日本市場個股詳情

8058 三菱商事

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延時20分鐘行情等待開盤 11/13 15:30 (東京)
10.73萬億總市值12.00市盈率(靜)

三菱商事關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
經營活動現金流量(間接法)
經營活動產生的現金
-47.76%2,463.15億
-24.09%1.36萬億
-29.50%3,099.64億
-7.88%3,330.74億
-27.38%2,464.54億
-27.71%4,715.23億
155.12%1.79萬億
26.63%4,396.53億
69.93%3,615.67億
233.96%3,393.73億
扣除非現金調整前淨利潤
15.72%4,020.78億
-19.40%1.02萬億
-1.25%2,432.39億
-0.58%2,616.6億
-15.29%1,725.16億
-37.77%3,474.43億
26.59%1.27萬億
-16.29%2,463.19億
-16.95%2,631.89億
4.73%2,036.62億
非現金項目調整總額
-874.39%-1,720.54億
10.63%2,937.75億
-276.03%-1,435.79億
104.57%2,721.56億
3.87%1,429.8億
125.62%222.18億
6.98%2,655.51億
-63.32%815.66億
107.25%1,330.38億
30,025.00%1,376.55億
-折舊與攤銷
1.36%1,475.96億
2.75%5,993.3億
0.52%1,558.67億
1.67%1,480億
5.55%1,498.53億
3.50%1,456.1億
7.02%5,832.94億
10.67%1,550.6億
6.97%1,455.7億
5.96%1,419.77億
-聯營企業份額
-2.52%-1,249.74億
11.15%-4,443.85億
7.09%-992.21億
1.31%-1,171.41億
12.52%-1,061.21億
20.53%-1,219.02億
-27.01%-5,001.8億
-41.22%-1,067.91億
7.34%-1,186.95億
-13.41%-1,213.09億
-處置利潤
-145.35%-1,554.15億
-45.77%-2,406.66億
-1,361.43%-1,954.52億
447.39%257.8億
8.79%-76.49億
53.39%-633.45億
-846.16%-1,650.95億
-196.02%-133.74億
-108.16%-74.21億
-242.18%-83.86億
-遞延所得稅
-0.48%967.93億
-17.45%3,377.36億
26.77%1,141.38億
-7.09%693.71億
-10.23%569.7億
-46.26%972.57億
41.74%4,091.32億
-2.44%900.39億
-17.32%746.65億
11.08%634.64億
-其他非現金項目
-284.31%-1,360.54億
167.79%417.6億
-174.19%-1,189.11億
275.51%1,461.46億
-19.35%499.27億
70.27%-354.02億
64.64%-616億
-183.96%-433.68億
227.43%389.19億
168.40%619.09億
營運資本變動
-84.01%162.91億
-83.43%423.82億
88.16%2,103.04億
-479.17%-2,007.42億
-3,451.54%-690.42億
-43.62%1,018.62億
146.52%2,558.46億
165.96%1,117.68億
79.41%-346.6億
97.90%-19.44億
-應收款(增)減
7.49%2,583.1億
-53.91%826.48億
-39.76%1,494.47億
12.95%-1,317.15億
-541.59%-1,753.99億
461.14%2,403.15億
126.62%1,793.18億
926.53%2,480.84億
69.05%-1,513.12億
143.76%397.2億
-存貨(增)減
-415.62%-1,606.45億
-453.45%-715.55億
-111.68%-70.37億
58.38%-374.81億
-343.87%-779.35億
47.88%508.98億
94.53%-129.29億
380.32%602.68億
-7.78%-900.57億
77.07%-175.58億
-應付款(減)增
65.75%-709.13億
92.15%-84.9億
66.11%-1,216.1億
-25.44%1,421.34億
220.34%1,780.13億
-4,739.78%-2,070.27億
-127.31%-1,082.17億
-338.86%-3,588.71億
-52.83%1,906.22億
-25.86%555.7億
-其他流動資產變動
-159.18%-104.61億
-79.88%397.79億
16.77%1,895.04億
-1,179.63%-1,736.8億
107.88%62.79億
-82.14%176.76億
646.83%1,976.74億
--1,622.87億
--160.87億
---796.76億
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)
-3.52%1,514.91億
-0.84%4,852.52億
-17.20%1,007.52億
4.96%1,067.06億
1.24%1,207.8億
7.03%1,570.14億
-0.91%4,893.53億
-4.17%1,216.77億
