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8306 三菱日聯金融

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  • 1813.5
  • +1.0+0.06%
延時20分鐘行情交易中 12/19 09:29 (東京)
21.88萬億總市值14.59市盈率(靜)

三菱日聯金融關鍵統計數據

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)
持續經營活動現金淨額
-173.30%-9.84萬億
36.50%13.43萬億
-71.81%9.84萬億
333.02%34.9萬億
43.70%8.06萬億
-54.44%5.61萬億
75.54%12.31萬億
3.83%7.01萬億
422.29%6.75萬億
-330.44%-2.1萬億
持續經營淨收入
30.59%2.05萬億
5.37%1.57萬億
42.98%1.49萬億
25.63%1.04萬億
-27.58%8,294.43億
-18.74%1.15萬億
8.15%1.41萬億
-13.05%1.3萬億
-7.18%1.5萬億
49.17%1.61萬億
持續經營損益
-157.14%-5.45萬億
38.95%-2.12萬億
-87.74%-3.47萬億
-7,697.71%-1.85萬億
103.57%243.44億
-975.03%-6,816.39億
207.91%778.99億
-97.41%252.99億
162.07%9,783.84億
-2.32%-1.58萬億
折舊攤銷及損耗
8.29%3,623.67億
-7.88%3,346.36億
2.19%3,632.5億
-49.46%3,554.5億
106.73%7,032.91億
0.41%3,402.01億
1.70%3,388.1億
5.61%3,331.48億
-0.78%3,154.58億
5.33%3,179.5億
資產減值支出
71.23%311.08億
-89.57%181.67億
322.24%1,741.33億
-37.31%412.4億
-64.38%657.86億
142.63%1,846.92億
649.08%761.22億
-24.25%101.62億
16.78%134.15億
3,581.73%114.87億
其他非現金項目
-103.55%-6,238.83億
-193.67%-3,065.04億
-48.33%3,272.31億
144.84%6,333.41億
-33.98%2,586.76億
151.21%3,918.34億
-33.25%-7,652.16億
70.53%-5,742.91億
-302.43%-1.95萬億
358.90%9,628.21億
營運資金變動
-139.45%-5.69萬億
28.60%14.41萬億
-67.79%11.21萬億
450.39%34.79萬億
39.17%6.32萬億
-60.13%4.54萬億
80.28%11.39萬億
52.45%6.32萬億
238.67%4.14萬億
-416.23%-2.99萬億
-應收款項(增)減
-283.15%-2,814.34億
115.71%1,536.62億
-6,294.70%-9,779.57億
--157.87億
----
----
----
----
---1.44萬億
----
-應付款項及遞延費用(減)增
-249.58%-1,255.34億
-63.13%839.26億
205.92%2,276.26億
---2,149.1億
----
----
----
----
---3.45萬億
----
-貸款(增)減
-1,108.73%-17.17萬億
-64.75%1.7萬億
-55.28%4.83萬億
229.07%10.8萬億
73.96%3.28萬億
-53.69%1.89萬億
1,050.10%4.07萬億
-89.65%3,542.45億
725.23%3.42萬億
7,853.51%4,146.96億
-其他流動資產變動
-1,037.53%-6,518.84億
87.88%-573.07億
16.85%-4,728.76億
-1,280.26%-5,687.23億
99.47%-412.04億
-325.20%-7.72萬億
172.24%3.43萬億
-1,730.04%-4.75萬億
-86.04%2,912.85億
--2.09萬億
-其他流動負債變動
-12.40%2.29萬億
237.09%2.62萬億
-1,991.55%-1.91萬億
-103.99%-913.05億
106.71%2.29萬億
115.39%1.11萬億
-562.95%-7.2萬億
182.83%1.55萬億
-63.88%5,496.34億
--1.52萬億
-其他營運資本變動
3.41%10.25萬億
4.23%9.91萬億
-61.73%9.51萬億
3,039.33%24.85萬億
-91.46%7,916.45億
-16.34%9.27萬億
21.03%11.08萬億
92.13%9.16萬億
167.98%4.77萬億
-1,002.50%-7.01萬億
已付利息(經營活動產生的現金流)
----
----
----
----
----
----
----
----
---6,540.26億
----
已收到的利息(經營活動產生的現金流)
----
----
----
----
----
----
