(FY)Mar 31, 2024 | (FY)Mar 31, 2023 | (FY)Mar 31, 2022 | (FY)Mar 31, 2021 | (FY)Mar 31, 2020 | (FY)Mar 31, 2019 | (FY)Mar 31, 2018 | (FY)Mar 31, 2017 | (FY)Mar 31, 2016 | (FY)Mar 31, 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | 876.59%53.91B | -75.74%5.52B | -40.83%22.75B | -4.47%38.45B | 101.00%40.25B | -46.99%20.03B | 22.95%37.78B | -12.76%30.73B | 74.73%35.22B | 664.20%20.16B |
Net profit before non-cash adjustment | 13.78%35.89B | 14.63%31.55B | 161.45%27.52B | -50.04%10.53B | -20.64%21.07B | -0.61%26.55B | 8.44%26.71B | 98.12%24.63B | 6.68%12.43B | 87.80%11.66B |
Total adjustment of non-cash items | -45.48%10.2B | 18.30%18.7B | 0.45%15.81B | 47.13%15.74B | -9.82%10.7B | -24.19%11.86B | -7.88%15.64B | -21.56%16.98B | 69.02%21.65B | 238.24%12.81B |
-Depreciation and amortization | 7.18%17.89B | -5.94%16.7B | 3.39%17.75B | 3.18%17.17B | 4.41%16.64B | 0.42%15.94B | 4.72%15.87B | -4.23%15.15B | 5.87%15.82B | 350.45%14.95B |
-Reversal of impairment losses recognized in profit and loss | 107.01%797M | -65.00%385M | -48.67%1.1B | 211.03%2.14B | 2.38%689M | -53.75%673M | -44.19%1.46B | -47.59%2.61B | 226.81%4.97B | 102.39%1.52B |
-Assets reserve and write-off | --129M | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Disposal profit | 34.99%-366M | 51.72%-563M | -266.33%-1.17B | 227.22%701M | -63.50%-551M | -9.06%-337M | -291.93%-309M | 146.80%161M | 86.28%-344M | -5,797.73%-2.51B |
-Other non-cash items | -478.46%-8.26B | 216.25%2.18B | 56.10%-1.88B | 29.69%-4.28B | -37.82%-6.08B | -221.41%-4.41B | -46.06%-1.37B | -178.53%-940M | 203.91%1.2B | -252.29%-1.15B |
Changes in working capital | 117.49%7.82B | -117.42%-44.72B | -268.70%-20.57B | 43.53%12.19B | 146.22%8.5B | -301.88%-18.38B | 58.00%-4.57B | -1,053.33%-10.89B | 126.53%1.14B | 68.28%-4.3B |
-Change in receivables | 58.92%-4.04B | 1.07%-9.84B | -422.58%-9.94B | -62.16%3.08B | 682.42%8.15B | 109.31%1.04B | -178.07%-11.18B | -3,479.83%-4.02B | 122.08%119M | 81.88%-539M |
-Change in inventory | 118.35%6.47B | -140.56%-35.24B | -253.24%-14.65B | 555.11%9.56B | 111.59%1.46B | -1,505.74%-12.59B | 91.59%-784M | -334.87%-9.32B | 162.89%3.97B | 37.76%-6.31B |
-Change in payables | 40.42%2.76B | -45.65%1.97B | 223.30%3.62B | -2,083.11%-2.94B | 103.15%148M | -200.36%-4.69B | 127.88%4.68B | 451.97%2.05B | -118.01%-583M | 845.85%3.24B |
-Provision for loans, leases and other losses | 80.70%-468M | -123.71%-2.43B | 24.98%-1.08B | -162.25%-1.45B | 51.45%-551M | -53.59%-1.14B | 40.40%-739M | 11.68%-1.24B | -64.79%-1.4B | -653.25%-852M |
-Changes in other current assets | -529.85%-1.73B | 173.22%402M | -191.04%-549M | 61.23%603M | 198.42%374M | -19.12%-380M | -176.68%-319M | 177.33%416M | -89.58%150M | 1,270.73%1.44B |
-Changes in other current liabilities | 1,098.51%4.83B | -80.18%403M | -38.95%2.03B | 408.33%3.33B | -73.63%-1.08B | -116.47%-622M | 207.32%3.78B | 210.82%1.23B | 13.29%-1.11B | -2,407.84%-1.28B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | ||||||||||
Interest received (cash flow from operating activities) | ||||||||||
Tax refund paid | -35.20%-7.5B | -58.29%-5.55B | 31.22%-3.5B | 20.11%-5.09B | -2.87%-6.38B | 22.94%-6.2B | -69.02%-8.04B | -3.28%-4.76B | -103.04%-4.61B | -457.49%-2.27B |
Other operating cash inflow (outflow) | 719,200.00%7.19B | 1M | 0 | 0 | 124.82%5.3B | 2.36B | 0 | -1M | 0 | -1M |
Operating cash flow | 223,450.00%53.6B | -100.12%-24M | -42.30%19.25B | -14.85%33.36B | 142.03%39.18B | -45.57%16.19B | 14.51%29.74B | -15.18%25.97B | 71.14%30.62B | 549.47%17.89B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 0.70%-15.6B | -54.27%-15.71B | 54.37%-10.19B | -2.23%-22.32B | -27.88%-21.84B | 8.43%-17.08B | -36.18%-18.65B | 28.60%-13.69B | -53.95%-19.18B | -315.34%-12.46B |
