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7851 川瀨計算機用品

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延時20分鐘行情未開盤 08/06 15:00 (東京)
9.70億總市值-7755市盈率(靜)

川瀨計算機用品關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2024/03/31
(FY)2023/03/31
(FY)2022/03/31
(FY)2021/03/31
(FY)2020/03/31
(FY)2019/03/31
(FY)2018/03/31
(FY)2017/03/31
(FY)2016/03/31
(FY)2015/03/31
經營活動現金流量(間接法)
經營活動產生的現金
302.01%2.08億
-54.02%5,173.7萬
45.42%1.13億
87.06%7,737.7萬
23.58%4,136.4萬
-74.33%3,347.2萬
-27.43%1.3億
26.76%1.8億
-56.71%1.42億
125.72%3.27億
扣除非現金調整前淨利潤
18.67%-1.04億
-1,218.12%-1.28億
-88.99%1,147.1萬
115.94%1.04億
-793.93%-6.54億
-578.96%-7,315.6萬
81.04%1,527.4萬
-61.48%843.7萬
-73.18%2,190.1萬
256.77%8,165萬
非現金項目調整總額
6.76%2.41億
367.41%2.26億
451.36%4,832.6萬
-102.15%-1,375.4萬
614.20%6.39億
-29.57%8,940.3萬
-14.84%1.27億
25.51%1.49億
-37.68%1.19億
-13.10%1.91億
-折舊與攤銷
26.97%1.24億
116.45%9,787.7萬
41.27%4,522萬
-73.22%3,201萬
39.45%1.2億
-30.24%8,572.5萬
-17.20%1.23億
2.25%1.48億
-14.62%1.45億
-2.15%1.7億
-在損益中確認的減值損失回撥
415.12%8,600萬
--1,669.5萬
--0
-95.66%2,245.6萬
--5.18億
----
----
----
----
----
-資產準備金與勾銷
----
----
----
----
----
----
----
----
-71.11%358.2萬
4.78%1,239.7萬
-處置利潤
278.46%9,128萬
-370.20%-5,114.8萬
-269.92%-1,087.8萬
661.58%640.2萬
-123.07%-114萬
180.50%494.2萬
-12.77%-613.9萬
-394.75%-544.4萬
-48.00%184.7萬
-17.05%355.2萬
-其他非現金項目
-137.18%-6,039.4萬
1,061.73%1.62億
118.74%1,398.4萬
-3,272.70%-7,462.2萬
286.08%235.2萬
-112.41%-126.4萬
67.52%1,018.7萬
119.11%608.1萬
-789.72%-3,181.7萬
-84.34%461.3萬
營運資本變動
255.05%7,114.4萬
-187.03%-4,588.5萬
502.99%5,272.3萬
-123.03%-1,308.3萬
229.77%5,680.3萬
245.81%1,722.5萬
-153.23%-1,181.3萬
1,949.03%2,219.1萬
-98.04%108.3萬
349.39%5,521.9萬
-應收款(增)減
314.15%1,884.8萬
-89.03%455.1萬
234.89%4,147.2萬
-140.32%-3,074.4萬
142.69%7,625.5萬
92.57%3,142.1萬
-33.75%1,631.7萬
143.85%2,463.1萬
-175.87%-5,617.5萬
281.60%7,404萬
-存貨(增)減
252.82%945.8萬
-523.03%-618.9萬
-84.62%146.3萬
12,755.41%951.3萬
100.36%7.4萬
-236.39%-2,073.5萬
-170.50%-616.4萬
333.77%874.3萬
-1,380.82%-374萬
104.07%29.2萬
-應付款(減)增
170.58%3,662.3萬
-411.62%-5,188.8萬
-207.85%-1,014.2萬
135.01%940.4萬
-387.74%-2,686萬
71.53%-550.7萬
21.04%-1,934.3萬
-140.16%-2,449.8萬
419.14%6,099.8萬
-174.08%-1,911.3萬