----
----
--2.9萬億
----
已支付退稅
-10.34%-5,269.1億
-91.50%-4,775.32億
-123.70%-2,493.7億
21.73%-1,114.74億
54.59%-1,424.19億
-43.67%-3,136.12億
45.90%-2,182.91億
17.78%-4,034.77億
-12.14%-4,907.28億
---4,376.01億
非持續經營活動現金流
經營活動現金淨額
-173.30%-9.84萬億
36.50%13.43萬億
-71.81%9.84萬億
333.02%34.9萬億
43.70%8.06萬億
-54.44%5.61萬億
75.54%12.31萬億
3.83%7.01萬億
422.29%6.75萬億
-330.44%-2.1萬億
投資活動現金流量
持續投資活動現金淨額
137.34%3.99萬億
-384.63%-10.68萬億
78.28%-2.2萬億
-201.04%-10.14萬億
40.14%-3.37萬億
-894.48%-5.63萬億
-106.35%-5,658.76億
297.62%8.91萬億
-65.54%2.24萬億
152.43%6.5萬億
固定資產交易淨額
28.44%-513.68億
-277.45%-717.87億
77.48%-190.19億
-49.19%-844.45億
48.05%-566.02億
26.40%-1,089.46億
-64.62%-1,480.24億
-10.41%-899.18億
50.34%-814.37億
-639.04%-1,639.75億
無形資產交易淨額
-17.40%-3,325.89億
-0.66%-2,832.98億
-10.42%-2,814.51億
19.57%-2,548.96億
-10.98%-3,169.31億
-15.77%-2,855.78億
0.07%-2,466.78億
-6.66%-2,468.54億
-3.53%-2,314.49億
-5.48%-2,235.62億
業務交易的淨額
89.00%-1,963.21億
-158.76%-1.78萬億
-2,803.08%-6,897.42億
97.61%-237.59億
-89,934.36%-9,957.8億
84.38%-11.06億
63.11%-70.8億
-108.78%-191.93億
226.63%2,186.39億
129.94%669.37億
投資產品交易淨額
153.88%4.61萬億
-641.63%-8.57萬億
87.76%-1.15萬億
-399.73%-9.43萬億
64.12%-1.89萬億
-22,791.57%-5.26萬億
-100.24%-229.81億
308.43%9.41萬億
-65.74%2.3萬億
5.36%6.73萬億
其他投資活動淨額
-258.43%-481.9億
152.86%304.18億
83.30%-575.42億
-208.79%-3,446.18億
-487.57%-1,116.01億
120.41%287.95億
5.30%-1,411.12億
-598.47%-1,490.12億
-69.02%298.94億
1,741.16%964.95億
非持續投資現金淨額
投資活動現金流淨額
137.34%3.99萬億
-384.63%-10.68萬億
78.28%-2.2萬億
-201.04%-10.14萬億
40.14%-3.37萬億
-894.49%-5.63萬億
-106.35%-5,658.75億
297.62%8.91萬億
-65.54%2.24萬億
152.43%6.5萬億
融資活動現金流量
持續融資活動現金淨額
100.85%83.08億
9.56%-9,771.38億
-147.76%-1.08萬億
-73.28%-4,360.72億
48.04%-2,516.63億
-66.71%-4,843.56億
56.67%-2,905.36億
-535.01%-6,705.91億
90.87%-1,056.04億
-110.08%-1.16萬億
債務發行/償還的淨額
865.38%8,917.31億
79.32%-1,165.08億
-413.52%-5,633.89億
-123.84%-1,097.12億
117.43%4,602.04億
-47.27%2,116.61億
17.77%4,014.36億
-23.27%3,408.66億
489.28%4,442.58億
-124.60%-1,141.24億
普通股發行/回購的淨額
11.18%-3,978.59億
-192.53%-4,479.16億
-7,288.54%-1,531.16億
104.46%21.3億
69.36%-477.31億
21.66%-1,557.62億
8.65%-1,988.25億
-9.39%-2,176.63億
59.40%-1,989.71億
-63,659.27%-4,900.42億
優先股發行/償還的淨額
----
----
----
----
-48.65%-3,300億
-48.00%-2,220億
68.01%-1,500億
---4,689.56億
--0
---1,374億
現金股利支付
-15.59%-4,397.55億
-13.70%-3,804.47億
-3.99%-3,346.19億
-5.66%-3,217.72億
-10.23%-3,045.35億
-14.61%-2,762.79億
2.23%-2,410.67億
1.96%-2,465.63億