-14.15%1,016.68億
-11.20%1,193.05億
已付利息(經營活動產生的現金流)
1.92%-455.07億
-58.56%-2,128.23億
-20.37%-557.04億
-59.44%-582.25億
-54.27%-524.95億
-166.68%-463.99億
-108.28%-1,342.24億
-173.71%-462.79億
-120.86%-365.19億
-95.73%-340.27億
已收到的利息(經營活動產生的現金流)
20.77%520.96億
54.19%1,875.71億
30.49%491.75億
37.03%465.27億
75.29%487.32億
94.19%431.37億
50.93%1,216.53億
75.50%376.86億
79.24%339.53億
31.32%278億
已支付退稅
52.12%-663.83億
-39.49%-4,736.35億
-29.89%-618.8億
-28.81%-1,197.34億
-33.10%-1,533.86億
-65.64%-1,386.35億
-116.35%-3,395.4億
-5.31%-476.39億
-40.79%-929.57億
-1,092.03%-1,152.45億
其他經營現金流入(流出)
0
0
0
0
0
0
0
0
0
0
經營活動現金淨額
-30.54%3,380.12億
-30.19%1.35萬億
-32.23%3,423.07億
-16.14%3,083.48億
-37.70%2,100.85億
-32.42%4,866.4億
82.81%1.93萬億
16.52%5,050.98億
37.42%3,677.12億
46.56%3,372.06億
投資活動現金流量
物業、廠房及設備交易淨額
256.18%819.37億
-13.75%-4,944.43億
-7.44%-1,226.97億
-15.11%-1,371.12億
-65.21%-1,821.7億
42.41%-524.64億
-18.78%-4,346.78億
-25.30%-1,142.02億
-17.50%-1,191.1億
-18.45%-1,102.65億
業務交易淨額
-67.80%244.97億
-73.90%654.52億
-124.46%-63.92億
-170.38%-281.37億
-36.97%239.14億
-48.14%760.67億
156.96%2,507.32億
-59.44%261.32億
29.24%399.8億
57,381.82%379.38億
投資物業交易淨額
---4.71億
29,934.26%644.42億
187.28%21.69億
-155.54%-18.45億
----
----
-124.38%-2.16億
--7.55億
---7.22億
----
投資產品交易淨額
-146.70%-106.32億
-33.86%773.15億
-200.13%-501.15億
429.11%520.02億
27.60%526.63億
-44.99%227.65億
-4.24%1,169.03億
15.41%500.48億
-151.29%-158.01億
1.08%412.71億
向其他方提供的預付現金及貸款
88.72%-68.84億
28.47%-1,123.75億
58.46%-66.55億
15.45%-262.14億
73.77%-184.68億
-53.85%-610.38億
-89.38%-1,570.96億
32.02%-160.22億
-65.05%-310.05億
-300.50%-703.96億
償還對其他方提供的預付款及貸款產生的現金收入
-29.55%549.77億
313.42%1,938.48億
149.64%403.02億
556.26%450億
965.49%305.05億
271.18%780.41億
-22.89%468.89億
-14.25%161.44億
-61.49%68.57億
-69.18%28.63億
投資活動現金淨額
126.32%1,434.24億
-15.94%-2,057.61億
-286.02%-1,433.88億
19.61%-963.06億
70.22%-294.38億
-19.09%633.71億
-5.92%-1,774.66億
-390.15%-371.45億
-194.97%-1,198.01億
-63.44%-988.38億
融資活動現金流量
債務發行/償還的淨額
124.70%269.43億
103.79%367.08億
27.16%-1,927.2億
294.63%4,695.84億
73.92%-1,310.8億
65.83%-1,090.76億
-502.85%-9,673.02億
-0.28%-2,645.77億
469.21%1,189.93億
-485.61%-5,025.39億
普通股發行/回購的淨額
-71.73%-1,975.03億
-104.98%-4,450.27億
-5.00%-1,050.07億
-274.97%-1,125.09億
-181.24%-1,125.06億
-144.20%-1,150.05億
-1,669,953.85%-2,171.07億
-2,499,975.00%-1,000.03億
-1,000,066.67%-300.05億
-1,333,366.67%-400.04億
租賃融資增減
-7.44%-750.03億
2.87%-3,000.86億
7.90%-751.73億
-20.57%-901.4億
9.60%-649.62億
13.50%-698.11億
-10.42%-3,089.46億
-14.65%-816.19億
-7.73%-747.61億
-1.33%-718.61億
已支付現金股息
2.54%-1,434.28億
-28.23%-2,934.33億
--0
-30.39%-1,462.64億
--0
-26.15%-1,471.69億