-貸款、租賃及其他損失準備金
-18.66%621.5萬
-61.66%764.1萬
1,686.78%1,993萬
-117.13%-125.6萬
-39.12%733.4萬
559.25%1,204.6萬
-119.70%-262.3萬
--1,331.5萬
----
----
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)
-42.59%-1,123.2萬
-7.01%-787.7萬
12.38%-736.1萬
-0.20%-840.1萬
-113.06%-838.4萬
-8.82%-393.5萬
27.04%-361.6萬
23.28%-495.6萬
29.44%-646萬
15.12%-915.5萬
已收到的利息(經營活動產生的現金流)
17.51%936.1萬
36.76%796.6萬
21.20%582.5萬
-25.91%480.6萬
0.40%648.7萬
4.33%646.1萬
5.50%619.3萬
34.11%587萬
27.95%437.7萬
48.35%342.1萬
已支付退稅
-32.03%-903.1萬
28.56%-684萬
1.56%-957.4萬
-12.74%-972.6萬
-140.78%-862.7萬
69.13%-358.3萬
25.68%-1,160.5萬
45.41%-1,561.5萬
-769.92%-2,860.3萬
81.51%-328.8萬
其他經營現金流入(流出)
54.54%-3,086.4萬
-6,788,700.00%-6,788.8萬
-100.00%-1,000
1.01億
0
-1,000
0
100.04%1,000
79.59%-235.9萬
-1,155.9萬
經營活動現金淨額
825.79%1.66億
-122.58%-2,290.2萬
-38.73%1.01億
436.67%1.66億
-4.86%3,084萬
-73.29%3,241.4萬
-26.43%1.21億
51.78%1.65億
-64.58%1.09億
158.30%3.07億
投資活動現金流量
物業、廠房及設備交易淨額
62.79%-1.05億
-6,835.86%-2.81億
93.54%-405.8萬
-17.67%-6,284.5萬
-151.85%-5,341萬
47.71%-2,120.7萬
74.98%-4,055.5萬
-415.76%-1.62億
28.94%-3,142.7萬
15.36%-4,422.7萬
無形資產交易淨額
-39.26%-559萬
73.56%-401.4萬
-16.02%-1,518.2萬
49.63%-1,308.6萬
11.55%-2,597.8萬
-696.80%-2,937萬
-6.59%-368.6萬
-209.03%-345.8萬
73.74%-111.9萬
53.44%-426.1萬
投資產品交易淨額
-604.62%-2.75億
160.13%5,446萬
-162.62%-9,056.5萬
83,696.53%1.45億
-100.52%-17.3萬
124.04%3,327.6萬
133.96%1,485.3萬
-73.33%-4,373.7萬
66.54%-2,523.3萬
-243.68%-7,541.4萬
其他投資變動淨額
-42.31%-3.7萬
-100.12%-2.6萬
183.00%2,243.4萬
-17,651.30%-2,702.9萬
-99.30%15.4萬
-59.28%2,203.4萬
14,685.52%5,411.5萬
-99.64%36.6萬
17,053.32%1.01億
-48.33%58.7萬
投資活動現金淨額
-66.72%-3.85億
-164.43%-2.31億
-309.71%-8,737.1萬
152.47%4,166.2萬
-1,777.73%-7,940.7萬
-80.86%473.3萬
111.84%2,472.7萬
-586.86%-2.09億
134.80%4,291.1萬
-50.00%-1.23億
融資活動現金流量
債務發行/償還的淨額
-164.50%-1,666.4萬
129.63%2,583.4萬
-181.34%-8,720萬
339.71%1.07億
8.06%-4,472萬
-176.77%-4,864萬
1,042.86%6,336萬
88.14%-672萬
-54.59%-5,664萬
-210.10%-3,664萬
普通股發行/回購的淨額
---1,842萬
--0
----
----
----
----
----
----
99.82%-2.1萬
-46.15%-1,149.2萬
租賃融資增減
-61.70%-8,522.6萬
-33.00%-5,270.5萬
4.46%-3,962.7萬
-19.85%-4,147.5萬
-262.39%-3,460.5萬
60.57%-954.9萬
-24.44%-2,421.9萬
58.50%-1,946.3萬
1.25%-4,690.2萬