Net intangibles purchase and sale | 81.28%-1.76B | -324.42%-9.38B | ---2.21B | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Net business purchase and sale | 62.39%-1.47B | -36.82%-3.91B | -134.87%-2.86B | 627.90%8.19B | -181.68%-1.55B | 222.42%1.9B | -145.89%-1.55B | 5,468.25%3.38B | -101.68%-63M | 437.52%3.76B |
Net investment product transactions | -157.08%-1.76B | 215.69%3.08B | 1,850.00%975M | 109.35%50M | -165.81%-535M | 56.05%813M | 127.83%521M | 4.88%-1.87B | -1,231.03%-1.97B | 357.89%174M |
Advance cash and loans provided to other parties | -2,295.56%-1.08B | 51.09%-45M | -124.39%-92M | 32.79%-41M | 54.48%-61M | 82.51%-134M | -67.61%-766M | -92.83%-457M | -47.20%-237M | ---161M |
Repayment of advance payments to other parties and cash income from loans | 145.18%738M | 16.67%301M | -70.65%258M | 125.96%879M | -66.23%389M | 54.84%1.15B | -3.00%744M | 33.39%767M | -7.26%575M | 68.02%620M |
Interest received (cash flow from investment activities) | 16.99%1.94B | -5.86%1.65B | 22.70%1.76B | -28.86%1.43B | 2.13%2.01B | -37.90%1.97B | 73.54%3.17B | 7.08%1.83B | -10.72%1.71B | 105.04%1.91B |
Net changes in other investments | -59.24%64M | -92.51%157M | 1,227.42%2.1B | 78.47%-186M | -79.63%-864M | -131.03%-481M | 247.06%1.55B | 7.71%-1.05B | -21.88%-1.14B | 76.53%-937M |
Investing cash flow | 20.67%-18.93B | -132.60%-23.86B | 14.49%-10.26B | 46.55%-12B | -89.35%-22.45B | 20.84%-11.85B | -34.95%-14.98B | 45.34%-11.1B | -186.48%-20.3B | -4.76%-7.09B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -147.29%-20.53B | 473.89%43.41B | -278.79%-11.61B | -94.36%-3.07B | 21.03%-1.58B | 72.54%-2B | 13.68%-7.27B | -35.36%-8.43B | -11.20%-6.23B | -146.68%-5.6B |
Net common stock issuance | 95.08%-265M | -134,425.00%-5.38B | 20.00%-4M | 0.00%-5M | 66.67%-5M | -25.00%-15M | 25.00%-12M | -100.00%-16M | 60.00%-8M | ---20M |
Cash dividends paid | -74.75%-5.04B | -37.48%-2.88B | -0.05%-2.1B | 0.10%-2.1B | 0.00%-2.1B | 11.06%-2.1B | -49.97%-2.36B | -0.06%-1.57B | 2.24%-1.57B | ---1.61B |
Cash dividends for minorities | 0.97%-2.14B | -43.46%-2.16B | 7.38%-1.51B | -39.60%-1.63B | 16.92%-1.16B | -13.17%-1.4B | -11.43%-1.24B | -60.32%-1.11B | -4.68%-693M | -660.92%-662M |
Interest paid (cash flow from financing activities) | -56.85%-3.46B | -54.45%-2.2B | 5.43%-1.43B | 13.62%-1.51B | 2.51%-1.75B | -1.64%-1.79B | 9.82%-1.76B | 26.28%-1.96B | -2.04%-2.65B | -69.76%-2.6B |
Net other fund-raising expenses | -206.68%-1.52B | 11.31%-494M | 77.83%-557M | -364.33%-2.51B | 3.39%-541M | 16.29%-560M | -24.58%-669M | 45.04%-537M | -274.33%-977M | -770.00%-261M |
Financing cash flow | -208.77%-32.94B | 276.09%30.29B | -59.08%-17.2B | -51.60%-10.81B | 9.30%-7.13B | 40.94%-7.86B | 2.23%-13.31B | -12.29%-13.62B | -12.83%-12.13B | -203.90%-10.75B |
Net cash flow | ||||||||||
Beginning cash position | 36.55%33.36B | -21.59%24.43B | 43.10%31.16B | 88.10%21.77B | -23.78%11.58B | 13.96%15.19B | 10.98%13.33B | -13.92%12.01B | 687.75%13.95B | -21.46%1.77B |
Current changes in cash | -72.92%1.73B | 178.01%6.4B | -177.79%-8.21B | 9.92%10.55B | 371.98%9.6B | -343.78%-3.53B | 15.47%1.45B | 169.13%1.25B | -3,459.26%-1.81B | 113.50%54M |
Effect of exchange rate changes | -15.02%1.81B | 43.70%2.13B | 226.97%1.48B | -466.14%-1.17B | 498.75%319M | -119.42%-80M | 543.75%412M | 145.07%64M | -283.78%-142M | 55.42%-37M |
Cash adjustments other than cash changes | ---- | --395M | ---- | -100.36%-1M | 13,950.00%277M | ---2M | ---- | ---- | -99.88%14M | 1,216,400.00%12.16B |
End cash Position | 10.63%36.91B | 36.55%33.36B | -21.59%24.43B | 43.10%31.16B | 88.10%21.77B | -23.78%11.58B | 13.96%15.19B | 10.98%13.33B | -13.92%12.01B | 687.75%13.95B |
Free cash flow | 218.19%35.18B | -1,440.86%-29.77B | -79.04%2.22B | -29.62%10.59B | 1,315.35%15.05B | -112.54%-1.24B | -14.20%9.87B | 12.64%11.51B | 115.12%10.22B | 167.85%4.75B |
Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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