-12.32%-2,288.29億
--0
-7.01%-1,121.71億
--0
非控制性權益現金股息
4.79%-314.68億
-50.44%-847.71億
57.92%-11.05億
-200.95%-291.68億
-46.92%-214.46億
-12.30%-330.52億
-4.26%-563.48億
65.14%-26.26億
40.31%-96.92億
-3.49%-145.97億
其他籌資費用淨額
19.57%-11.55億
-96.84%3.76億
-193.52%-60.88億
73.09%-3.13億
33.39%82.13億
-468.21%-14.36億
156.34%118.94億
14,695.45%65.1億
83.10%-11.63億
-56.03%61.57億
融資活動現金淨額
11.34%-4,216.14億
38.51%-1.09萬億
14.07%-3,800.93億
183.82%911.9億
48.34%-3,217.81億
19.76%-4,755.49億
-154.78%-1.77萬億
-29.13%-4,423.15億
38.34%-1,087.99億
-297.12%-6,228.44億
現金淨流量
期初現金流
-19.62%1.25萬億
0.09%1.56萬億
19.49%1.83萬億
7.21%1.53萬億
-8.39%1.67萬億
0.09%1.56萬億
18.04%1.56萬億
7.60%1.53萬億
4.92%1.43萬億
34.32%1.82萬億
現金變動
-19.66%598.22億
496.58%553.86億
-806.66%-1,811.74億
117.98%3,032.32億
63.29%-1,411.34億
-63.81%744.62億
-107.17%-139.66億
-75.29%256.38億
175.31%1,391.12億
-3,110.54%-3,844.76億
匯率變動影響
32.56%446.56億
211.28%479.21億
410.32%84.5億
87.88%-43.61億
537.47%101.45億
-40.28%336.87億
-64.07%153.95億
-110.46%-27.23億
-415.83%-359.7億
-7.26%-23.19億
現金變動之外的其他現金調整
---603.33億
---4,087.56億
----
----
----
----
----
----
----
----
期末現金
-22.19%1.3萬億
-19.62%1.25萬億
-19.62%1.25萬億
19.49%1.83萬億
7.21%1.53萬億
-8.39%1.67萬億
0.09%1.56萬億
0.09%1.56萬億
7.60%1.53萬億
4.92%1.43萬億
自由現金流
-34.51%2,400.41億
-43.95%8,268.38億
-44.59%2,133.53億
-35.54%1,593.05億
-60.07%876.28億
-41.22%3,665.52億
122.83%1.48萬億
14.89%3,850.47億
61.24%2,471.2億
66.78%2,194.36億
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
(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30
經營活動現金流量(間接法)
經營活動產生的現金 -47.76%2,463.15億-24.09%1.36萬億-29.50%3,099.64億-7.88%3,330.74億-27.38%2,464.54億-27.71%4,715.23億155.12%1.79萬億26.63%4,396.53億69.93%3,615.67億233.96%3,393.73億
扣除非現金調整前淨利潤 15.72%4,020.78億-19.40%1.02萬億-1.25%2,432.39億-0.58%2,616.6億-15.29%1,725.16億-37.77%3,474.43億26.59%1.27萬億-16.29%2,463.19億-16.95%2,631.89億4.73%2,036.62億
非現金項目調整總額 -874.39%-1,720.54億10.63%2,937.75億-276.03%-1,435.79億104.57%2,721.56億3.87%1,429.8億125.62%222.18億6.98%2,655.51億-63.32%815.66億107.25%1,330.38億30,025.00%1,376.55億
-折舊與攤銷 1.36%1,475.96億2.75%5,993.3億0.52%1,558.67億1.67%1,480億5.55%1,498.53億3.50%1,456.1億7.02%5,832.94億10.67%1,550.6億6.97%1,455.7億5.96%1,419.77億
-聯營企業份額 -2.52%-1,249.74億11.15%-4,443.85億7.09%-992.21億1.31%-1,171.41億12.52%-1,061.21億20.53%-1,219.02億-27.01%-5,001.8億-41.22%-1,067.91億7.34%-1,186.95億-13.41%-1,213.09億
-處置利潤 -145.35%-1,554.15億-45.77%-2,406.66億-1,361.43%-1,954.52億447.39%257.8億8.79%-76.49億53.39%-633.45億-846.16%-1,650.95億-196.02%-133.74億-108.16%-74.21億-242.18%-83.86億
-遞延所得稅 -0.48%967.93億-17.45%3,377.36億26.77%1,141.38億-7.09%693.71億-10.23%569.7億-46.26%972.57億41.74%4,091.32億-2.44%900.39億-17.32%746.65億11.08%634.64億
