(FY)2024/01/31 | (FY)2023/01/31 | (FY)2022/01/31 | (FY)2021/01/31 | (FY)2020/01/31 | (FY)2019/01/31 | (FY)2018/01/31 | (FY)2017/01/31 | (FY)2016/01/31 | (FY)2015/01/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | 92.92%23.6億 | 84.52%12.23億 | -37.11%6.63億 | 58.91%10.54億 | -5.16%6.63億 | -8.25%6.99億 | 127.06%7.62億 | -57.23%3.36億 | 119.71%7.85億 | -69.28%3.57億 |
扣除非現金調整前淨利潤 | 99.84%-418.6萬 | 9.03%-26.04億 | -21.48%-28.62億 | -502.23%-23.56億 | 11.16%5.86億 | 79.61%5.27億 | -29.19%2.93億 | 133.96%4.14億 | 49.66%-12.2億 | -394.97%-24.24億 |
非現金項目調整總額 | -41.78%32.59億 | 49.85%55.97億 | 36.53%37.35億 | 114.12%27.36億 | 37.74%12.78億 | 33.33%9.28億 | 187.54%6.96億 | -81.68%2.42億 | -6.02%13.2億 | 39.80%14.05億 |
-折舊與攤銷 | -20.08%32.32億 | -1.08%40.45億 | 41.23%40.89億 | 96.53%28.95億 | 68.98%14.73億 | 42.14%8.72億 | 224.57%6.13億 | 98.58%1.89億 | -73.58%9,515.1萬 | -5.42%3.6億 |
-在損益中確認的減值損失回撥 | 1,749.16%5,033.4萬 | -98.70%272.2萬 | --2.1億 | --0 | ---- | ---- | -48.43%165.9萬 | -54.76%321.7萬 | -99.52%711.1萬 | 7,509.37%14.79億 |
-資產準備金與勾銷 | ---- | ---- | ---- | --421.6萬 | ---- | ---- | ---- | ---- | 65.53%-1.08億 | -327.48%-3.14億 |
-聯營企業份額 | -37.96%-5,358.4萬 | 16.69%-3,884萬 | 25.52%-4,662.3萬 | -10,078.70%-6,259.9萬 | 97.81%-61.5萬 | -133.91%-2,814.2萬 | 914.44%8,299.1萬 | 4,856.40%818.1萬 | -100.18%-17.2萬 | 83.66%9,607.4萬 |
-處置利潤 | -152.68%-1.44億 | 155.22%2.74億 | -189.67%-4.96億 | 21.13%-1.71億 | -1,149.13%-2.17億 | -70.51%2,069.7萬 | 39.50%7,019.2萬 | -96.88%5,031.7萬 | 1,939.66%16.14億 | -613.32%-8,771.6萬 |
-匯兌損益淨額 | -139.44%-7,667.8萬 | -325.81%-3,202.4萬 | -48.39%1,418.2萬 | 2,060.30%2,747.9萬 | -96.42%127.2萬 | 154.85%3,551.3萬 | -151.95%-6,474.6萬 | 314.47%1.25億 | 67.31%-5,811.1萬 | -1,110.62%-1.78億 |
-養老金及員工福利費用 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -10.74%1.63億 | 28.11%1.83億 |
-其他非現金項目 | -81.39%2.51億 | 3,909.77%13.46億 | -182.85%-3,533.9萬 | 103.27%4,265.2萬 | -24.38%2,098.3萬 | 460.54%2,774.7萬 | 94.23%-769.6萬 | 65.99%-1.33億 | -193.60%-3.92億 | -149.58%-1.34億 |
營運資本變動 | 49.44%-8.95億 | -743.88%-17.7億 | -131.09%-2.1億 | 156.22%6.75億 | -58.93%-12億 | -233.01%-7.55億 | 29.26%-2.27億 | -146.83%-3.21億 | -50.25%6.85億 | 307.23%13.76億 |
-應收款(增)減 | -13.05%-23.07億 | -480.63%-20.41億 | -121.26%-3.51億 | 235.41%16.53億 | -72.29%-12.21億 | -80.98%-7.09億 | -71.85%-3.92億 | -123.41%-2.28億 | -34.40%9.73億 | 472.66%14.84億 |
-存貨(增)減 | -185.72%-1,183.6萬 | 110.99%1,380.7萬 | -35.67%-1.26億 | -387.01%-9,257萬 | 573.75%3,225.3萬 | -104.72%-680.8萬 | 338.83%1.44億 | 34.22%-6,037.7萬 | -488.01%-9,178.7萬 | 3.62%2,365.6萬 |