1.84%-4,749.8萬
已支付現金股息
-0.13%-1,415.1萬
-0.01%-1,413.3萬
-78,411.11%-1,413.2萬
99.96%-1.8萬
0.02%-4,725.4萬
0.11%-4,726.3萬
-0.01%-4,731.6萬
-0.05%-4,731.1萬
1.20%-4,728.5萬
0.44%-4,785.7萬
其他籌資費用淨額
---1,000
----
0.00%-1,000
---1,000
----
---2,000
----
0.00%-1,000
0.00%-1,000
99.99%-1,000
融資活動現金淨額
-227.92%-1.34億
70.91%-4,100.4萬
-314.53%-1.41億
151.91%6,570.6萬
-20.03%-1.27億
-1,189.96%-1.05億
88.88%-817.5萬
51.28%-7,349.5萬
-5.13%-1.51億
-73.96%-1.43億
現金淨流量
期初現金流
-16.42%15億
-6.56%17.95億
16.57%19.2億
-9.61%16.47億
-3.60%18.23億
7.86%18.91億
-6.28%17.53億
0.04%18.7億
2.20%18.7億
-2.26%18.29億
現金變動
-19.83%-3.53億
-132.38%-2.95億
-146.51%-1.27億
255.80%2.73億
-156.41%-1.75億
-149.53%-6,830.7萬
217.43%1.38億
-15,717.29%-1.17億
-98.12%75.2萬
187.22%4,003.5萬
匯率變動影響
1,339.74%336.9萬
-76.29%23.4萬
470.52%98.7萬
276.53%17.3萬
-147.80%-9.8萬
200.99%20.5萬
-432.79%-20.3萬
164.21%6.1萬
-138.31%-9.5萬
-93.28%24.8萬
現金變動之外的其他現金調整
200.00%1,000
---1,000
----
200.00%2,000
-300.00%-2,000
--1,000
----
----
---1,000
----
期末現金
-23.34%11.5億
-16.42%15億
-6.56%17.95億
16.57%19.2億
-9.61%16.47億
-3.60%18.23億
7.86%18.91億
-6.28%17.53億
0.04%18.7億
2.20%18.7億
自由現金流
118.13%5,589.5萬
-591.16%-3.08億
-29.53%6,278.4萬
283.53%8,909.8萬
-167.29%-4,854.8萬
-125.01%-1,816.3萬
12,708.16%7,262.3萬
-100.76%-57.6萬
-70.51%7,614.4萬
349.89%2.58億
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)2024/03/31(FY)2023/03/31(FY)2022/03/31(FY)2021/03/31(FY)2020/03/31(FY)2019/03/31(FY)2018/03/31(FY)2017/03/31(FY)2016/03/31(FY)2015/03/31
經營活動現金流量(間接法)
經營活動產生的現金 302.01%2.08億-54.02%5,173.7萬45.42%1.13億87.06%7,737.7萬23.58%4,136.4萬-74.33%3,347.2萬-27.43%1.3億26.76%1.8億-56.71%1.42億125.72%3.27億
扣除非現金調整前淨利潤 18.67%-1.04億-1,218.12%-1.28億-88.99%1,147.1萬115.94%1.04億-793.93%-6.54億-578.96%-7,315.6萬81.04%1,527.4萬-61.48%843.7萬-73.18%2,190.1萬256.77%8,165萬
非現金項目調整總額 6.76%2.41億367.41%2.26億451.36%4,832.6萬-102.15%-1,375.4萬614.20%6.39億-29.57%8,940.3萬-14.84%1.27億25.51%1.49億-37.68%1.19億-13.10%1.91億
-折舊與攤銷 26.97%1.24億116.45%9,787.7萬41.27%4,522萬-73.22%3,201萬39.45%1.2億-30.24%8,572.5萬-17.20%1.23億2.25%1.48億-14.62%1.45億-2.15%1.7億
-在損益中確認的減值損失回撥 415.12%8,600萬--1,669.5萬--0-95.66%2,245.6萬--5.18億--------------------