-其他非現金項目 -284.31%-1,360.54億167.79%417.6億-174.19%-1,189.11億275.51%1,461.46億-19.35%499.27億70.27%-354.02億64.64%-616億-183.96%-433.68億227.43%389.19億168.40%619.09億
營運資本變動 -84.01%162.91億-83.43%423.82億88.16%2,103.04億-479.17%-2,007.42億-3,451.54%-690.42億-43.62%1,018.62億146.52%2,558.46億165.96%1,117.68億79.41%-346.6億97.90%-19.44億
-應收款(增)減 7.49%2,583.1億-53.91%826.48億-39.76%1,494.47億12.95%-1,317.15億-541.59%-1,753.99億461.14%2,403.15億126.62%1,793.18億926.53%2,480.84億69.05%-1,513.12億143.76%397.2億
-存貨(增)減 -415.62%-1,606.45億-453.45%-715.55億-111.68%-70.37億58.38%-374.81億-343.87%-779.35億47.88%508.98億94.53%-129.29億380.32%602.68億-7.78%-900.57億77.07%-175.58億
-應付款(減)增 65.75%-709.13億92.15%-84.9億66.11%-1,216.1億-25.44%1,421.34億220.34%1,780.13億-4,739.78%-2,070.27億-127.31%-1,082.17億-338.86%-3,588.71億-52.83%1,906.22億-25.86%555.7億
-其他流動資產變動 -159.18%-104.61億-79.88%397.79億16.77%1,895.04億-1,179.63%-1,736.8億107.88%62.79億-82.14%176.76億646.83%1,976.74億--1,622.87億--160.87億---796.76億
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) -3.52%1,514.91億-0.84%4,852.52億-17.20%1,007.52億4.96%1,067.06億1.24%1,207.8億7.03%1,570.14億-0.91%4,893.53億-4.17%1,216.77億-14.15%1,016.68億-11.20%1,193.05億
已付利息(經營活動產生的現金流) 1.92%-455.07億-58.56%-2,128.23億-20.37%-557.04億-59.44%-582.25億-54.27%-524.95億-166.68%-463.99億-108.28%-1,342.24億-173.71%-462.79億-120.86%-365.19億-95.73%-340.27億
已收到的利息(經營活動產生的現金流) 20.77%520.96億54.19%1,875.71億30.49%491.75億37.03%465.27億75.29%487.32億94.19%431.37億50.93%1,216.53億75.50%376.86億79.24%339.53億31.32%278億
已支付退稅 52.12%-663.83億-39.49%-4,736.35億-29.89%-618.8億-28.81%-1,197.34億-33.10%-1,533.86億-65.64%-1,386.35億-116.35%-3,395.4億-5.31%-476.39億-40.79%-929.57億-1,092.03%-1,152.45億
其他經營現金流入(流出) 0000000000
經營活動現金淨額 -30.54%3,380.12億-30.19%1.35萬億-32.23%3,423.07億-16.14%3,083.48億-37.70%2,100.85億-32.42%4,866.4億82.81%1.93萬億16.52%5,050.98億37.42%3,677.12億46.56%3,372.06億
投資活動現金流量
物業、廠房及設備交易淨額 256.18%819.37億-13.75%-4,944.43億-7.44%-1,226.97億-15.11%-1,371.12億-65.21%-1,821.7億42.41%-524.64億-18.78%-4,346.78億-25.30%-1,142.02億-17.50%-1,191.1億-18.45%-1,102.65億
業務交易淨額 -67.80%244.97億-73.90%654.52億-124.46%-63.92億-170.38%-281.37億-36.97%239.14億-48.14%760.67億156.96%2,507.32億-59.44%261.32億29.24%399.8億57,381.82%379.38億
投資物業交易淨額 ---4.71億29,934.26%644.42億187.28%21.69億-155.54%-18.45億---------124.38%-2.16億--7.55億---7.22億----
投資產品交易淨額 -146.70%-106.32億-33.86%773.15億-200.13%-501.15億429.11%520.02億27.60%526.63億-44.99%227.65億-4.24%1,169.03億15.41%500.48億-151.29%-158.01億1.08%412.71億