4.73%-2,514.97億
-22.18%-2,639.78億
其他融資活動的淨現金流額
-41.97%-458.1億
-10.11%-322.67億
-336.27%-293.04億
77.31%-67.17億
29.48%-296.02億
58.88%-419.79億
-30.41%-1,020.82億
21.25%-782.76億
34.21%-993.92億
-585.19%-1,510.77億
非持續融資活動現金淨額
融資活動現金流淨額
100.85%83.07億
9.56%-9,771.38億
-147.76%-1.08萬億
-73.28%-4,360.71億
48.04%-2,516.64億
-66.71%-4,843.59億
56.67%-2,905.38億
-535.02%-6,705.92億
90.87%-1,056.02億
-110.08%-1.16萬億
現金淨流量
期初現金流
2.59%113.63萬億
7.56%110.76萬億
31.46%102.98萬億
5.56%78.34萬億
-0.68%74.21萬億
17.61%74.71萬億
238.55%63.53萬億
87.83%18.76萬億
53.98%9.99萬億
79.26%6.49萬億
當期現金流變化
-428.74%-5.85萬億
-72.86%1.78萬億
-73.05%6.56萬億
447.85%24.33萬億
983.55%4.44萬億
-104.39%-5,026億
-24.89%11.45萬億
71.56%15.25萬億
173.57%8.89萬億
18,899.58%3.25萬億
利率變動影響
91.90%2.09萬億
-11.36%1.09萬億
288.22%1.23萬億
201.46%3,165.44億
-7,342.56%-3,119.92億
98.43%-41.92億
-486.15%-2,666.16億
60.52%-454.86億
-145.58%-1,152.14億
189.71%2,527.97億
現金變動之外的其他現金調整
341.84%45.95億
39.47%-19億
---31.39億
--0
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期末現金流
-3.30%109.88萬億
2.59%113.63萬億
7.56%110.76萬億
31.46%102.98萬億
5.56%78.34萬億
-0.68%74.21萬億
119.95%74.71萬億
81.03%33.97萬億
87.83%18.76萬億
170.79%9.99萬億
自由現金流
-179.11%-10.31萬億
37.80%13.03萬億
-72.60%9.46萬億
353.17%34.51萬億
46.98%7.61萬億
-56.48%5.18萬億
79.23%11.9萬億
3.68%6.64萬億
356.68%6.41萬億
-563.01%-2.5萬億
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
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
帶解釋段的無保留意見
無保留意見
帶解釋段的無保留意見
帶解釋段的無保留意見
帶解釋段的無保留意見
帶解釋段的無保留意見
無保留意見
無保留意見
無保留意見
無保留意見
(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)
持續經營活動現金淨額 -173.30%-9.84萬億36.50%13.43萬億-71.81%9.84萬億333.02%34.9萬億43.70%8.06萬億-54.44%5.61萬億75.54%12.31萬億3.83%7.01萬億422.29%6.75萬億-330.44%-2.1萬億
持續經營淨收入 30.59%2.05萬億5.37%1.57萬億42.98%1.49萬億25.63%1.04萬億-27.58%8,294.43億-18.74%1.15萬億8.15%1.41萬億-13.05%1.3萬億-7.18%1.5萬億49.17%1.61萬億
持續經營損益 -157.14%-5.45萬億38.95%-2.12萬億-87.74%-3.47萬億-7,697.71%-1.85萬億103.57%243.44億-975.03%-6,816.39億207.91%778.99億-97.41%252.99億162.07%9,783.84億-2.32%-1.58萬億
折舊攤銷及損耗 8.29%3,623.67億-7.88%3,346.36億2.19%3,632.5億-49.46%3,554.5億106.73%7,032.91億0.41%3,402.01億1.70%3,388.1億5.61%3,331.48億-0.78%3,154.58億5.33%3,179.5億
資產減值支出 71.23%311.08億-89.57%181.67億322.24%1,741.33億-37.31%412.4億-64.38%657.86億142.63%1,846.92億649.08%761.22億-24.25%101.62億16.78%134.15億3,581.73%114.87億
其他非現金項目 -103.55%-6,238.83億-193.67%-3,065.04億-48.33%3,272.31億144.84%6,333.41億-33.98%2,586.76億151.21%3,918.34億-33.25%-7,652.16億70.53%-5,742.91億-302.43%-1.95萬億358.90%9,628.21億
