(FY)Apr 30, 2024 | (FY)Apr 30, 2023 | (FY)Apr 30, 2022 | (FY)Apr 30, 2021 | (FY)Apr 30, 2020 | (FY)Apr 30, 2019 | (FY)Apr 30, 2018 | (FY)Apr 30, 2017 | (FY)Apr 30, 2016 | (FY)Apr 30, 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -3,895.78%-5.09B | 108.71%134.14M | -151.44%-1.54B | 17.11%3B | 623.02%2.56B | -128.58%-489.03M | 282.25%1.71B | 117.73%447.62M | -366.42%-2.52B | 205.80%947.74M |
Net profit before non-cash adjustment | -4,823.69%-5.32B | 98.28%-108.06M | -268.18%-6.29B | 294.20%3.74B | 167.37%948.78M | -335.98%-1.41B | -64.20%596.78M | 153.58%1.67B | -1,330.32%-3.11B | 321.11%252.9M |
Total adjustment of non-cash items | -3.83%994.91M | -78.68%1.03B | 405.42%4.85B | -179.97%-1.59B | 259.80%1.99B | -51.96%552.01M | 13,837.28%1.15B | -98.57%8.24M | 205.05%574.96M | 5.52%188.48M |
-Depreciation and amortization | 355.93%1.47B | -62.27%323.47M | -5.55%857.38M | 104.47%907.73M | 100.55%443.95M | -68.45%221.36M | 49.93%701.53M | 74.61%467.91M | 35.65%267.98M | 51.31%197.55M |
-Reversal of impairment losses recognized in profit and loss | --2.84B | --0 | 12.88%1.91B | --1.69B | ---- | -7.29%431.45M | --465.37M | ---- | --385.37M | ---- |
-Share of associates | -2.56%-62.64M | -110.70%-61.07M | 124.11%571.03M | -1,328.80%-2.37B | -59.38%192.78M | 2,948.07%474.63M | 89.39%-16.67M | -3,556.69%-157.13M | -116.69%-4.3M | 37.06%25.75M |
-Disposal profit | -814.53%-2.81B | -65.89%393.82M | 169.05%1.15B | -283.27%-1.67B | 192.75%912.39M | -551.87%-983.76M | -18,348.13%-150.91M | -99.81%827K | 457.16%436.4M | -121.32%-122.19M |
-Net exchange gains and losses | -55.00%22.26M | -74.14%49.46M | 1,490.31%191.27M | 160.07%12.03M | -421.06%-20.02M | --6.24M | ---- | -64.32%17.95M | 257.91%50.3M | 16.20%14.05M |
-Remuneration paid in stock | -82.86%7.25M | -58.68%42.27M | -6.24%102.31M | 85.56%109.12M | -60.64%58.8M | 49.39%149.4M | --100.01M | ---- | ---- | ---- |
-Other non-cash items | -264.49%-471.38M | 317.82%286.56M | 125.89%68.59M | -166.53%-264.96M | 57.60%398.25M | 408.82%252.69M | 115.46%49.66M | 42.70%-321.32M | -864.95%-560.79M | 1.28%73.31M |
Changes in working capital | 3.31%-766.11M | -676.68%-792.32M | -112.09%-102.01M | 323.68%843.66M | -202.70%-377.17M | 1,156.90%367.27M | 97.17%-34.75M | -10,718.80%-1.23B | -97.72%11.56M | 152.75%506.36M |
-Change in receivables | 100.82%7.74M | -939.72%-937.9M | -87.43%111.69M | 197.64%888.65M | -226.12%-910.08M | 171.52%721.59M | 128.92%265.76M | -471.37%-918.98M | 166.77%247.46M | 77.01%-370.6M |
-Change in prepaid assets | -366.32%-106.4M | 81.27%-22.82M | -2,295.93%-121.83M | -97.05%5.55M | 360.42%187.83M | ---72.13M | ---- | ---- | ---- | ---- |
-Change in payables | -439.67%-687.1M | 311.38%202.29M | -18.06%-95.7M | -124.53%-81.06M | 525.88%330.45M | 67.41%-77.59M | 50.01%-238.06M | -22.26%-476.19M | -144.41%-389.47M | 34.51%876.96M |
-Provision for loans, leases and other losses | 158.00%19.66M | -986.66%-33.89M | -87.48%3.82M | 108.80%30.53M | 107.15%14.62M | -227.63%-204.6M | -137.27%-62.45M | 9.09%167.53M | --153.58M | ---- |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -17.85%-58.04M | -47.63%-49.25M | -11.96%-33.36M | -44.63%-29.8M | 43.23%-20.6M | -3.59%-36.29M | -93.02%-35.04M | 37.31%-18.15M | 11.76%-28.95M | -251.91%-32.81M |
Interest received (cash flow from operating activities) | 1,561.18%18.06M | 9.03%1.09M | 37.52%997K | -73.79%725K | -34.53%2.77M | -95.85%4.23M | 11,377.14%101.92M | -74.74%888K | 60.77%3.52M | 265.11%2.19M |
Tax refund paid | 94.08%-15.93M | 70.46%-268.9M | -531.89%-910.16M | -160.27%-144.04M | 136.11%238.98M | -38.15%-661.82M | -608.70%-479.04M | 86.56%-67.59M | -254.28%-502.99M | -261.93%-141.98M |
