(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 | |
---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | |||||||||
Cash from operating activities | 114.70%222.84B | -29.53%103.79B | -19.28%147.28B | 31.77%182.46B | -4.42%138.47B | -35.77%144.88B | 206.17%225.54B | 36.80%73.67B | 53.85B |
Net profit before non-cash adjustment | 1.10%154.95B | -27.57%153.26B | 125.95%211.59B | 573.10%93.65B | -85.50%13.91B | -12.18%95.97B | 39.09%109.27B | 279.38%78.57B | ---43.8B |
Total adjustment of non-cash items | -10.29%61.59B | -18.88%68.66B | 27.17%84.63B | 7.46%66.55B | 6.82%61.93B | 19.73%57.98B | -8.54%48.42B | 10.02%52.94B | --48.12B |
-Depreciation and amortization | 2.83%55.29B | -0.34%53.77B | 0.73%53.95B | 7.83%53.56B | 6.25%49.67B | 19.67%46.75B | 10.87%39.07B | 25.06%35.24B | --28.18B |
-Reversal of impairment losses recognized in profit and loss | -75.61%902M | -69.77%3.7B | 4,481.27%12.23B | -93.18%267M | 94.82%3.91B | 32.52%2.01B | 334.38%1.52B | 103.47%349M | ---10.06B |
-Share of associates | 277.00%1.77B | 62.26%-1B | -692.84%-2.65B | 108.29%447M | 21.40%-5.39B | 42.54%-6.86B | -564.64%-11.94B | 40.37%-1.8B | ---3.01B |
-Disposal profit | 320.09%11.69B | -78.87%2.78B | 215.00%13.16B | -43.63%4.18B | 96.87%7.41B | -30.71%3.77B | 40.33%5.44B | -30.28%3.87B | --5.56B |
-Net exchange gains and losses | -22.84%-1.82B | -205.32%-1.48B | 203.83%1.41B | -126.92%-1.36B | 51.26%-598M | -27.41%-1.23B | -227.72%-963M | 533.61%754M | --119M |
-Other non-cash items | -157.29%-6.24B | 66.91%10.89B | -30.95%6.53B | 36.59%9.45B | -48.88%6.92B | -11.55%13.53B | 5.33%15.3B | -46.88%14.53B | --27.35B |
Changes in working capital | 105.33%6.3B | 20.69%-118.13B | -768.89%-148.94B | -64.45%22.27B | 790.91%62.63B | -113.36%-9.07B | 217.29%67.85B | -216.81%-57.85B | --49.52B |
-Change in receivables | -94.04%-75.15B | 18.26%-38.73B | -134.66%-47.38B | -166.44%-20.19B | 56.75%30.39B | 138.98%19.39B | -107.69%-49.74B | -144.37%-23.95B | --53.97B |
-Change in inventory | 127.86%5.68B | 83.90%-20.38B | -739.02%-126.58B | -134.67%-15.09B | 479.23%43.51B | 48.05%-11.47B | 64.09%-22.09B | -176.96%-61.5B | --79.9B |
-Change in payables | 255.40%14.9B | -92.82%4.19B | 73.56%58.38B | 198.00%33.64B | -459.40%-34.33B | -105.84%-6.14B | 90.85%105.03B | 157.27%55.03B | ---96.09B |
-Provision for loans, leases and other losses | -104.39%-666M | 65.78%15.18B | 359.20%9.16B | -148.36%-3.53B | 255.25%7.3B | -36.27%2.06B | 227.76%3.23B | -511.24%-2.53B | --614M |
-Changes in other current assets | -92.51%-26.56B | 76.28%-13.8B | -678.00%-58.16B | -381.26%-7.48B | 190.78%2.66B | 69.86%-2.93B | -354.99%-9.71B | -107.29%-2.14B | --29.28B |
-Changes in other current liabilities | 236.40%88.1B | -513.00%-64.59B | -55.21%15.64B | 166.73%34.92B | 231.28%13.09B | -124.24%-9.97B | 280.62%41.13B | -25.46%-22.77B | ---18.15B |
Dividends paid (cash flow from operating activities) | |||||||||
Dividends received (cash flow from operating activities) | |||||||||
Interest paid (cash flow from operating activities) | 25.83%-4.64B | 3.58%-6.26B | 10.31%-6.49B | 23.29%-7.24B | 14.14%-9.43B | 10.86%-10.99B | 0.68%-12.32B | 8.03%-12.41B | -13.49B |
Interest received (cash flow from operating activities) | 37.42%8.35B | 8.04%6.07B | 35.57%5.62B | 16.33%4.15B | -60.94%3.57B | 136.42%9.13B | 280.67%3.86B | -52.92%1.01B | 2.15B |
Tax refund paid | 42.14%-55.7B | -133.88%-96.27B | -256.06%-41.16B | 65.08%-11.56B | 44.55%-33.1B | -144.92%-59.7B | -71.43%-24.37B | 38.03%-14.22B | -22.95B |
Other operating cash inflow (outflow) | 807.29%7.1B | -74.81%782M | 943.75%3.11B | -103.01%-368M | 71.45%12.23B | 10,143.66%7.13B | 83.45%-71M | 62.40%-429M | -1.14B |