營運資金變動 -139.45%-5.69萬億28.60%14.41萬億-67.79%11.21萬億450.39%34.79萬億39.17%6.32萬億-60.13%4.54萬億80.28%11.39萬億52.45%6.32萬億238.67%4.14萬億-416.23%-2.99萬億
-應收款項(增)減 -283.15%-2,814.34億115.71%1,536.62億-6,294.70%-9,779.57億--157.87億-------------------1.44萬億----
-應付款項及遞延費用(減)增 -249.58%-1,255.34億-63.13%839.26億205.92%2,276.26億---2,149.1億-------------------3.45萬億----
-貸款(增)減 -1,108.73%-17.17萬億-64.75%1.7萬億-55.28%4.83萬億229.07%10.8萬億73.96%3.28萬億-53.69%1.89萬億1,050.10%4.07萬億-89.65%3,542.45億725.23%3.42萬億7,853.51%4,146.96億
-其他流動資產變動 -1,037.53%-6,518.84億87.88%-573.07億16.85%-4,728.76億-1,280.26%-5,687.23億99.47%-412.04億-325.20%-7.72萬億172.24%3.43萬億-1,730.04%-4.75萬億-86.04%2,912.85億--2.09萬億
-其他流動負債變動 -12.40%2.29萬億237.09%2.62萬億-1,991.55%-1.91萬億-103.99%-913.05億106.71%2.29萬億115.39%1.11萬億-562.95%-7.2萬億182.83%1.55萬億-63.88%5,496.34億--1.52萬億
-其他營運資本變動 3.41%10.25萬億4.23%9.91萬億-61.73%9.51萬億3,039.33%24.85萬億-91.46%7,916.45億-16.34%9.27萬億21.03%11.08萬億92.13%9.16萬億167.98%4.77萬億-1,002.50%-7.01萬億
已付利息(經營活動產生的現金流) -----------------------------------6,540.26億----
已收到的利息(經營活動產生的現金流) ----------------------------------2.9萬億----
已支付退稅 -10.34%-5,269.1億-91.50%-4,775.32億-123.70%-2,493.7億21.73%-1,114.74億54.59%-1,424.19億-43.67%-3,136.12億45.90%-2,182.91億17.78%-4,034.77億-12.14%-4,907.28億---4,376.01億
非持續經營活動現金流
經營活動現金淨額 -173.30%-9.84萬億36.50%13.43萬億-71.81%9.84萬億333.02%34.9萬億43.70%8.06萬億-54.44%5.61萬億75.54%12.31萬億3.83%7.01萬億422.29%6.75萬億-330.44%-2.1萬億
投資活動現金流量
持續投資活動現金淨額 137.34%3.99萬億-384.63%-10.68萬億78.28%-2.2萬億-201.04%-10.14萬億40.14%-3.37萬億-894.48%-5.63萬億-106.35%-5,658.76億297.62%8.91萬億-65.54%2.24萬億152.43%6.5萬億
固定資產交易淨額 28.44%-513.68億-277.45%-717.87億77.48%-190.19億-49.19%-844.45億48.05%-566.02億26.40%-1,089.46億-64.62%-1,480.24億-10.41%-899.18億50.34%-814.37億-639.04%-1,639.75億
無形資產交易淨額 -17.40%-3,325.89億-0.66%-2,832.98億-10.42%-2,814.51億19.57%-2,548.96億-10.98%-3,169.31億-15.77%-2,855.78億0.07%-2,466.78億-6.66%-2,468.54億-3.53%-2,314.49億-5.48%-2,235.62億
業務交易的淨額 89.00%-1,963.21億-158.76%-1.78萬億-2,803.08%-6,897.42億97.61%-237.59億-89,934.36%-9,957.8億84.38%-11.06億63.11%-70.8億-108.78%-191.93億226.63%2,186.39億129.94%669.37億
投資產品交易淨額 153.88%4.61萬億-641.63%-8.57萬億87.76%-1.15萬億-399.73%-9.43萬億64.12%-1.89萬億-22,791.57%-5.26萬億-100.24%-229.81億308.43%9.41萬億-65.74%2.3萬億5.36%6.73萬億
其他投資活動淨額 -258.43%-481.9億152.86%304.18億83.30%-575.42億-208.79%-3,446.18億-487.57%-1,116.01億120.41%287.95億5.30%-1,411.12億-598.47%-1,490.12億-69.02%298.94億1,741.16%964.95億