Other operating cash inflow (outflow) | -96.85%364K | 11.53%11.56M | 162.36%10.37M | 86.26%-16.62M | -1,274.61%-120.96M | -2.05%10.3M | -69.57%10.51M | -47.38%34.55M | 165.20%65.65M | 145.37%24.76M |
Operating cash flow | -2,903.65%-5.15B | 93.07%-171.36M | -188.14%-2.47B | 5.56%2.81B | 326.67%2.66B | -189.56%-1.17B | 229.56%1.31B | 113.30%397.31M | -473.52%-2.99B | 185.68%799.9M |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 29.34%-56.9M | -176.00%-80.52M | -121.83%-29.18M | 42.17%-13.15M | 69.92%-22.74M | 3.07%-75.6M | 22.02%-77.99M | -49.56%-100.02M | 69.02%-66.87M | -395.38%-215.88M |
Net intangibles purchase and sale | 26.29%-1.29B | -3.47%-1.75B | 27.61%-1.69B | 19.98%-2.33B | -141.18%-2.91B | 9.82%-1.21B | -469.32%-1.34B | 56.24%-235.18M | 14.86%-537.45M | -4,448.38%-631.27M |
Net business purchase and sale | --946.4M | --0 | -116.84%-345.42M | 72.73%-159.3M | 26.76%-584.14M | -695.64%-797.55M | 87.77%-100.24M | -333.89%-819.77M | 192.08%350.49M | 139.68%120M |
Net investment product transactions | 368.84%747.9M | -503.64%-278.19M | -788.66%-46.09M | 103.05%6.69M | 55.10%-219.08M | 53.44%-487.96M | -227.61%-1.05B | 173.15%821.21M | -0.34%-1.12B | -7,975.09%-1.12B |
Dividends received (cash flow from investment activities) | 27.02%423.35M | -77.31%333.3M | 242.35%1.47B | --429.11M | ---- | ---- | ---- | ---- | ---- | ---- |
Net changes in other investments | -8.12%-621.77M | -155.44%-575.09M | 1,270.90%1.04B | -167.91%-88.59M | -58.39%130.45M | 287,511.93%313.5M | 100.11%109K | -3,118.74%-96.88M | 97.36%-3.01M | -900.48%-113.92M |
Investing cash flow | 106.49%152.27M | -688.52%-2.35B | 118.49%398.64M | 40.25%-2.16B | -59.98%-3.61B | 12.08%-2.26B | -495.62%-2.57B | 68.78%-430.64M | 29.62%-1.38B | -448.88%-1.96B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -42.01%-701.64M | -154.81%-494.08M | -55.84%901.44M | 162.86%2.04B | -274.29%-3.25B | -136.04%-867.6M | 162.60%2.41B | 191.67%916.7M | -128.99%-1B | --3.45B |
Net common stock issuance | -100.00%100K | 820.67%7.21B | -3,739.28%-999.89M | 203.32%27.48M | -98.27%9.06M | 228.60%523.29M | 116.53%159.25M | -545.58%-963.29M | -98.34%216.19M | 585.78%12.99B |
Cash dividends paid | ---197.4M | ---- | -0.33%-150.01M | ---149.52M | ---- | ---- | ---- | ---- | ---- | ---- |
Net other fund-raising expenses | ---- | ---- | 200.00%1K | -100.00%-1K | -73.11%201M | 256.71%747.53M | --209.56M | ---- | ---1.02B | ---- |
Financing cash flow | -113.39%-898.94M | 2,801.43%6.71B | -112.95%-248.46M | 163.19%1.92B | -853.27%-3.04B | -85.48%403.22M | 6,058.45%2.78B | 97.41%-46.59M | -110.95%-1.8B | 767.89%16.44B |
Net cash flow | ||||||||||
Beginning cash position | 67.61%10.56B | -25.78%6.3B | 45.58%8.49B | -41.06%5.83B | -23.96%9.9B | 13.62%13.02B | -0.87%11.46B | -35.25%11.56B | 622.57%17.85B | 33.53%2.47B |
Current changes in cash | -240.51%-5.89B | 280.57%4.19B | -190.42%-2.32B | 164.43%2.57B | -31.83%-3.99B | -298.93%-3.02B | 2,002.40%1.52B | 98.70%-79.92M | -140.36%-6.17B | 2,431.35%15.28B |
Effect of exchange rate changes | 61.44%108.2M | -49.63%67.03M | 47.77%133.08M | 216.38%90.06M | -138.11%-77.38M | -180.85%-32.5M | 290.31%40.2M | 83.21%-21.12M | -305.30%-125.79M | 266.88%61.27M |
Cash adjustments other than cash changes | --1K | ---- | ---- | ---- | ---- | -6,225,000.00%-62.25M | --1K | ---- | -100.00%-1K | --37.59M |
End cash Position | -54.77%4.78B | 67.61%10.56B | -25.78%6.3B | 45.58%8.49B | -41.06%5.83B | -23.96%9.9B | 13.62%13.02B | -0.87%11.46B | -35.25%11.56B | 622.57%17.85B |
Free cash flow | -224.95%-6.49B | 52.32%-2B | -2,183.97%-4.19B | 171.12%201.02M | 88.51%-282.66M | -2,185.01%-2.46B | -277.68%-107.62M | 101.68%60.57M | -7,509.82%-3.6B | 95.23%-47.26M |
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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