(FY)Dec 31, 2023 | (FY)Dec 31, 2022 | (FY)Dec 31, 2021 | (FY)Dec 31, 2020 | (FY)Dec 31, 2019 | (FY)Dec 31, 2018 | (FY)Dec 31, 2017 | (FY)Dec 31, 2016 | (FY)Dec 31, 2015 | (FY)Dec 31, 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | 344.70%104.35B | -58.90%23.47B | -6.35%57.09B | 6.40%60.96B | -8.78%57.3B | -4.74%62.81B | -16.95%65.94B | 88.61%79.39B | -34.41%42.1B | 36.81%64.18B |
Net profit before non-cash adjustment | -175.24%-26.47B | 9.55%35.18B | 27.93%32.11B | -27.61%25.1B | -29.00%34.68B | -10.93%48.84B | 9.89%54.83B | -14.80%49.9B | 50.58%58.57B | -3.05%38.89B |
Total adjustment of non-cash items | 58.12%64.79B | -1.94%40.97B | 48.99%41.79B | -9.13%28.05B | 65.27%30.87B | -3.24%18.68B | -40.79%19.3B | 266.92%32.6B | -65.88%8.88B | 76.50%26.04B |
-Depreciation and amortization | 8.82%53.1B | 28.23%48.79B | 16.28%38.05B | -1.51%32.72B | 0.74%33.23B | 3.49%32.98B | -2.89%31.87B | -1.64%32.82B | -2.53%33.36B | 30.32%34.23B |
-Reversal of impairment losses recognized in profit and loss | 2,929.54%33.54B | -29.17%1.11B | 24.94%1.56B | -59.36%1.25B | --3.08B | ---- | --234M | ---- | -35.87%674M | 33.55%1.05B |
-Share of associates | -15.46%-2.73B | 19.54%-2.37B | -281.71%-2.94B | 68.85%-771M | 35.63%-2.48B | 5.51%-3.85B | -24.59%-4.07B | -19.41%-3.27B | 9.26%-2.74B | -57.31%-3.01B |
-Disposal profit | -296.52%-1.98B | -46.77%1.01B | -70.67%1.89B | 2,170.10%6.44B | 83.14%-311M | -252.35%-1.85B | -72.55%1.21B | 133.32%4.41B | -1,351.86%-13.24B | 88.54%-912M |
-Other non-cash items | -126.62%-17.14B | -334.26%-7.56B | 127.84%3.23B | -337.09%-11.6B | 69.21%-2.65B | 13.36%-8.62B | -628.04%-9.95B | 85.11%-1.37B | -72.56%-9.18B | -119.12%-5.32B |
Changes in working capital | 225.32%66.03B | -213.54%-52.69B | -315.05%-16.8B | 194.78%7.81B | -75.48%-8.24B | 42.64%-4.7B | -164.31%-8.19B | 87.78%-3.1B | -3,267.20%-25.36B | 90.54%-753M |
-Change in receivables | 511.74%26.42B | 127.05%4.32B | -248.07%-15.96B | 453.01%10.78B | -144.28%-3.05B | 197.55%6.9B | -228.84%-7.07B | 86.46%-2.15B | -266.09%-15.88B | 203.16%9.56B |
-Change in inventory | 206.45%59.1B | -61.64%-55.52B | -438.14%-34.35B | 120.16%10.16B | 131.79%4.61B | -49.00%-14.52B | -1,076.57%-9.74B | -142.68%-828M | 221.78%1.94B | -329.54%-1.59B |
-Change in payables | -2,312.30%-18.43B | -102.23%-764M | 375.12%34.26B | -27.05%-12.45B | -347.15%-9.8B | -57.48%3.97B | 615.36%9.33B | 85.38%-1.81B | -38.02%-12.38B | -33,329.63%-8.97B |
-Provision for loans, leases and other losses | -46.94%-1.06B | 4.51%-720M | -12.20%-754M | -33,500.00%-672M | 99.81%-2M | -47.81%-1.05B | -141.86%-707M | 74.84%1.69B | 283.33%966M | -57.29%252M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -156.75%-11.41B | -126.39%-4.44B | 17.69%-1.96B | 38.29%-2.39B | 23.47%-3.87B | -39.20%-5.05B | -11.49%-3.63B | 43.15%-3.25B | 19.64%-5.72B | -26.27%-7.12B |
Interest received (cash flow from operating activities) | 117.15%8.19B | 12.33%3.77B | 3.35%3.36B | -25.05%3.25B | -31.27%4.34B | 50.89%6.31B | 96.24%4.18B | -22.01%2.13B | -21.73%2.73B | 43.23%3.49B |
Tax refund paid | 19.01%-12.03B | -8.64%-14.86B | -85.66%-13.68B | -3.28%-7.37B | 45.47%-7.13B | -6.39%-13.08B | 22.02%-12.29B | -57.83%-15.77B | 29.49%-9.99B | -43.87%-14.17B |
Other operating cash inflow (outflow) | 0.00%-1M | -1M | 0 | 0.00%1M | 1M | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | 1,022.81%89.1B | -82.29%7.94B | -17.72%44.81B | 7.55%54.46B | -0.69%50.64B | -5.92%50.99B | -13.29%54.2B | 114.69%62.5B | -37.22%29.11B | 36.97%46.38B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -27.21%-50.16B | -12.58%-39.43B | -30.58%-35.03B | 17.28%-26.82B | -8.07%-32.43B | 0.27%-30.01B | -0.78%-30.09B | -80.10%-29.86B | 45.37%-16.58B | -33.05%-30.35B |