-預付費用(增)減 | 100.32%39.5萬 | 49.91%-1.25億 | 54.73%-2.5億 | -103.02%-5.51億 | -998.39%-2.72億 | -138.57%-2,472.5萬 | 41.25%-1,036.4萬 | -132.34%-1,764.2萬 | 130.42%5,455.4萬 | -73.11%2,367.6萬 |
-應付款(減)增 | 1,423.48%2.46億 | -72.90%1,612.7萬 | 120.38%5,951.9萬 | -417.70%-2.92億 | 269.65%9,191.5萬 | -173.00%-5,417.9萬 | 225.84%7,422萬 | 77.46%-5,898.1萬 | -2,253.84%-2.62億 | 94.12%-1,111.8萬 |
-應計費用(減)增 | 52.44%3.88億 | 141,395.00%2.54億 | -101.01%-18萬 | -66.13%1,787萬 | 316.77%5,275.4萬 | -178.24%-2,433.6萬 | 406.63%3,110.5萬 | -130.41%-1,014.4萬 | 272.44%3,336.1萬 | 88.85%-1,934.6萬 |
-貸款、租賃及其他損失準備金 | 511.78%1.25億 | -74.89%2,046.4萬 | 1,493.23%8,150.4萬 | -104.78%-585萬 | 442.00%1.22億 | 176.04%2,258.8萬 | -147.87%-2,970.6萬 | --6,206.2萬 | ---- | ---- |
-其他流動資產變動 | 628.81%6.65億 | -75.73%9,127.6萬 | 785.38%3.76億 | -704.35%-5,487.3萬 | -116.62%-682.2萬 | 192.01%4,105.7萬 | -486.26%-4,462萬 | 67.21%-761.1萬 | 81.40%-2,320.9萬 | -777.93%-1.25億 |
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) | 21.16%-287.2萬 | -303.43%-364.3萬 | 68.37%-90.3萬 | 67.75%-285.5萬 | -80.80%-885.2萬 | -489.6萬 | -13.9萬 | 23.88%-5.1萬 | ||
已收到的利息(經營活動產生的現金流) | 77.31%4,769萬 | -16.10%2,689.7萬 | -5.63%3,205.8萬 | 5.47%3,397萬 | -42.43%3,220.9萬 | 28.46%5,595.2萬 | -25.92%4,355.6萬 | -13.85%5,879.6萬 | 15.03%6,824.9萬 | -14.14%5,933.1萬 |
已支付退稅 | 74.78%-7,380.5萬 | -462.07%-2.93億 | 74.52%-5,206.7萬 | -4.73%-2.04億 | -18.39%-1.95億 | -120.14%-1.65億 | 15.49%-7,486.7萬 | -34.13%-8,859.3萬 | 49.00%-6,605.2萬 | 24.31%-1.3億 |
其他經營現金流入(流出) | -8,847.1萬 | 0 | 300.00%2,000 | 0.00%-1,000 | -1,000 | 0 | 88.53%-2,116.7萬 | 18.48%-1.85億 | -186.32%-2.26億 | 66.33%-7,906.5萬 |
經營活動現金淨額 | 135.10%22.42億 | 48.56%9.54億 | -27.11%6.42億 | 79.19%8.81億 | -16.07%4.92億 | -17.50%5.86億 | 485.49%7.1億 | -78.38%1.21億 | 169.66%5.61億 | -74.82%2.08億 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | -48.28%-2.78億 | -8.69%-1.88億 | 2.37%-1.73億 | -33.96%-1.77億 | -59.08%-1.32億 | -99.95%-8,297.7萬 | 75.38%-4,149.9萬 | -118.28%-1.69億 | 1,558.68%9.22億 | -12.00%-6,321.9萬 |
無形資產交易淨額 | -20.46%-31.42億 | -2.84%-26.08億 | 17.44%-25.36億 | 12.33%-30.72億 | -86.01%-35.04億 | -66.70%-18.84億 | -26.95%-11.3億 | -275.42%-8.9億 | 1.15%-2.37億 | -8,996.51%-2.4億 |
業務交易淨額 | ---- | ---- | ---- | ---- | 30.97%-7.09億 | -1,106.10%-10.26億 | -543.32%-8,510萬 | -59.35%1,919.6萬 | --4,722.5萬 | ---- |
投資產品交易淨額 | -127.62%-3.02億 | -464.80%-1.33億 | -168.51%-2,352.6萬 | -84.05%3,433.8萬 | 288.45%2.15億 | -105.59%-1.14億 | 11,027.69%20.44億 | 190.23%1,837萬 | -236.48%-2,035.8萬 | 107.45%1,491.7萬 |
向其他方提供的預付現金及貸款 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -90.45%-3,809萬 |
