(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 | -66.69%82.15B | 155.72%246.58B | 38.39%96.43B | -75.27%69.68B | 211.19%281.78B | -41.21%90.55B | -13.65%154.02B | 39.87%178.36B | 65.27%127.51B | 102.72%77.15B |
Net profit before non-cash adjustment | -5.80%107.11B | 102.03%113.71B | -58.18%56.28B | -17.19%134.57B | -1.29%162.5B | 19.99%164.64B | -4.04%137.21B | 33.32%142.99B | 80.92%107.26B | 53.10%59.28B |
Total adjustment of non-cash items | -43.87%1.91B | -33.61%3.4B | -53.94%5.12B | -32.92%11.12B | 83.59%16.58B | 124.43%9.03B | -31.59%4.02B | -29.78%5.88B | -49.69%8.38B | 15.86%16.65B |
-Depreciation and amortization | 13.27%27.12B | 15.71%23.94B | 3.26%20.69B | 0.79%20.04B | 12.49%19.88B | 20.55%17.67B | -2.15%14.66B | 3.49%14.98B | 0.58%14.48B | 18.91%14.39B |
-Reversal of impairment losses recognized in profit and loss | 1,583.62%4.83B | -54.08%287M | --625M | ---- | --511M | --0 | ---- | -80.11%562M | -59.20%2.83B | 17.69%6.93B |
-Disposal profit | -63.57%-21.92B | -25.55%-13.4B | -102.81%-10.67B | 63.34%-5.26B | -29.11%-14.36B | 26.76%-11.12B | -23.59%-15.18B | 5.81%-12.28B | -1.11%-13.04B | 11.67%-12.9B |
-Other non-cash items | -9.35%-8.12B | -34.55%-7.43B | -51.08%-5.52B | -134.65%-3.65B | 325.68%10.54B | -45.50%2.48B | 73.34%4.55B | -36.28%2.62B | -50.00%4.12B | -25.08%8.23B |
Changes in working capital | -120.75%-26.87B | 269.76%129.48B | 146.06%35.02B | -174.02%-76.02B | 223.56%102.7B | -750.38%-83.12B | -56.66%12.78B | 148.19%29.49B | 874.73%11.88B | 108.11%1.22B |
-Change in receivables | -359.46%-193.8B | 177.24%74.69B | -760.24%-96.71B | -82.65%14.65B | 186.17%84.44B | -170.23%-98B | -74.85%-36.26B | 29.37%-20.74B | 3.79%-29.37B | 73.34%-30.52B |
-Change in inventory | -93.52%1.69B | -23.35%26.05B | 258.88%33.99B | -471.62%-21.39B | -123.93%-3.74B | 284.56%15.64B | -1,578.71%-8.47B | 127.86%573M | -114.77%-2.06B | -39.21%13.93B |
-Change in payables | 329.87%125.77B | -32.14%29.26B | 155.50%43.11B | -420.56%-77.68B | -195.96%-14.92B | -35.35%15.55B | -18.28%24.05B | 285.11%29.43B | -142.64%-15.9B | -4.51%37.29B |
-Provision for loans, leases and other losses | 66.72%-2.6B | -120.07%-7.82B | 1,163.56%38.94B | -203.98%-3.66B | 202.00%3.52B | -145.53%-3.45B | 242.25%7.58B | -8,696.77%-5.33B | -97.65%62M | 621.10%2.64B |
-Changes in other current assets | 152.20%14.41B | -57,425.00%-27.61B | -100.19%-48M | 215.64%24.93B | 180.96%7.9B | -317.26%-9.76B | 146.79%4.49B | -115.82%-9.6B | 367.82%60.65B | -150.17%-22.64B |
-Changes in other current liabilities | -20.75%27.66B | 121.81%34.9B | 222.29%15.74B | -150.45%-12.87B | 921.65%25.5B | -114.51%-3.1B | -39.15%21.39B | 2,437.17%35.15B | -385.39%-1.5B | 107.41%527M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -49.06%-3.63B | -21.84%-2.44B | -9.34%-2B | -2.98%-1.83B | 3.48%-1.78B | 14.89%-1.84B | 14.51%-2.16B | 2.99%-2.53B | 21.21%-2.61B | -1.69%-3.31B |
Interest received (cash flow from operating activities) | 27.31%11.05B | 7.40%8.68B | 3.21%8.08B | -19.29%7.83B | 0.93%9.7B | 4.16%9.61B | 2.04%9.23B | -4.30%9.04B | 0.68%9.45B | 2.54%9.38B |
Tax refund paid | -60.71%-39.16B | 25.73%-24.37B | 31.30%-32.81B | 0.50%-47.75B | 10.96%-47.99B | -14.57%-53.9B | -81.08%-47.04B | -177.16%-25.98B | -9.24%-9.37B | -43.19%-8.58B |
Other operating cash inflow (outflow) | 0 | 0 | 99.97%-1M | 23.66%-3.12B | -1,790.28%-4.08B | -21,500.00%-216M | 0.00%-1M | -1M | 0 | 0.00%-1M |
Operating cash flow | -77.94%50.4B | 227.78%228.46B | 181.00%69.7B | -89.56%24.8B | 437.58%237.63B | -61.24%44.2B | -28.23%114.03B | 27.13%158.89B | 67.43%124.98B | 96.63%74.65B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 19.41%-77.17B | -67.35%-95.75B | -4.59%-57.22B | -16.48%-54.71B | -30.00%-46.97B | 46.35%-36.13B | -83.42%-67.34B | 33.55%-36.71B | -257.01%-55.24B | 74.86%-15.47B |
