(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 | 71.17%97.02B | -19.17%56.68B | -11.46%70.12B | 15.29%79.19B | 25.56%68.69B | 40.15%54.7B | -20.14%39.03B | -12.47%48.87B | 82.65%55.84B | -31.80%30.57B |
Net profit before non-cash adjustment | 62.98%50.29B | -25.53%30.86B | 0.57%41.44B | 0.28%41.2B | 63.87%41.09B | 7.31%25.08B | -3.39%23.37B | 48.67%24.19B | 34.66%16.27B | 24.71%12.08B |
Total adjustment of non-cash items | 35.91%63.17B | 30.04%46.48B | -7.32%35.74B | 7.90%38.57B | 1.62%35.74B | 35.85%35.17B | -11.60%25.89B | -31.14%29.29B | 72.81%42.53B | -17.36%24.61B |
-Depreciation and amortization | 9.67%52.18B | 8.40%47.58B | 9.58%43.89B | 10.00%40.05B | 8.07%36.41B | 4.05%33.69B | 4.31%32.38B | 1.20%31.04B | -1.38%30.68B | 5.25%31.11B |
-Reversal of impairment losses recognized in profit and loss | 1.97%518M | 527.16%508M | 523.08%81M | -94.88%13M | 81.43%254M | -36.36%140M | 165.06%220M | -80.92%83M | 487.84%435M | -51.32%74M |
-Share of associates | 238.71%1.91B | 39.45%-1.38B | 13.60%-2.27B | -32.33%-2.63B | 2.74%-1.99B | 67.39%-2.05B | -278.74%-6.27B | -25.55%-1.66B | -30.59%-1.32B | -30.15%-1.01B |
-Disposal profit | 6.78%-2.2B | 53.45%-2.36B | -1,056.60%-5.07B | 69.33%530M | -10.57%313M | 115.60%350M | -354.97%-2.24B | -152.90%-493M | 112.22%932M | -892.93%-7.63B |
-Other non-cash items | 406.07%10.76B | 339.41%2.13B | -247.75%-888M | -20.08%601M | -75.23%752M | 68.20%3.04B | 482.26%1.81B | -97.38%310M | 470.26%11.81B | 134.41%2.07B |
Changes in working capital | 20.41%-16.44B | -192.52%-20.66B | -1,117.59%-7.06B | 92.88%-580M | -46.98%-8.15B | 45.76%-5.55B | -122.21%-10.22B | -55.23%-4.6B | 51.63%-2.96B | -214.41%-6.13B |
-Change in receivables | -50.51%-25.3B | -35.32%-16.81B | -10,516.24%-12.42B | -101.82%-117M | 175.24%6.42B | 57.12%-8.53B | -177.81%-19.9B | -3.07%-7.16B | -877.29%-6.95B | -38.51%894M |
-Change in inventory | 129.34%3.67B | -21.49%-12.51B | -1,024.42%-10.3B | 77.67%1.11B | 120.12%627M | 42.15%-3.12B | -273.13%-5.39B | -290.50%-1.44B | 127.37%758M | 19.53%-2.77B |
-Change in payables | -26.20%6.38B | -43.01%8.64B | 797.01%15.16B | 86.24%-2.18B | -359.93%-15.81B | -60.19%6.08B | 409.95%15.28B | -10.46%3B | 171.65%3.35B | -164.00%-4.67B |
-Provision for loans, leases and other losses | -5,776.19%-1.19B | -95.77%21M | -16.89%497M | -2.45%598M | 2,819.05%613M | 109.68%21M | -121.51%-217M | 947.90%1.01B | -128.54%-119M | 806.52%417M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -63.69%-3.23B | -21.88%-1.97B | 5.05%-1.62B | 0.87%-1.7B | -10.76%-1.72B | 2.70%-1.55B | -6.33%-1.6B | 16.39%-1.5B | 13.04%-1.79B | 4.80%-2.06B |
Interest received (cash flow from operating activities) | 19.68%4.32B | 10.88%3.61B | -0.03%3.25B | -0.46%3.26B | -21.19%3.27B | 56.63%4.15B | 11.54%2.65B | 0.76%2.38B | 6.70%2.36B | 11.23%2.21B |
Tax refund paid | 30.78%-8.48B | 11.61%-12.25B | 6.00%-13.86B | -60.97%-14.74B | -42.13%-9.16B | 27.10%-6.44B | -14.13%-8.84B | -32.60%-7.75B | -4.75%-5.84B | -1.88%-5.58B |
Other operating cash inflow (outflow) | -200.00%-1M | 150.00%1M | -2M | 0 | 0 | 0 | 200.00%1M | -1M | 0 | -5.73B |
Operating cash flow | 94.56%89.63B | -20.43%46.07B | -12.28%57.89B | 8.06%66B | 20.10%61.08B | 62.75%50.86B | -25.60%31.25B | -16.92%42B | 160.51%50.56B | -50.46%19.41B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -60.44%-63.13B | 14.15%-39.35B | -17.10%-45.84B | -7.19%-39.14B | 2.75%-36.52B | -17.43%-37.55B | -36.09%-31.98B | 18.23%-23.5B | 5.75%-28.73B | 33.74%-30.49B |
Net intangibles purchase and sale | 33.08%-1.06B | 8.91%-1.58B | -19.52%-1.74B | -38.84%-1.46B | -41.24%-1.05B | 40.40%-742M | 10.94%-1.25B | -33.91%-1.4B | 19.26%-1.04B | -1.81%-1.29B |