償還對其他方提供的預付款及貸款產生的現金收入 | ---- | ---- | ---- | --1,099萬 | ---- | ---- | ---- | ---- | -58.86%604.8萬 | --1,470萬 |
已收到的股息(投資活動產生的現金流) | -9.12%122.6萬 | -99.59%134.9萬 | --3.28億 | --0 | ---- | ---- | ---- | ---- | ---- | ---- |
其他投資變動淨額 | -42.40%420.7萬 | -86.81%730.4萬 | 9,097.34%5,536.8萬 | -91.72%60.2萬 | 114.18%726.8萬 | -5,049.95%-5,124.2萬 | -101.20%-99.5萬 | -18.59%8,289.2萬 | -76.82%1.02億 | 3,498.75%4.39億 |
投資活動現金淨額 | -27.30%-37.17億 | -24.33%-29.2億 | 26.66%-23.49億 | 22.30%-32.03億 | -30.49%-41.22億 | -501.59%-31.59億 | 183.83%7.87億 | -214.45%-9.38億 | 541.97%8.2億 | 147.81%1.28億 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | ---- | ---- | ---- | ---- | 49.81%-3,092.1萬 | ---6,160.5萬 | ---- | ---3,103.7萬 | ---- | ---- |
普通股發行/回購的淨額 | --0 | -3,487,489.19%-12.9億 | -12.12%-3.7萬 | ---3.3萬 | ---- | ---10.9萬 | ---- | -98.04%6萬 | 5,186.21%306.6萬 | 275.76%5.8萬 |
已支付現金股息 | 66.22%-2.5萬 | 77.71%-7.4萬 | 99.73%-33.2萬 | -3.98%-1.21億 | -11,642,900.00%-1.16億 | 80.00%-1,000 | 44.44%-5,000 | -28.57%-9,000 | 88.52%-7,000 | 54.48%-6.1萬 |
其他籌資費用淨額 | 16.40%-2,711.4萬 | 11.34%-3,243.3萬 | -136.34%-3,658.2萬 | -18.79%1.01億 | 136.59%1.24億 | ---3.39億 | ---- | ---- | ---1,000 | ---- |
融資活動現金淨額 | 97.95%-2,713.9萬 | -3,480.19%-13.23億 | -80.96%-3,695.1萬 | 12.65%-2,041.9萬 | 94.16%-2,337.5萬 | -8,011,160.00%-4.01億 | 99.98%-5,000 | -1,113.28%-3,098.6萬 | 102,033.33%305.8萬 | 98.20%-3,000 |
現金淨流量 | ||||||||||
期初現金流 | -23.25%115.84億 | -8.78%150.93億 | -13.24%165.45億 | -15.91%190.69億 | -11.68%226.78億 | 6.29%256.77億 | -4.00%241.57億 | 5.48%251.63億 | 2.36%238.56億 | 5.09%233.06億 |
現金變動 | 54.33%-15.02億 | -88.63%-32.89億 | 25.56%-17.44億 | 35.89%-23.42億 | -22.87%-36.54億 | -298.72%-29.74億 | 276.46%14.96億 | -161.29%-8.48億 | 312.22%13.84億 | -39.92%3.36億 |
匯率變動影響 | 204.17%2.28億 | -175.20%-2.19億 | 260.32%2.92億 | -507.99%-1.82億 | 277.64%4,457.8萬 | -207.39%-2,509.5萬 | 114.80%2,336.8萬 | -170.16%-1.58億 | -127.28%-5,842.8萬 | -62.46%2.14億 |
現金變動之外的其他現金調整 | ---- | -100.00%-2,000 | ---1,000 | ---- | 50.00%-1,000 | -300.00%-2,000 | 200.00%1,000 | 99.99%-1,000 | -1,799,800.00%-1,799.7萬 | 200.00%1,000 |
期末現金 | -11.00%103.1億 | -23.25%115.84億 | -8.78%150.93億 | -13.24%165.45億 | -15.91%190.69億 | -11.68%226.78億 | 6.29%256.77億 | -4.00%241.57億 | 5.48%251.63億 | 2.36%238.56億 |
自由現金流 | 36.03%-11.79億 | 10.89%-18.43億 | 12.67%-20.68億 | 24.69%-23.68億 | -127.08%-31.45億 | -199.92%-13.85億 | 50.80%-4.62億 | -693.18%-9.39億 | 265.45%1.58億 | -112.47%-9,562.9萬 |
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 |
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