(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 | -7.00%57.22B | 71.35%61.53B | 23,525.00%35.91B | -99.29%152M | -30.37%21.32B | -57.42%30.62B | 86.55%71.92B | -14.51%38.56B | -15.99%45.1B | 12.93%53.68B |
Net profit before non-cash adjustment | 98.08%55.12B | 150.31%27.83B | 135.86%11.12B | -1,245.94%-31B | -115.11%-2.3B | 526.55%15.24B | -83.47%2.43B | -48.12%14.72B | 1.93%28.38B | -16.53%27.84B |
Total adjustment of non-cash items | -17.95%20.72B | 102.59%25.26B | -42.39%12.47B | -35.77%21.64B | -1.80%33.69B | -28.30%34.3B | 51.18%47.84B | 15.70%31.65B | -12.94%27.35B | 16.15%31.42B |
-Depreciation and amortization | -1.83%25.15B | 3.09%25.62B | -9.54%24.85B | -7.31%27.48B | 3.39%29.64B | -12.16%28.67B | 22.43%32.64B | 6.23%26.66B | 1.90%25.09B | 3.74%24.63B |
-Reversal of impairment losses recognized in profit and loss | -46.78%2.66B | 94.55%5B | -32.70%2.57B | -60.37%3.82B | -71.16%9.64B | 160.19%33.42B | 21.49%12.85B | 56.06%10.57B | 157.60%6.78B | -0.38%2.63B |
-Share of associates | -284.95%-6.93B | 22.57%-1.8B | -16.13%-2.33B | 10.10%-2B | 27.14%-2.23B | 13.81%-3.06B | 16.77%-3.55B | 22.79%-4.26B | -147.14%-5.52B | 56.91%-2.23B |
-Disposal profit | -19.21%984M | 119.79%1.22B | -75.13%-6.15B | -10.92%-3.51B | 87.44%-3.17B | -1,053.42%-25.22B | 31.66%2.65B | -56.36%2.01B | 29.25%4.6B | 48.11%3.56B |
-Other non-cash items | 76.09%-1.14B | 26.15%-4.79B | -56.46%-6.48B | -1,980.90%-4.14B | -140.78%-199M | -85.05%488M | 198.02%3.26B | 7.50%-3.33B | -226.94%-3.6B | -17.84%2.84B |
Changes in working capital | -320.51%-18.62B | -31.51%8.45B | 29.61%12.33B | 194.57%9.51B | 46.84%-10.06B | -187.44%-18.92B | 376.96%21.64B | 26.51%-7.81B | -90.69%-10.63B | 56.67%-5.58B |
-Change in receivables | -224.90%-34.12B | -331.84%-10.5B | -0.64%4.53B | -71.47%4.56B | 196.07%15.98B | -248.72%-16.63B | 328.67%11.18B | -70.92%-4.89B | -128.46%-2.86B | 134.93%10.05B |
-Change in inventory | -33.26%899M | -67.38%1.35B | -64.42%4.13B | 119.67%11.61B | 53.35%5.28B | -57.34%3.45B | 256.98%8.08B | 197.80%2.26B | 23.18%-2.31B | -630.83%-3.01B |
-Change in payables | -11.19%14.3B | 260.04%16.1B | 173.94%4.47B | 77.53%-6.05B | -594.45%-26.91B | -173.75%-3.88B | 291.19%5.25B | 41.61%-2.75B | 53.40%-4.71B | -158.24%-10.1B |
-Change in accrued expense | -61.05%356M | 249.84%914M | -9.52%-610M | 83.15%-557M | -3,700.00%-3.31B | -108.35%-87M | 160.76%1.04B | -2,327.27%-1.72B | -39.84%77M | 106.41%128M |
-Provision for loans, leases and other losses | -110.46%-61M | 406.84%583M | -322.22%-190M | 95.92%-45M | 37.89%-1.1B | 54.59%-1.78B | -440.94%-3.91B | 12.89%-723M | 68.64%-830M | -371.21%-2.65B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | 5.62%-739M | 8.10%-783M | 2.41%-852M | 9.16%-873M | -24.97%-961M | 9.21%-769M | 16.80%-847M | 6.78%-1.02B | 13.40%-1.09B | 5.26%-1.26B |
Interest received (cash flow from operating activities) | 44.84%5.88B | 17.04%4.06B | 0.14%3.47B | -6.46%3.46B | -11.54%3.7B | -14.94%4.19B | 7.03%4.92B | -14.92%4.6B | 4.16%5.4B | 12.88%5.19B |
Tax refund paid | -465.93%-5.47B | 189.78%1.49B | 77.94%-1.66B | 3.07%-7.54B | -35.27%-7.78B | -90.18%-5.75B | 55.25%-3.03B | -7.15%-6.76B | 22.69%-6.31B | -70.88%-8.16B |
Other operating cash inflow (outflow) | 1M | 0 | -82.46%1.05B | 599,900.00%6B | -1M | 0 | 200.00%1M | 0.00%-1M | -1M | 0 |