Net business purchase and sale | 82.75%-3.89B | -69.83%-22.57B | -161.24%-13.29B | 87.49%-5.09B | -3,671.99%-40.69B | 166.34%1.14B | 89.46%-1.72B | -2,244.75%-16.3B | -153.05%-695M | 120.70%1.31B |
Net investment product transactions | 175.35%4.39B | -73.68%1.59B | 3,427.47%6.06B | -117.40%-182M | 192.65%1.05B | -120.50%-1.13B | 289.81%5.51B | 171.76%1.41B | -1,782.91%-1.97B | 103.95%117M |
Advance cash and loans provided to other parties | -1,304.35%-323M | 80.51%-23M | -57.33%-118M | -1,150.00%-75M | 98.45%-6M | -360.71%-387M | 21.50%-84M | 89.01%-107M | -1,421.88%-974M | 62.13%-64M |
Repayment of advance payments to other parties and cash income from loans | -19.23%84M | -53.57%104M | -28.43%224M | 41.63%313M | -10.89%221M | 69.86%248M | -92.98%146M | 36.01%2.08B | 332.20%1.53B | 76.12%354M |
Net changes in other investments | -1,121.01%-12.1B | 4,837.50%1.19B | 106.35%24M | 70.47%-378M | -383.02%-1.28B | -137.38%-265M | -22.77%709M | 158.25%918M | -436.75%-1.58B | 842.86%468M |
Investing cash flow | -25.37%-76.03B | -10.91%-60.65B | -18.85%-54.68B | 41.22%-46.01B | -102.32%-78.27B | -34.99%-38.69B | 22.30%-28.66B | -10.23%-36.88B | -13.07%-33.46B | 47.72%-29.6B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -4.67%29.79B | 155.05%31.25B | 154.43%12.25B | -85.15%4.82B | 1,012.87%32.43B | -180.49%-3.55B | -46.26%4.41B | 174.83%8.21B | -193.05%-10.97B | -46.38%11.79B |
Net common stock issuance | -84.62%8M | 48.57%52M | 1,266.67%35M | -200.00%-3M | 66.67%-1M | 0.00%-3M | 70.00%-3M | 56.52%-10M | -76.92%-23M | 56.67%-13M |
Increase or decrease of lease financing | -14.72%-5.56B | -44.28%-4.85B | -17.25%-3.36B | -4.75%-2.86B | -27.64%-2.73B | 10.41%-2.14B | 7.79%-2.39B | 4.32%-2.59B | -13.01%-2.71B | -8.16%-2.4B |
Cash dividends paid | -0.20%-5.98B | 0.00%-5.97B | -0.20%-5.97B | -50.29%-5.95B | -33.32%-3.96B | 0.00%-2.97B | 0.00%-2.97B | 0.00%-2.97B | 0.03%-2.97B | 0.00%-2.97B |
Net other fund-raising expenses | -113.98%-995M | 57.84%-465M | 66.45%-1.1B | -126.92%-3.29B | -94.76%-1.45B | 66.64%-744M | -287.83%-2.23B | -95.58%-575M | -56.38%-294M | 56.07%-188M |
Financing cash flow | -13.77%17.27B | 976.51%20.02B | 125.50%1.86B | -130.04%-7.29B | 357.97%24.28B | -195.79%-9.41B | -254.24%-3.18B | 112.16%2.06B | -372.73%-16.97B | -61.93%6.22B |
Net cash flow | ||||||||||
Beginning cash position | 22.61%70.91B | 15.44%57.84B | 33.50%50.1B | 26.77%37.53B | 9.88%29.6B | 1.13%26.94B | 37.21%26.64B | -0.31%19.42B | -12.02%19.48B | 1.22%22.14B |
Current changes in cash | 466.97%30.86B | 7.29%5.44B | -60.06%5.07B | 79.08%12.7B | 156.96%7.09B | 567.01%2.76B | -108.23%-591M | 5,645.60%7.18B | 103.15%125M | -266.02%-3.96B |
Effect of exchange rate changes | -21.48%1.93B | 44.29%2.46B | 945.05%1.71B | -132.32%-202M | 737.76%625M | -179.67%-98M | 139.81%123M | -68.85%-309M | -122.32%-183M | -61.03%820M |
Cash adjustments other than cash changes | -98.53%76M | 440.90%5.17B | 1,209.59%956M | -64.73%73M | 20,800.00%207M | -100.13%-1M | 117.56%768M | 17,750.00%353M | -100.41%-2M | 163.93%482M |
End cash Position | 46.35%103.78B | 22.61%70.91B | 15.44%57.84B | 33.50%50.1B | 26.77%37.53B | 9.88%29.6B | 1.13%26.94B | 37.21%26.64B | -0.31%19.42B | -12.02%19.48B |
Free cash flow | 1,214.43%24.59B | -81.17%1.87B | -60.24%9.94B | 7.56%24.99B | 96.52%23.24B | 299.76%11.82B | -136.93%-5.92B | -22.23%16.03B | 185.64%20.61B | -175.02%-24.06B |
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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