Twenty-four seven
7074
Alpico Holdings
297A
Branding Technology
7067
Estore
4304
Axel Mark
3624
(FY)Nov 30, 2023 | (FY)Nov 30, 2022 | |
---|---|---|
Operating cash flow (Indirect Method) | ||
Cash from operating activities | -210.69%-1.56B | 1.41B |
Net profit before non-cash adjustment | -45.84%117.78M | --217.46M |
Total adjustment of non-cash items | -124.49%-537.47M | ---239.42M |
-Depreciation and amortization | -48.36%7M | --13.55M |
-Reversal of impairment losses recognized in profit and loss | --0 | --28.62M |
-Disposal profit | --0 | --0 |
-Net exchange gains and losses | 77.37%-66.14M | ---292.27M |
-Other non-cash items | -4,577.06%-478.33M | --10.68M |
Changes in working capital | -179.58%-1.14B | --1.43B |
-Change in receivables | 407.47%94.26M | ---30.66M |
-Change in inventory | -228.09%-119.94M | ---36.56M |
-Change in prepaid assets | 143.37%97.96M | ---225.87M |
-Change in payables | -71.10%49.33M | --170.67M |
-Provision for loans, leases and other losses | -713.08%-8.15M | --1.33M |
-Changes in other current assets | -180.69%-1.25B | --1.55B |
Dividends paid (cash flow from operating activities) | ||
Dividends received (cash flow from operating activities) | ||
Interest paid (cash flow from operating activities) | -282.16%-3.11M | -813K |
Interest received (cash flow from operating activities) | 3,640.51%2.96M | 79K |
Tax refund paid | -201.01%-1.2M | 1.19M |
Other operating cash inflow (outflow) | 471.29M | 0 |
Operating cash flow | -177.23%-1.09B | --1.41B |
Investing cash flow | ||
Net PPE purchase and sale | -361.28%-18.59M | ---4.03M |
Net intangibles purchase and sale | 72.24%-7.3M | ---26.31M |
Net changes in other investments | 345.73%2.74M | ---1.11M |
Investing cash flow | 26.38%-23.15M | ---31.45M |
Financing cash flow | ||
Net issuance payments of debt | -40.31%-20.71M | ---14.76M |
Net common stock issuance | -65.85%23.88M | --69.92M |
Increase or decrease of lease financing | 29.59%-1.53M | ---2.17M |
Net other fund-raising expenses | 0.00%-1K | ---1K |
Financing cash flow | -96.91%1.64M | --52.99M |
Net cash flow | ||
Beginning cash position | 434.21%2.12B | --396.03M |
Current changes in cash | -177.57%-1.11B | --1.43B |
Effect of exchange rate changes | -77.37%66.14M | --292.27M |
Cash adjustments other than cash changes | -150.00%-1K | --2K |
End cash Position | -49.21%1.07B | --2.12B |
Free cash flow | -180.81%-1.11B | --1.38B |
Currency Unit | JPY | JPY |
Accounting Standards | NonUS-GAAP | NonUS-GAAP |