-資產準備金與勾銷 ---------------------------------71.11%358.2萬4.78%1,239.7萬
-處置利潤 278.46%9,128萬-370.20%-5,114.8萬-269.92%-1,087.8萬661.58%640.2萬-123.07%-114萬180.50%494.2萬-12.77%-613.9萬-394.75%-544.4萬-48.00%184.7萬-17.05%355.2萬
-其他非現金項目 -137.18%-6,039.4萬1,061.73%1.62億118.74%1,398.4萬-3,272.70%-7,462.2萬286.08%235.2萬-112.41%-126.4萬67.52%1,018.7萬119.11%608.1萬-789.72%-3,181.7萬-84.34%461.3萬
營運資本變動 255.05%7,114.4萬-187.03%-4,588.5萬502.99%5,272.3萬-123.03%-1,308.3萬229.77%5,680.3萬245.81%1,722.5萬-153.23%-1,181.3萬1,949.03%2,219.1萬-98.04%108.3萬349.39%5,521.9萬
-應收款(增)減 314.15%1,884.8萬-89.03%455.1萬234.89%4,147.2萬-140.32%-3,074.4萬142.69%7,625.5萬92.57%3,142.1萬-33.75%1,631.7萬143.85%2,463.1萬-175.87%-5,617.5萬281.60%7,404萬
-存貨(增)減 252.82%945.8萬-523.03%-618.9萬-84.62%146.3萬12,755.41%951.3萬100.36%7.4萬-236.39%-2,073.5萬-170.50%-616.4萬333.77%874.3萬-1,380.82%-374萬104.07%29.2萬
-應付款(減)增 170.58%3,662.3萬-411.62%-5,188.8萬-207.85%-1,014.2萬135.01%940.4萬-387.74%-2,686萬71.53%-550.7萬21.04%-1,934.3萬-140.16%-2,449.8萬419.14%6,099.8萬-174.08%-1,911.3萬
-貸款、租賃及其他損失準備金 -18.66%621.5萬-61.66%764.1萬1,686.78%1,993萬-117.13%-125.6萬-39.12%733.4萬559.25%1,204.6萬-119.70%-262.3萬--1,331.5萬--------
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) -42.59%-1,123.2萬-7.01%-787.7萬12.38%-736.1萬-0.20%-840.1萬-113.06%-838.4萬-8.82%-393.5萬27.04%-361.6萬23.28%-495.6萬29.44%-646萬15.12%-915.5萬
已收到的利息(經營活動產生的現金流) 17.51%936.1萬36.76%796.6萬21.20%582.5萬-25.91%480.6萬0.40%648.7萬4.33%646.1萬5.50%619.3萬34.11%587萬27.95%437.7萬48.35%342.1萬
已支付退稅 -32.03%-903.1萬28.56%-684萬1.56%-957.4萬-12.74%-972.6萬-140.78%-862.7萬69.13%-358.3萬25.68%-1,160.5萬45.41%-1,561.5萬-769.92%-2,860.3萬81.51%-328.8萬
其他經營現金流入(流出) 54.54%-3,086.4萬-6,788,700.00%-6,788.8萬-100.00%-1,0001.01億0-1,0000100.04%1,00079.59%-235.9萬-1,155.9萬
經營活動現金淨額 825.79%1.66億-122.58%-2,290.2萬-38.73%1.01億436.67%1.66億-4.86%3,084萬-73.29%3,241.4萬-26.43%1.21億51.78%1.65億-64.58%1.09億158.30%3.07億
投資活動現金流量
物業、廠房及設備交易淨額 62.79%-1.05億-6,835.86%-2.81億93.54%-405.8萬-17.67%-6,284.5萬-151.85%-5,341萬47.71%-2,120.7萬74.98%-4,055.5萬-415.76%-1.62億28.94%-3,142.7萬15.36%-4,422.7萬
無形資產交易淨額 -39.26%-559萬73.56%-401.4萬-16.02%-1,518.2萬49.63%-1,308.6萬11.55%-2,597.8萬-696.80%-2,937萬-6.59%-368.6萬-209.03%-345.8萬73.74%-111.9萬53.44%-426.1萬