Operating cash flow | 2,090.89%177.94B | -92.50%8.12B | -35.29%108.36B | 49.86%167.45B | 23.53%111.73B | -53.05%90.45B | 304.48%192.63B | 158.45%47.63B | --18.43B |
Investing cash flow | |||||||||
Net PPE purchase and sale | -34.40%-64.54B | -33.41%-48.02B | 49.74%-36B | -2.71%-71.62B | 8.92%-69.73B | 7.28%-76.56B | 26.54%-82.57B | -90.04%-112.4B | ---59.15B |
Net intangibles purchase and sale | 64.96%-5.36B | -72.54%-15.28B | 22.45%-8.86B | -25.97%-11.42B | -13.71%-9.07B | 19.12%-7.97B | -64.95%-9.86B | 62.94%-5.98B | ---16.13B |
Net business purchase and sale | 135.00%2.53B | -450.04%-7.22B | -5.89%-1.31B | -0.32%-1.24B | -189.46%-1.24B | 88.21%-427M | -1,920.60%-3.62B | -99.27%199M | --27.1B |
Net investment product transactions | 774.04%34.69B | 76.13%-5.15B | -2,188.11%-21.55B | 79.18%-942M | -453.73%-4.52B | 10.22%-817M | -113.80%-910M | -50.65%6.59B | --13.36B |
Advance cash and loans provided to other parties | -160.53%-99M | 7.32%-38M | 2.38%-41M | 4.55%-42M | 73.49%-44M | 26.22%-166M | 84.21%-225M | 22.55%-1.43B | ---1.84B |
Repayment of advance payments to other parties and cash income from loans | 6.01%247M | -10.04%233M | 4.86%259M | 1.65%247M | -84.40%243M | 221.24%1.56B | -17.66%485M | -45.16%589M | --1.07B |
Net changes in other investments | 95.89%-234M | -63,222.22%-5.7B | -102.05%-9M | 231.82%438M | 198.51%132M | -149.45%-134M | -29.24%271M | -86.01%383M | --2.74B |
Investing cash flow | 59.63%-32.77B | -20.24%-81.18B | 20.18%-67.51B | -0.42%-84.58B | 0.34%-84.23B | 12.35%-84.52B | 13.93%-96.43B | -241.17%-112.04B | ---32.84B |
Financing cash flow | |||||||||
Net issuance payments of debt | -155.49%-67.07B | 469.41%120.88B | 53.77%-32.72B | -465.37%-70.77B | -120.04%-12.52B | 91.88%-5.69B | -597.10%-70.09B | -61.13%14.1B | --36.28B |
Net common stock issuance | 96.20%-793M | ---20.88B | --0 | -2.25%-637M | -31,050.00%-623M | ---2M | ---- | ---- | ---- |
Cash dividends paid | -35.32%-19.86B | -116.56%-14.68B | 0.01%-6.78B | -0.04%-6.78B | -61.12%-6.78B | -0.02%-4.21B | -25.16%-4.2B | ---3.36B | ---- |
Cash dividends for minorities | 22.87%-4.78B | -164.16%-6.19B | -11.89%-2.34B | 51.09%-2.1B | 40.29%-4.28B | -203.81%-7.17B | -149.31%-2.36B | 39.99%-947M | ---1.58B |
Net other fund-raising expenses | -680.28%-11.68B | 1,116.67%2.01B | 31.01%-198M | 39.71%-287M | 86.05%-476M | -3,277.23%-3.41B | 39.88%-101M | 92.36%-168M | ---2.2B |
Financing cash flow | -228.40%-104.18B | 293.00%81.14B | 47.82%-42.04B | -226.52%-80.57B | -20.48%-24.68B | 73.32%-20.48B | -897.39%-76.76B | -70.38%9.63B | --32.5B |
Net cash flow | |||||||||
Beginning cash position | 28.63%61.83B | 7.97%48.07B | 2.82%44.52B | 6.46%43.3B | -26.26%40.67B | 52.65%55.15B | -59.60%36.13B | 10.71%89.42B | --80.77B |
Current changes in cash | 407.34%41B | 779.08%8.08B | -151.94%-1.19B | -18.99%2.29B | 119.44%2.83B | -174.83%-14.55B | 135.49%19.45B | -402.91%-54.79B | --18.09B |
Effect of exchange rate changes | -53.20%2.66B | 25.38%5.68B | 456.82%4.53B | -537.69%-1.27B | -380.28%-199M | 116.82%71M | 32.05%-422M | -228.57%-621M | ---189M |
Cash adjustments other than cash changes | ---- | -99.52%1M | 4.48%210M | 20,200.00%201M | 0.00%-1M | 0.00%-1M | -100.05%-1M | 122.89%2.12B | ---9.25B |
End cash Position | 70.61%105.48B | 28.63%61.83B | 7.97%48.07B | 2.82%44.52B | 6.46%43.3B | -26.26%40.67B | 52.65%55.15B | -59.60%36.13B | --89.42B |
Free cash flow | 250.47%91B | -221.11%-60.47B | -36.06%49.94B | 335.62%78.1B | 293.96%17.93B | -94.50%4.55B | 215.96%82.73B | -22.82%-71.35B | ---58.09B |
Currency Unit | 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 |
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