Net intangibles purchase and sale | -31.35%-6.02B | -69.25%-4.58B | -111.41%-2.71B | -39.28%-1.28B | -24.02%-919M | 46.77%-741M | -43.65%-1.39B | -15.22%-969M | 51.42%-841M | -8.12%-1.73B |
Net business purchase and sale | 56.98%-13.23B | 72.64%-30.75B | -6,160.84%-112.38B | -119.97%-1.8B | 182.74%8.99B | -1,173.62%-10.86B | -119.28%-853M | -105.91%-389M | 110.39%6.58B | 560.13%3.13B |
Net investment product transactions | 914.24%3.21B | -92.94%316M | 242.88%4.48B | -473.54%-3.13B | -67.03%839M | 109.33%2.55B | -2,994.89%-27.27B | -238.74%-881M | -26.42%635M | -91.58%863M |
Net changes in other investments | -119.86%-255M | 164.98%1.28B | -49,300.00%-1.98B | 99.71%-4M | -300.88%-1.36B | 2.57%679M | 712.96%662M | -147.58%-108M | -68.99%227M | -81.04%732M |
Investing cash flow | 9.16%-66.46B | 50.44%-73.16B | -346.81%-147.61B | -32.76%-33.04B | 35.18%-24.88B | 34.87%-38.39B | -83.03%-58.94B | -222.89%-32.2B | 63.54%-9.97B | -178.31%-27.35B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -87.23%13.03B | -9.04%102.01B | 526.01%112.14B | 241.66%17.91B | -829.30%-12.65B | -93.35%1.73B | 252.09%26.07B | -48.50%-17.14B | 60.99%-11.54B | -14.36%-29.59B |
Net common stock issuance | 583.33%29M | -130.00%-6M | -13.04%20M | 2,400.00%23M | -120.00%-1M | 100.81%5M | -3,136.84%-615M | 99.62%-19M | -146.47%-5.02B | 108,030.00%10.79B |
Increase or decrease of lease financing | -1.29%-5.88B | -374.82%-5.81B | ---1.22B | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Cash dividends paid | 0.01%-9.48B | 0.00%-9.48B | -11.11%-9.48B | 28.00%-8.53B | -4.17%-11.85B | 0.01%-11.38B | -49.98%-11.38B | -12.65%-7.59B | -19.51%-6.73B | -2.51%-5.63B |
Cash dividends for minorities | 40.23%-407M | 53.83%-681M | -88.62%-1.48B | -1.96%-782M | 43.10%-767M | 6.32%-1.35B | -37.44%-1.44B | -6.08%-1.05B | 13.57%-987M | -14.77%-1.14B |
Net other fund-raising expenses | 89.78%-213M | -376.89%-2.08B | 80.88%-437M | -48.83%-2.29B | -92.72%-1.54B | 37.15%-797M | -19.85%-1.27B | -102.68%-1.06B | -7.85%-522M | -26.04%-484M |
Financing cash flow | -103.48%-2.92B | -15.67%83.95B | 1,470.67%99.55B | 123.65%6.34B | -127.48%-26.8B | -203.57%-11.78B | 142.36%11.38B | -8.27%-26.85B | 4.82%-24.8B | 20.46%-26.06B |
Net cash flow | ||||||||||
Beginning cash position | 66.51%62.56B | -9.15%37.57B | 147.78%41.35B | -10.42%16.69B | 5.55%18.63B | 5.88%17.65B | 10.31%16.67B | -7.81%15.11B | 9.26%16.39B | -33.40%15B |
Current changes in cash | 5.31%19.72B | 675.92%18.72B | -111.71%-3.25B | 2,754.21%27.76B | -227.41%-1.05B | -87.62%821M | 92.26%6.63B | 160.94%3.45B | 19.50%-5.66B | 19.42%-7.03B |
Effect of exchange rate changes | -62.28%2.36B | 1,279.85%6.27B | 82.87%-531M | -246.37%-3.1B | -662.89%-895M | 102.81%159M | -198.78%-5.65B | -143.19%-1.89B | -47.98%4.38B | 600.58%8.42B |
Cash adjustments other than cash changes | --1M | ---- | ---- | --1M | ---- | ---- | ---- | ---- | ---- | ---- |
End cash Position | 35.30%84.64B | 66.51%62.56B | -9.15%37.57B | 147.78%41.35B | -10.42%16.69B | 5.55%18.63B | 5.88%17.65B | 10.31%16.67B | -7.81%15.11B | 9.26%16.39B |
Free cash flow | 182.81%31.02B | -707.07%-37.46B | -69.84%6.17B | 30.54%20.46B | -17.08%15.68B | -8.28%18.91B | -33.99%20.61B | 1,149.58%31.23B | -123.26%-2.98B | 89.29%12.79B |
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