投資產品交易淨額 -604.62%-2.75億160.13%5,446萬-162.62%-9,056.5萬83,696.53%1.45億-100.52%-17.3萬124.04%3,327.6萬133.96%1,485.3萬-73.33%-4,373.7萬66.54%-2,523.3萬-243.68%-7,541.4萬
其他投資變動淨額 -42.31%-3.7萬-100.12%-2.6萬183.00%2,243.4萬-17,651.30%-2,702.9萬-99.30%15.4萬-59.28%2,203.4萬14,685.52%5,411.5萬-99.64%36.6萬17,053.32%1.01億-48.33%58.7萬
投資活動現金淨額 -66.72%-3.85億-164.43%-2.31億-309.71%-8,737.1萬152.47%4,166.2萬-1,777.73%-7,940.7萬-80.86%473.3萬111.84%2,472.7萬-586.86%-2.09億134.80%4,291.1萬-50.00%-1.23億
融資活動現金流量
債務發行/償還的淨額 -164.50%-1,666.4萬129.63%2,583.4萬-181.34%-8,720萬339.71%1.07億8.06%-4,472萬-176.77%-4,864萬1,042.86%6,336萬88.14%-672萬-54.59%-5,664萬-210.10%-3,664萬
普通股發行/回購的淨額 ---1,842萬--0------------------------99.82%-2.1萬-46.15%-1,149.2萬
租賃融資增減 -61.70%-8,522.6萬-33.00%-5,270.5萬4.46%-3,962.7萬-19.85%-4,147.5萬-262.39%-3,460.5萬60.57%-954.9萬-24.44%-2,421.9萬58.50%-1,946.3萬1.25%-4,690.2萬1.84%-4,749.8萬
已支付現金股息 -0.13%-1,415.1萬-0.01%-1,413.3萬-78,411.11%-1,413.2萬99.96%-1.8萬0.02%-4,725.4萬0.11%-4,726.3萬-0.01%-4,731.6萬-0.05%-4,731.1萬1.20%-4,728.5萬0.44%-4,785.7萬
其他籌資費用淨額 ---1,000----0.00%-1,000---1,000-------2,000----0.00%-1,0000.00%-1,00099.99%-1,000
融資活動現金淨額 -227.92%-1.34億70.91%-4,100.4萬-314.53%-1.41億151.91%6,570.6萬-20.03%-1.27億-1,189.96%-1.05億88.88%-817.5萬51.28%-7,349.5萬-5.13%-1.51億-73.96%-1.43億
現金淨流量
期初現金流 -16.42%15億-6.56%17.95億16.57%19.2億-9.61%16.47億-3.60%18.23億7.86%18.91億-6.28%17.53億0.04%18.7億2.20%18.7億-2.26%18.29億
現金變動 -19.83%-3.53億-132.38%-2.95億-146.51%-1.27億255.80%2.73億-156.41%-1.75億-149.53%-6,830.7萬217.43%1.38億-15,717.29%-1.17億-98.12%75.2萬187.22%4,003.5萬
匯率變動影響 1,339.74%336.9萬-76.29%23.4萬470.52%98.7萬276.53%17.3萬-147.80%-9.8萬200.99%20.5萬-432.79%-20.3萬164.21%6.1萬-138.31%-9.5萬-93.28%24.8萬
現金變動之外的其他現金調整 200.00%1,000---1,000----200.00%2,000-300.00%-2,000--1,000-----------1,000----
期末現金 -23.34%11.5億-16.42%15億-6.56%17.95億16.57%19.2億-9.61%16.47億-3.60%18.23億7.86%18.91億-6.28%17.53億0.04%18.7億2.20%18.7億
自由現金流 118.13%5,589.5萬-591.16%-3.08億-29.53%6,278.4萬283.53%8,909.8萬-167.29%-4,854.8萬-125.01%-1,816.3萬12,708.16%7,262.3萬-100.76%-57.6萬-70.51%7,614.4萬349.89%2.58億
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

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