向其他方提供的預付現金及貸款 88.72%-68.84億28.47%-1,123.75億58.46%-66.55億15.45%-262.14億73.77%-184.68億-53.85%-610.38億-89.38%-1,570.96億32.02%-160.22億-65.05%-310.05億-300.50%-703.96億
償還對其他方提供的預付款及貸款產生的現金收入 -29.55%549.77億313.42%1,938.48億149.64%403.02億556.26%450億965.49%305.05億271.18%780.41億-22.89%468.89億-14.25%161.44億-61.49%68.57億-69.18%28.63億
投資活動現金淨額 126.32%1,434.24億-15.94%-2,057.61億-286.02%-1,433.88億19.61%-963.06億70.22%-294.38億-19.09%633.71億-5.92%-1,774.66億-390.15%-371.45億-194.97%-1,198.01億-63.44%-988.38億
融資活動現金流量
債務發行/償還的淨額 124.70%269.43億103.79%367.08億27.16%-1,927.2億294.63%4,695.84億73.92%-1,310.8億65.83%-1,090.76億-502.85%-9,673.02億-0.28%-2,645.77億469.21%1,189.93億-485.61%-5,025.39億
普通股發行/回購的淨額 -71.73%-1,975.03億-104.98%-4,450.27億-5.00%-1,050.07億-274.97%-1,125.09億-181.24%-1,125.06億-144.20%-1,150.05億-1,669,953.85%-2,171.07億-2,499,975.00%-1,000.03億-1,000,066.67%-300.05億-1,333,366.67%-400.04億
租賃融資增減 -7.44%-750.03億2.87%-3,000.86億7.90%-751.73億-20.57%-901.4億9.60%-649.62億13.50%-698.11億-10.42%-3,089.46億-14.65%-816.19億-7.73%-747.61億-1.33%-718.61億
已支付現金股息 2.54%-1,434.28億-28.23%-2,934.33億--0-30.39%-1,462.64億--0-26.15%-1,471.69億-12.32%-2,288.29億--0-7.01%-1,121.71億--0
非控制性權益現金股息 4.79%-314.68億-50.44%-847.71億57.92%-11.05億-200.95%-291.68億-46.92%-214.46億-12.30%-330.52億-4.26%-563.48億65.14%-26.26億40.31%-96.92億-3.49%-145.97億
其他籌資費用淨額 19.57%-11.55億-96.84%3.76億-193.52%-60.88億73.09%-3.13億33.39%82.13億-468.21%-14.36億156.34%118.94億14,695.45%65.1億83.10%-11.63億-56.03%61.57億
融資活動現金淨額 11.34%-4,216.14億38.51%-1.09萬億14.07%-3,800.93億183.82%911.9億48.34%-3,217.81億19.76%-4,755.49億-154.78%-1.77萬億-29.13%-4,423.15億38.34%-1,087.99億-297.12%-6,228.44億
現金淨流量
期初現金流 -19.62%1.25萬億0.09%1.56萬億19.49%1.83萬億7.21%1.53萬億-8.39%1.67萬億0.09%1.56萬億18.04%1.56萬億7.60%1.53萬億4.92%1.43萬億34.32%1.82萬億
現金變動 -19.66%598.22億496.58%553.86億-806.66%-1,811.74億117.98%3,032.32億63.29%-1,411.34億-63.81%744.62億-107.17%-139.66億-75.29%256.38億175.31%1,391.12億-3,110.54%-3,844.76億
匯率變動影響 32.56%446.56億211.28%479.21億410.32%84.5億87.88%-43.61億537.47%101.45億-40.28%336.87億-64.07%153.95億-110.46%-27.23億-415.83%-359.7億-7.26%-23.19億
現金變動之外的其他現金調整 ---603.33億---4,087.56億--------------------------------
期末現金 -22.19%1.3萬億-19.62%1.25萬億-19.62%1.25萬億19.49%1.83萬億7.21%1.53萬億-8.39%1.67萬億0.09%1.56萬億0.09%1.56萬億7.60%1.53萬億4.92%1.43萬億
自由現金流 -34.51%2,400.41億-43.95%8,268.38億-44.59%2,133.53億-35.54%1,593.05億-60.07%876.28億-41.22%3,665.52億122.83%1.48萬億14.89%3,850.47億61.24%2,471.2億66.78%2,194.36億
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

分析

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目標價預測

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熱議
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