Operating cash flow | -14.19%56.9B | 74.87%66.3B | 3,067.42%37.91B | -92.65%1.2B | -42.44%16.28B | -61.24%28.29B | 106.29%72.97B | -17.93%35.37B | -12.84%43.1B | 7.44%49.45B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -66.56%-21.32B | 4.36%-12.8B | 42.65%-13.38B | -90.39%-23.33B | 32.33%-12.26B | 23.41%-18.11B | -21.94%-23.65B | 28.11%-19.39B | -11.86%-26.97B | -56.30%-24.11B |
Net intangibles purchase and sale | -9.03%-5.91B | 29.25%-5.42B | -25.21%-7.66B | 11.13%-6.12B | -15.39%-6.88B | -7.75%-5.96B | 42.67%-5.54B | 8.06%-9.65B | -9.81%-10.5B | -57.63%-9.56B |
Net business purchase and sale | --0 | -284.72%-10.6B | -124.22%-2.76B | 514.76%11.37B | 40.68%1.85B | --1.32B | ---- | ---9.73B | ---- | ---- |
Net investment product transactions | -70.30%425M | -73.62%1.43B | 1,056.50%5.42B | -88.26%469M | 226.50%4B | -467.21%-3.16B | 89.43%860M | -89.32%454M | 174.39%4.25B | -433.88%-5.72B |
Net changes in other investments | -159.89%-215M | -64.10%359M | -92.23%1B | 286.80%12.87B | -4.01%3.33B | 158.85%3.47B | 151.68%1.34B | -129.65%-2.59B | 74.17%8.74B | 794.47%5.02B |
Investing cash flow | 0.04%-27.02B | -55.58%-27.03B | -266.71%-17.37B | 52.46%-4.74B | 55.61%-9.97B | 16.79%-22.45B | 34.05%-26.98B | -67.12%-40.91B | 28.78%-24.48B | -78.84%-34.37B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -338.32%-44.12B | 70.16%-10.07B | -196.83%-33.74B | -7.37%34.84B | 1,234.01%37.62B | 92.95%-3.32B | -532.44%-47.05B | -28.75%10.88B | 242.95%15.27B | -0.93%-10.68B |
Net common stock issuance | -214,357.14%-15.01B | -40.00%-7M | -150.00%-5M | 99.98%-2M | -142,814.29%-10B | 12.50%-7M | 99.73%-8M | 40.12%-3.01B | -393.32%-5.02B | -4,326.09%-1.02B |
Cash dividends paid | -81.59%-7.62B | -0.07%-4.19B | -23.08%-4.19B | 27.61%-3.41B | -0.43%-4.7B | -0.21%-4.68B | 0.57%-4.67B | 29.73%-4.7B | -54.25%-6.69B | -9.88%-4.34B |
Cash dividends for minorities | --0 | ---57M | --0 | 24.24%-75M | 4.81%-99M | 0.95%-104M | -2.94%-105M | 46.60%-102M | 20.42%-191M | -64.38%-240M |
Net other fund-raising expenses | 7.36%-1.74B | 5.97%-1.87B | -22.34%-1.99B | 36.09%-1.63B | -168.03%-2.55B | -3.82%-951M | -39.42%-916M | 90.72%-657M | -547.07%-7.08B | 24.55%-1.09B |
Financing cash flow | -322.80%-68.49B | 59.43%-16.2B | -234.29%-39.93B | 46.76%29.73B | 323.54%20.26B | 82.82%-9.06B | -2,286.20%-52.75B | 165.02%2.41B | 78.64%-3.71B | -7.56%-17.37B |
Net cash flow | ||||||||||
Beginning cash position | 29.08%109.04B | -17.83%84.47B | 34.10%102.8B | 52.87%76.66B | -7.08%50.15B | -10.09%53.97B | -6.56%60.02B | 27.71%64.24B | -0.60%50.3B | 41.42%50.6B |
Current changes in cash | -267.29%-38.61B | 219.05%23.08B | -174.00%-19.38B | -1.44%26.19B | 923.52%26.58B | 52.28%-3.23B | -116.25%-6.76B | -120.98%-3.13B | 748.69%14.91B | -121.58%-2.3B |
Effect of exchange rate changes | -13.57%1.29B | 40.60%1.49B | 1,898.11%1.06B | 137.59%53M | 76.30%-141M | -237.73%-595M | 139.74%432M | -3.23%-1.09B | -153.02%-1.05B | -42.73%1.99B |
Cash adjustments other than cash changes | 66,800.00%669M | --1M | ---- | -238.46%-108M | --78M | ---- | --275M | ---- | 750.00%85M | -98.58%10M |
End cash Position | -33.61%72.39B | 29.08%109.04B | -17.83%84.47B | 34.10%102.8B | 52.87%76.66B | -7.08%50.15B | -10.09%53.97B | -6.56%60.02B | 27.71%64.24B | -0.60%50.3B |
Free cash flow | -38.72%29.42B | 332.42%48.01B | 137.10%11.1B | -59.77%-29.92B | 37.06%-18.73B | -169.72%-29.76B | 1,084.79%42.68B | -34.96%3.6B | -64.09%5.54B | -31.22%15.42B |
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 |
No Data