非持續投資現金淨額
投資活動現金流淨額 137.34%3.99萬億-384.63%-10.68萬億78.28%-2.2萬億-201.04%-10.14萬億40.14%-3.37萬億-894.49%-5.63萬億-106.35%-5,658.75億297.62%8.91萬億-65.54%2.24萬億152.43%6.5萬億
融資活動現金流量
持續融資活動現金淨額 100.85%83.08億9.56%-9,771.38億-147.76%-1.08萬億-73.28%-4,360.72億48.04%-2,516.63億-66.71%-4,843.56億56.67%-2,905.36億-535.01%-6,705.91億90.87%-1,056.04億-110.08%-1.16萬億
債務發行/償還的淨額 865.38%8,917.31億79.32%-1,165.08億-413.52%-5,633.89億-123.84%-1,097.12億117.43%4,602.04億-47.27%2,116.61億17.77%4,014.36億-23.27%3,408.66億489.28%4,442.58億-124.60%-1,141.24億
普通股發行/回購的淨額 11.18%-3,978.59億-192.53%-4,479.16億-7,288.54%-1,531.16億104.46%21.3億69.36%-477.31億21.66%-1,557.62億8.65%-1,988.25億-9.39%-2,176.63億59.40%-1,989.71億-63,659.27%-4,900.42億
優先股發行/償還的淨額 -----------------48.65%-3,300億-48.00%-2,220億68.01%-1,500億---4,689.56億--0---1,374億
現金股利支付 -15.59%-4,397.55億-13.70%-3,804.47億-3.99%-3,346.19億-5.66%-3,217.72億-10.23%-3,045.35億-14.61%-2,762.79億2.23%-2,410.67億1.96%-2,465.63億4.73%-2,514.97億-22.18%-2,639.78億
其他融資活動的淨現金流額 -41.97%-458.1億-10.11%-322.67億-336.27%-293.04億77.31%-67.17億29.48%-296.02億58.88%-419.79億-30.41%-1,020.82億21.25%-782.76億34.21%-993.92億-585.19%-1,510.77億
非持續融資活動現金淨額
融資活動現金流淨額 100.85%83.07億9.56%-9,771.38億-147.76%-1.08萬億-73.28%-4,360.71億48.04%-2,516.64億-66.71%-4,843.59億56.67%-2,905.38億-535.02%-6,705.92億90.87%-1,056.02億-110.08%-1.16萬億
現金淨流量
期初現金流 2.59%113.63萬億7.56%110.76萬億31.46%102.98萬億5.56%78.34萬億-0.68%74.21萬億17.61%74.71萬億238.55%63.53萬億87.83%18.76萬億53.98%9.99萬億79.26%6.49萬億
當期現金流變化 -428.74%-5.85萬億-72.86%1.78萬億-73.05%6.56萬億447.85%24.33萬億983.55%4.44萬億-104.39%-5,026億-24.89%11.45萬億71.56%15.25萬億173.57%8.89萬億18,899.58%3.25萬億
利率變動影響 91.90%2.09萬億-11.36%1.09萬億288.22%1.23萬億201.46%3,165.44億-7,342.56%-3,119.92億98.43%-41.92億-486.15%-2,666.16億60.52%-454.86億-145.58%-1,152.14億189.71%2,527.97億
現金變動之外的其他現金調整 341.84%45.95億39.47%-19億---31.39億--0------------------------
期末現金流 -3.30%109.88萬億2.59%113.63萬億7.56%110.76萬億31.46%102.98萬億5.56%78.34萬億-0.68%74.21萬億119.95%74.71萬億81.03%33.97萬億87.83%18.76萬億170.79%9.99萬億
自由現金流 -179.11%-10.31萬億37.80%13.03萬億-72.60%9.46萬億353.17%34.51萬億46.98%7.61萬億-56.48%5.18萬億79.23%11.9萬億3.68%6.64萬億356.68%6.41萬億-563.01%-2.5萬億
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 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 帶解釋段的無保留意見無保留意見帶解釋段的無保留意見帶解釋段的無保留意見帶解釋段的無保留意見帶解釋段的無保留意見無保留意見無保留意見無保留意見無保留意見