1,000942.45%1,954.6萬187,600.00%187.5萬-200.00%-1,000
經營活動現金淨額 -11.05%10.55億717.70%11.86億-74.70%1.45億269.03%5.73億-262.23%-3.39億162.89%2.09億138.52%7,952萬5.61%-2.06億-364.13%-2.19億-121.33%-4,712.7萬
投資活動現金流量
物業、廠房及設備交易淨額 75.44%-2.34億-120.80%-9.54億21.20%-4.32億35.08%-5.48億-53.87%-8.45億-6.60%-5.49億-94.77%-5.15億-9.64%-2.64億-31.23%-2.41億-244.99%-1.84億
無形資產交易淨額 -307.35%-1,723.1萬84.52%-423萬11.04%-2,733.2萬60.25%-3,072.4萬-1,160.30%-7,729.4萬57.38%-613.3萬-205.20%-1,439萬50.88%-471.5萬-7.96%-959.9萬40.85%-889.1萬
投資產品交易淨額 97.11%-3,152萬-1,359.51%-10.91億148.09%8,663.9萬-85.45%3,492.2萬391.83%2.4億-209.28%-8,226萬-66.83%7,527.3萬1,214.31%2.27億-4.59%-2,036.4萬-8.42%-1,947萬
其他投資變動淨額 0.00%-1,0000.00%-1,000-100.00%-1,00068,908,600.00%6.89億100.00%-1,000-40.76%-3,015萬-357.59%-2,142萬-102.77%-468.1萬123.34%1.69億306.71%7,557.7萬
投資活動現金淨額 86.19%-2.83億-449.71%-20.5億-357.47%-3.73億121.23%1.45億-2.17%-6.82億-40.37%-6.68億-913.99%-4.76億54.17%-4,690萬25.06%-1.02億-338.76%-1.37億
融資活動現金流量
債務發行/償還的淨額 -304.74%-2.26億170.55%1.1億-9.33%-1.57億-114.94%-1.43億79.66%9.58億-9.47%5.33億182.26%5.89億454.66%2.09億-1,203.88%-5,885.7萬96.77%-451.4萬
普通股發行/回購的淨額 ---1.35億--0--------------------------------
租賃融資增減 -165.34%-8,641.6萬169.90%1.32億217.96%4,900.1萬8.74%-4,154萬-16.81%-4,551.8萬-129.06%-3,896.7萬250.87%1.34億11.89%-8,888.7萬-22.39%-1.01億40.01%-8,242.3萬
已支付現金股息 -3.87%-4,619萬-20.11%-4,446.9萬-61.66%-3,702.5萬---2,290.3萬------------------------
其他籌資費用淨額 0.05%-200.1萬5.70%-200.2萬96.12%-212.3萬-2,017.32%-5,475.4萬86.45%-258.6萬36.66%-1,908萬-1,571.75%-3,012.5萬58.89%-180.2萬-106.58%-438.3萬47.17%6,657.7萬
融資活動現金淨額 -352.66%-4.96億233.76%1.96億44.09%-1.47億-128.83%-2.62億91.47%9.1億-31.42%4.75億487.17%6.93億171.93%1.18億-706.08%-1.64億91.21%-2,036萬
現金淨流量
期初現金流 -20.86%22.03億-6.30%27.84億19.80%29.71億-5.63%24.8億0.13%26.28億11.80%26.25億-5.45%23.48億-23.80%24.83億2.00%32.59億1.87%31.95億
現金變動 141.32%2.76億-78.24%-6.68億-182.20%-3.75億510.77%4.56億-757.10%-1.11億-94.32%1,688.2萬319.60%2.97億72.11%-1.35億-137.79%-4.85億-539.77%-2.04億
匯率變動影響 -16.17%7,269.5萬-53.68%8,671.6萬428.87%1.87億195.42%3,540.1萬-173.43%-3,709.9萬32.21%-1,356.8萬-21,420.43%-2,001.4萬99.97%-9.3萬-208.44%-2.91億2,069.34%2.68億
現金變動之外的其他現金調整 ------------200.00%1,000---1,000-----------1,000-------2,000
期末現金 15.82%25.52億-20.86%22.03億-6.30%27.84億19.80%29.71億-5.63%24.8億0.13%26.28億11.80%26.25億-5.45%23.48億-23.80%24.83億2.00%32.59億
自由現金流 251.53%7.98億171.34%2.27億-5,257.44%-3.18億99.53%-594.2萬-264.42%-12.61億23.07%-3.46億5.41%-4.5億-1.30%-4.76億-95.07%-4.69億-391.52%-2.41億
貨幣單位 日元日元日元日元日元日元日元日元日元日元
會計準則 NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP