JP Stock MarketDetailed Quotes

5101 Yokohama Rubber

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  • 3378.0
  • -8.0-0.24%
20min DelayMarket Closed Jul 12 15:00 JST
572.74BMarket Cap8.08P/E (Static)

Yokohama Rubber Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
60.08%22.32B
182.15%184.94B
57.23%64.63B
1,220.11%59.75B
170.67%46.62B
418.22%13.94B
-18.30%65.55B
26.03%41.11B
-59.33%4.53B
-16.66%17.23B
Net profit before non-cash adjustment
96.60%28.02B
47.96%105.98B
128.14%45.85B
31.86%23.06B
16.56%22.82B
-1.47%14.25B
-24.12%71.62B
-40.51%20.1B
79.48%17.49B
46.04%19.57B
Total adjustment of non-cash items
7.72%14.8B
15.51%55.01B
10.97%12.15B
25.75%16.75B
8.46%12.38B
15.00%13.74B
141.35%47.62B
66.05%10.95B
11.91%13.32B
4.54%11.41B
-Depreciation and amortization
26.59%16.33B
19.19%59.49B
17.99%15.16B
24.09%16.09B
23.89%15.34B
10.13%12.9B
9.56%49.91B
9.17%12.85B
13.22%12.97B
6.92%12.38B
-Reversal of impairment losses recognized in profit and loss
--0
705.61%2.3B
665.90%1.33B
--5M
31.25%147M
--819M
206.45%285M
124.68%173M
--0
600.00%112M
-Disposal profit
-198.41%-2.25B
-4,335.90%-3.3B
16,450.00%327M
-1,930.77%-528M
-3,150.65%-2.35B
-2,700.00%-754M
100.39%78M
-100.53%-2M
-112.32%-26M
-35.29%77M
-Other non-cash items
-6.97%721M
-30.95%-3.47B
-125.10%-4.66B
213.56%1.18B
34.25%-764M
278.05%775M
54.71%-2.65B
63.19%-2.07B
60.00%376M
-44.89%-1.16B
Changes in working capital
-45.92%-20.5B
144.61%23.96B
-34.08%6.63B
175.87%19.94B
183.07%11.43B
40.77%-14.05B
-58.45%-53.7B
229.72%10.06B
-149.87%-26.28B
-276.93%-13.76B
-Change in receivables
342.30%3.56B
90.01%-1.17B
-169.48%-14.45B
127.94%3.37B
121.14%11.38B
-377.50%-1.47B
-58.83%-11.73B
75.00%-5.36B
-1,129.18%-12.05B
289.04%5.15B
-Change in inventory
-890.67%-8.73B
166.36%31.64B
-21.97%7.86B
162.64%11.52B
149.20%11.16B
106.62%1.1B
-44.02%-47.68B
25.34%10.07B
-10.08%-18.39B
-225.41%-22.69B
-Change in payables
-268.43%-2.02B
-203.53%-6.19B
613.96%7.25B
-910.71%-6.81B
-178.72%-6.09B
53.56%-548M
-3.39%5.98B
-950.00%-1.41B
-76.34%840M
1,242.71%7.73B
-Provision for loans, leases and other losses
46.59%387M
-20.60%-322M
60.73%-540M
-53.94%474M
-12,900.00%-520M
218.07%264M
-165.12%-267M
-268.63%-1.38B
110.86%1.03B
-180.00%-4M
-Changes in other current assets
-2.21%-13.7B
----
----
399.78%11.4B
-14.33%-4.51B
-106.90%-13.4B
----
----
-27.09%2.28B
-377.94%-3.94B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-33.13%-1.52B
-112.98%-6.16B
-92.19%-1.99B
-128.42%-1.75B
-95.53%-1.27B
-161.10%-1.14B
-33.92%-2.89B
-88.20%-1.04B
-93.20%-767M
-1.25%-649M
Interest received (cash flow from operating activities)
58.27%584M
4.37%5.24B
-12.24%2.24B
41.65%585M
13.36%2.05B
47.01%369M
57.77%5.02B
88.54%2.55B
118.52%413M
27.22%1.8B
Tax refund paid
-351.72%-29.72B
14.63%-24.28B
19.88%-5.44B
18.09%-7.4B
20.04%-4.87B
-0.66%-6.58B
-119.63%-28.44B
-83.22%-6.79B
-82.86%-9.03B
-330.79%-6.09B
Other operating cash inflow (outflow)
1M
0
0
1M
-1M
0
1M
1M
0
0
Operating cash flow
-226.62%-8.34B
307.18%159.74B
65.89%59.44B
1,154.10%51.19B
245.98%42.53B
263.35%6.59B
-42.56%39.23B
20.59%35.83B
-181.16%-4.86B
-38.63%12.29B
Investing cash flow
Net PPE purchase and sale
-41.78%-17.14B
-5.69%-55.28B
-5.21%-12.74B
-20.91%-16.75B
4.69%-13.7B
-1.04%-12.09B
-269.29%-52.31B
-20.72%-12.11B
-72.64%-13.85B
-55.09%-14.38B
Net intangibles purchase and sale
6.30%-119M
7.98%-473M
-5.62%-188M
39.00%-61M
34.01%-97M
-42.70%-127M
-38.92%-514M
-345.00%-178M
25.93%-100M
-23.53%-147M
Net business purchase and sale
----
---316.54B
--686M
--1.53B
----
----
--0
--0
--0
----
Net investment product transactions
275,400.00%8.26B
181.54%26.18B
-19.95%4.54B
7,870.86%13.95B
669.37%7.69B
-100.12%-3M
977.90%9.3B
551.47%5.68B
120.44%175M
498.20%999M
Net changes in other investments
196.95%254M
174.42%2.11B
81.96%-158M
110.65%28M
258.29%2.5B
-127.83%-262M
-125.50%-2.83B
-107.47%-876M
-510.94%-263M
-190.98%-1.58B
Investing cash flow
29.92%-8.75B
-642.10%-344.02B
-4.93%-7.86B
90.70%-1.31B
-2,034.18%-322.37B
-28.40%-12.48B
-934.99%-46.36B
-1,996.20%-7.49B
-56.87%-14.04B
-54.69%-15.11B
Financing cash flow
Net issuance payments of debt
-18.79%16.54B
324.68%227.16B
-94.54%-57.48B
-158.11%-21.67B
2,304.83%285.93B
-39.84%20.37B
244.21%53.49B
-18.78%-29.54B
199.91%37.29B
244.74%11.89B
Net common stock issuance
0.00%-1M
6.67%144M
200.00%1M
---1M
6.62%145M
---1M
11.57%135M
90.91%-1M
--0
3.03%136M
Cash dividends paid
-51.46%-8.04B
-1.55%-10.77B
40.00%7M
-3.03%-5.47B
-16.67%5M
-0.08%-5.31B
-3.17%-10.6B
-16.67%5M
-3.17%-5.31B
--6M
Net other fund-raising expenses
-4.42%-2.53B
-37.29%-10.78B
-76.10%-3.05B
-31.15%-2.7B
-13.50%-2.61B
-37.30%-2.42B
1.21%-7.85B
23.43%-1.73B
-12.03%-2.06B
-0.79%-2.3B
Financing cash flow
-52.76%5.97B
485.01%205.76B
-93.52%-60.52B
-199.73%-29.84B
2,811.65%283.48B
-52.83%12.64B
163.72%35.17B
-15.22%-31.27B
449.05%29.92B
193.97%9.74B
Net cash flow
Beginning cash position
29.17%97.61B
77.72%75.57B
33.18%111.37B
26.06%90.46B
41.75%82.1B
77.72%75.57B
38.24%42.52B
116.68%83.62B
99.31%71.76B
62.59%57.92B
Current changes in cash
-264.90%-11.12B
-23.39%21.49B
-204.63%-8.94B
81.86%20.04B
-47.41%3.64B
-48.27%6.74B
225.02%28.05B
-198.99%-2.94B
344.22%11.02B
7,465.96%6.92B
Effect of exchange rate changes
2,583.41%5.24B
-88.91%555M
5.96%-4.81B
2.36%867M
-31.83%4.71B
-108.93%-211M
59.64%5B
-630.16%-5.12B
670.00%847M
1,370.00%6.91B
Cash adjustments other than cash changes
56,100.00%560M
----
----
----
----
-200.00%-1M
----
----
----
----
End cash Position
12.41%92.29B
29.17%97.61B
29.17%97.61B
33.18%111.37B
26.06%90.46B
41.75%82.1B
77.72%75.57B
77.72%75.57B
116.68%83.62B
99.31%71.76B
Free cash flow
-336.22%-29.18B
745.01%101.02B
99.03%45.63B
277.65%34.02B
1,086.67%28.05B
59.68%-6.69B
-148.94%-15.66B
15.91%22.93B
-556.56%-19.15B
-126.72%-2.84B
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
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 60.08%22.32B182.15%184.94B57.23%64.63B1,220.11%59.75B170.67%46.62B418.22%13.94B-18.30%65.55B26.03%41.11B-59.33%4.53B-16.66%17.23B
Net profit before non-cash adjustment 96.60%28.02B47.96%105.98B128.14%45.85B31.86%23.06B16.56%22.82B-1.47%14.25B-24.12%71.62B-40.51%20.1B79.48%17.49B46.04%19.57B
Total adjustment of non-cash items 7.72%14.8B15.51%55.01B10.97%12.15B25.75%16.75B8.46%12.38B15.00%13.74B141.35%47.62B66.05%10.95B11.91%13.32B4.54%11.41B
-Depreciation and amortization 26.59%16.33B19.19%59.49B17.99%15.16B24.09%16.09B23.89%15.34B10.13%12.9B9.56%49.91B9.17%12.85B13.22%12.97B6.92%12.38B
-Reversal of impairment losses recognized in profit and loss --0705.61%2.3B665.90%1.33B--5M31.25%147M--819M206.45%285M124.68%173M--0600.00%112M
-Disposal profit -198.41%-2.25B-4,335.90%-3.3B16,450.00%327M-1,930.77%-528M-3,150.65%-2.35B-2,700.00%-754M100.39%78M-100.53%-2M-112.32%-26M-35.29%77M
-Other non-cash items -6.97%721M-30.95%-3.47B-125.10%-4.66B213.56%1.18B34.25%-764M278.05%775M54.71%-2.65B63.19%-2.07B60.00%376M-44.89%-1.16B
Changes in working capital -45.92%-20.5B144.61%23.96B-34.08%6.63B175.87%19.94B183.07%11.43B40.77%-14.05B-58.45%-53.7B229.72%10.06B-149.87%-26.28B-276.93%-13.76B
-Change in receivables 342.30%3.56B90.01%-1.17B-169.48%-14.45B127.94%3.37B121.14%11.38B-377.50%-1.47B-58.83%-11.73B75.00%-5.36B-1,129.18%-12.05B289.04%5.15B
-Change in inventory -890.67%-8.73B166.36%31.64B-21.97%7.86B162.64%11.52B149.20%11.16B106.62%1.1B-44.02%-47.68B25.34%10.07B-10.08%-18.39B-225.41%-22.69B
-Change in payables -268.43%-2.02B-203.53%-6.19B613.96%7.25B-910.71%-6.81B-178.72%-6.09B53.56%-548M-3.39%5.98B-950.00%-1.41B-76.34%840M1,242.71%7.73B
-Provision for loans, leases and other losses 46.59%387M-20.60%-322M60.73%-540M-53.94%474M-12,900.00%-520M218.07%264M-165.12%-267M-268.63%-1.38B110.86%1.03B-180.00%-4M
-Changes in other current assets -2.21%-13.7B--------399.78%11.4B-14.33%-4.51B-106.90%-13.4B---------27.09%2.28B-377.94%-3.94B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -33.13%-1.52B-112.98%-6.16B-92.19%-1.99B-128.42%-1.75B-95.53%-1.27B-161.10%-1.14B-33.92%-2.89B-88.20%-1.04B-93.20%-767M-1.25%-649M
Interest received (cash flow from operating activities) 58.27%584M4.37%5.24B-12.24%2.24B41.65%585M13.36%2.05B47.01%369M57.77%5.02B88.54%2.55B118.52%413M27.22%1.8B
Tax refund paid -351.72%-29.72B14.63%-24.28B19.88%-5.44B18.09%-7.4B20.04%-4.87B-0.66%-6.58B-119.63%-28.44B-83.22%-6.79B-82.86%-9.03B-330.79%-6.09B
Other operating cash inflow (outflow) 1M001M-1M01M1M00
Operating cash flow -226.62%-8.34B307.18%159.74B65.89%59.44B1,154.10%51.19B245.98%42.53B263.35%6.59B-42.56%39.23B20.59%35.83B-181.16%-4.86B-38.63%12.29B
Investing cash flow
Net PPE purchase and sale -41.78%-17.14B-5.69%-55.28B-5.21%-12.74B-20.91%-16.75B4.69%-13.7B-1.04%-12.09B-269.29%-52.31B-20.72%-12.11B-72.64%-13.85B-55.09%-14.38B
Net intangibles purchase and sale 6.30%-119M7.98%-473M-5.62%-188M39.00%-61M34.01%-97M-42.70%-127M-38.92%-514M-345.00%-178M25.93%-100M-23.53%-147M
Net business purchase and sale -------316.54B--686M--1.53B----------0--0--0----
Net investment product transactions 275,400.00%8.26B181.54%26.18B-19.95%4.54B7,870.86%13.95B669.37%7.69B-100.12%-3M977.90%9.3B551.47%5.68B120.44%175M498.20%999M
Net changes in other investments 196.95%254M174.42%2.11B81.96%-158M110.65%28M258.29%2.5B-127.83%-262M-125.50%-2.83B-107.47%-876M-510.94%-263M-190.98%-1.58B
Investing cash flow 29.92%-8.75B-642.10%-344.02B-4.93%-7.86B90.70%-1.31B-2,034.18%-322.37B-28.40%-12.48B-934.99%-46.36B-1,996.20%-7.49B-56.87%-14.04B-54.69%-15.11B
Financing cash flow
Net issuance payments of debt -18.79%16.54B324.68%227.16B-94.54%-57.48B-158.11%-21.67B2,304.83%285.93B-39.84%20.37B244.21%53.49B-18.78%-29.54B199.91%37.29B244.74%11.89B
Net common stock issuance 0.00%-1M6.67%144M200.00%1M---1M6.62%145M---1M11.57%135M90.91%-1M--03.03%136M
Cash dividends paid -51.46%-8.04B-1.55%-10.77B40.00%7M-3.03%-5.47B-16.67%5M-0.08%-5.31B-3.17%-10.6B-16.67%5M-3.17%-5.31B--6M
Net other fund-raising expenses -4.42%-2.53B-37.29%-10.78B-76.10%-3.05B-31.15%-2.7B-13.50%-2.61B-37.30%-2.42B1.21%-7.85B23.43%-1.73B-12.03%-2.06B-0.79%-2.3B
Financing cash flow -52.76%5.97B485.01%205.76B-93.52%-60.52B-199.73%-29.84B2,811.65%283.48B-52.83%12.64B163.72%35.17B-15.22%-31.27B449.05%29.92B193.97%9.74B
Net cash flow
Beginning cash position 29.17%97.61B77.72%75.57B33.18%111.37B26.06%90.46B41.75%82.1B77.72%75.57B38.24%42.52B116.68%83.62B99.31%71.76B62.59%57.92B
Current changes in cash -264.90%-11.12B-23.39%21.49B-204.63%-8.94B81.86%20.04B-47.41%3.64B-48.27%6.74B225.02%28.05B-198.99%-2.94B344.22%11.02B7,465.96%6.92B
Effect of exchange rate changes 2,583.41%5.24B-88.91%555M5.96%-4.81B2.36%867M-31.83%4.71B-108.93%-211M59.64%5B-630.16%-5.12B670.00%847M1,370.00%6.91B
Cash adjustments other than cash changes 56,100.00%560M-----------------200.00%-1M----------------
End cash Position 12.41%92.29B29.17%97.61B29.17%97.61B33.18%111.37B26.06%90.46B41.75%82.1B77.72%75.57B77.72%75.57B116.68%83.62B99.31%71.76B
Free cash flow -336.22%-29.18B745.01%101.02B99.03%45.63B277.65%34.02B1,086.67%28.05B59.68%-6.69B-148.94%-15.66B15.91%22.93B-556.56%-19.15B-126.72%-2.84B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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Symbol
Latest Price
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