Net business purchase and sale | -232.23%-14.45B | 61.22%-4.35B | -68.13%-11.22B | -5,803.54%-6.67B | ---113M | ---- | ---3.48B | ---- | -237.78%-62M | -94.25%45M |
Net investment product transactions | 54.81%35.24B | 70.27%22.76B | 5,446.47%13.37B | 563.46%241M | 99.44%-52M | -1,412.01%-9.31B | 48.24%-616M | -116.78%-1.19B | 50.23%7.09B | -65.90%4.72B |
Advance cash and loans provided to other parties | 20.39%-289M | 11.89%-363M | -421.52%-412M | 80.64%-79M | -216.28%-408M | 11.03%-129M | 59.94%-145M | -59.47%-362M | -328.30%-227M | 97.74%-53M |
Repayment of advance payments to other parties and cash income from loans | -16.67%30M | -89.74%36M | 108.93%351M | -25.00%168M | -17.04%224M | -7.22%270M | -23.22%291M | 124.26%379M | -94.98%169M | 90.71%3.37B |
Net changes in other investments | -16.23%-27.83B | -552.44%-23.94B | 129.35%5.29B | -901,350.00%-18.03B | ---2M | ---- | ---- | ---- | 608.33%244M | -125.81%-48M |
Investing cash flow | 16.87%-84.47B | -103.90%-101.61B | 36.98%-49.83B | -67.11%-79.08B | -4.45%-47.32B | 36.45%-45.3B | -88.18%-71.29B | 21.12%-37.88B | -545.38%-48.03B | 84.28%-7.44B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -137.56%-19.67B | 302.97%52.37B | -26.45%13B | 177.16%17.67B | -508.56%-22.9B | 26.07%-3.76B | 92.94%-5.09B | -20.89%-72.08B | -117.64%-59.63B | -177.54%-27.4B |
Net common stock issuance | -3,566.67%-110M | 99.62%-3M | -26,333.33%-793M | ---3M | ---- | ---- | ---- | ---- | ---- | ---- |
Increase or decrease of lease financing | -32.14%-518M | 55.45%-392M | 0.34%-880M | -156.69%-883M | -221.50%-344M | -8.08%-107M | -6.45%-99M | 14.68%-93M | 31.45%-109M | -8.16%-159M |
Cash dividends paid | -13.51%-30.16B | -15.62%-26.57B | 0.00%-22.98B | 5.88%-22.98B | -21.43%-24.41B | 15.15%-20.11B | -50.00%-23.7B | -99.99%-15.8B | -37.49%-7.9B | 0.00%-5.75B |
Cash dividends for minorities | 31.49%-1.46B | -166.04%-2.13B | 54.33%-801M | -28.03%-1.75B | -68.30%-1.37B | 26.00%-814M | 7.41%-1.1B | -21.35%-1.19B | -26.98%-979M | 40.14%-771M |
Net other fund-raising expenses | 99.31%-8M | -38,666.67%-1.16B | 99.44%-3M | -44.86%-536M | -988.24%-370M | 99.86%-34M | -272,822.22%-24.56B | 97.46%-9M | 21.46%-355M | 20.14%-452M |
Financing cash flow | -334.75%-51.92B | 277.55%22.12B | -46.85%-12.46B | 82.83%-8.48B | -99.00%-49.4B | 54.49%-24.82B | 38.82%-54.55B | -29.29%-89.17B | -99.77%-68.97B | -225.14%-34.52B |
Net cash flow | ||||||||||
Beginning cash position | 62.70%405.63B | 5.43%249.32B | -20.90%236.47B | 89.57%298.95B | -14.66%157.7B | -4.85%184.78B | 17.84%194.2B | 1.35%164.8B | 34.19%162.61B | 21.55%121.18B |
Current changes in cash | -157.73%-85.99B | 1,911.12%148.96B | 111.80%7.41B | -144.53%-62.76B | 643.60%140.91B | -119.62%-25.92B | -137.07%-11.8B | 298.84%31.84B | -75.57%7.98B | 79.36%32.68B |
Effect of exchange rate changes | -4.12%7.05B | 35.23%7.35B | 1,807.37%5.44B | -14.16%285M | 128.57%332M | -148.60%-1.16B | 197.63%2.39B | 57.69%-2.45B | -166.16%-5.79B | 167.96%8.75B |
Cash adjustments other than cash changes | 0.00%1M | --1M | ---- | -200.00%-1M | --1M | ---- | ---- | 0.00%-1M | ---1M | ---- |
End cash Position | -19.46%326.69B | 62.70%405.63B | 5.43%249.32B | -20.90%236.47B | 89.57%298.95B | -14.66%157.7B | -4.85%184.78B | 17.84%194.2B | 1.35%164.8B | 34.19%162.61B |
Free cash flow | -121.23%-27.99B | 1,030.26%131.87B | 135.76%11.67B | -117.16%-32.63B | 2,385.39%190.16B | -81.81%7.65B | -64.69%42.07B | 80.97%119.14B | 96.19%65.83B | 211.01%33.56B |
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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