JP Stock MarketDetailed Quotes

6028 TechnoPro Holdings

Watchlist
  • 3112.0
  • -26.0-0.83%
20min DelayMarket Closed Feb 18 15:30 JST
325.20BMarket Cap22.62P/E (Static)

TechnoPro Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
60.11%12.68B
-50.86%5.1B
34.63%36.44B
11.20%8.04B
75.30%10.09B
-12.77%7.92B
107.89%10.38B
3.42%27.07B
-13.57%7.23B
14.27%5.76B
Net profit before non-cash adjustment
26.18%8.34B
19.00%6.96B
1.38%22.14B
-31.45%3.66B
11.90%6.02B
30.31%6.61B
-3.27%5.85B
4.15%21.84B
27.35%5.34B
-3.08%5.38B
Total adjustment of non-cash items
-12.79%1.16B
-488.79%-683M
112.12%6.93B
474.11%3.55B
-6.35%2.17B
22.83%1.33B
84.51%-116M
17.35%3.27B
-71.35%618M
11.40%2.32B
-Depreciation and amortization
-5.85%773M
-6.36%766M
4.57%3.27B
-1.61%796M
8.85%836M
7.04%821M
4.34%818M
0.90%3.13B
-11.00%809M
-1.92%768M
-Reversal of impairment losses recognized in profit and loss
----
----
--2.77B
----
----
----
----
--0
----
----
-Disposal profit
----
----
--0
----
----
----
----
96.98%-55M
----
----
-Other non-cash items
-24.02%386M
-55.14%-1.45B
358.76%890M
87.50%-17M
-13.89%1.33B
61.27%508M
39.07%-934M
-83.06%194M
-116.17%-136M
19.44%1.55B
Changes in working capital
16,847.37%3.18B
-125.44%-1.18B
275.73%7.37B
-34.56%837M
198.60%1.91B
-100.65%-19M
1,602.27%4.64B
-18.90%1.96B
-36.75%1.28B
25.23%-1.94B
-Change in receivables
-109.46%-33M
9.36%444M
215.60%452M
150.54%932M
37.31%-1.24B
-30.62%349M
-42.33%406M
75.25%-391M
2,757.14%372M
12.87%-1.97B
-Change in prepaid assets
75.44%4.37B
-943.50%-2.08B
18.19%3.59B
-10.41%2.09B
35.65%-1.23B
-28.32%2.49B
128.94%246M
8.42%3.04B
21.42%2.34B
-7.88%-1.92B
-Change in payables
59.45%-1.15B
-88.54%459M
3,136.22%3.86B
-53.70%-2.18B
98.09%4.88B
-180.39%-2.85B
2,666.67%4B
-106.71%-127M
-1,058.78%-1.42B
24.39%2.46B
-Provision for loans, leases and other losses
140.00%4M
35.71%-9M
4.99%-533M
33.33%-6M
1.76%-503M
69.70%-10M
-100.00%-14M
19.74%-561M
74.29%-9M
3.58%-512M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-23.81%-26M
-30.77%-17M
13.85%-56M
30.77%-9M
18.75%-13M
4.55%-21M
7.14%-13M
-1.56%-65M
7.14%-13M
-14.29%-16M
Interest received (cash flow from operating activities)
113.04%49M
600.00%35M
147.83%114M
106.90%60M
420.00%26M
283.33%23M
-16.67%5M
142.11%46M
625.00%29M
66.67%5M
Tax refund paid
-104.42%-71M
-25.24%-5.39B
5.34%-5.32B
-1,453.85%-202M
6.57%-2.42B
125.25%1.61B
-15.38%-4.31B
22.68%-5.62B
92.66%-13M
10.66%-2.59B
Other operating cash inflow (outflow)
-200.00%-3M
2M
4M
3M
-100.00%-2M
3M
0
0
0
-1M
Operating cash flow
32.52%12.63B
-104.52%-274M
45.52%31.18B
9.11%7.9B
143.46%7.69B
-2.52%9.53B
384.27%6.06B
13.61%21.42B
-11.61%7.24B
48.22%3.16B
Investing cash flow
Net PPE purchase and sale
-80.28%-128M
-4.14%-176M
6.96%-428M
26.63%-146M
63.16%-42M
5.33%-71M
-134.72%-169M
7.44%-460M
-74.56%-199M
-93.22%-114M
Net intangibles purchase and sale
20.90%-53M
77.03%-17M
27.82%-179M
75.22%-28M
90.74%-10M
-1,016.67%-67M
-252.38%-74M
-27.18%-248M
-334.62%-113M
-25.58%-108M
Net business purchase and sale
----
----
--0
--0
----
----
--0
58.27%-3.62B
--0
--0
Net investment product transactions
2.15%-182M
-228.81%-582M
-5,077.78%-466M
-70.37%72M
-225.90%-175M
59.83%-186M
-345.83%-177M
-100.64%-9M
180.46%243M
157.44%139M
Net changes in other investments
-32.56%-57M
-60.98%192M
364.22%288M
-60.29%-109M
-230.00%-52M
62.93%-43M
1,305.71%492M
-1,262.50%-109M
26.09%-68M
471.43%40M
Investing cash flow
-14.44%-420M
-909.72%-583M
82.36%-785M
-54.01%-211M
-548.84%-279M
44.39%-367M
102.00%72M
44.21%-4.45B
74.34%-137M
88.68%-43M
Financing cash flow
Net issuance payments of debt
-768.73%-2.25B
-34.41%-250M
42.86%-1B
0.00%-250M
39.00%-305M
48.20%-259M
62.80%-186M
-122.24%-1.75B
50.00%-250M
0.00%-500M
Net common stock issuance
---1.34B
-157.48%-3.66B
-148.92%-3.92B
100.13%2M
---2.5B
--0
---1.42B
---1.58B
---1.58B
--0
Increase or decrease of lease financing
-4.40%-1.76B
-3.84%-1.76B
-2.97%-7B
-2.45%-1.89B
5.58%-1.74B
-13.73%-1.68B
-3.49%-1.69B
-1.95%-6.8B
-2.45%-1.84B
-13.05%-1.85B
Cash dividends paid
-752.17%-392M
-3.83%-5.72B
9.72%-8.22B
0.00%-1M
1.33%-2.67B
94.24%-46M
1.71%-5.51B
-29.12%-9.11B
0.00%-1M
-24.59%-2.71B
Net other fund-raising expenses
-200.00%-1M
99.87%-1M
-78,400.00%-785M
--1M
---2M
--1M
---785M
99.86%-1M
--0
----
Financing cash flow
-188.82%-5.73B
-18.74%-11.39B
-8.83%-20.93B
41.83%-2.13B
-42.93%-7.22B
28.52%-1.99B
-23.98%-9.59B
-193.56%-19.23B
-59.64%-3.67B
-17.41%-5.05B
Net cash flow
Beginning cash position
2.15%32.75B
27.90%45.24B
-5.50%35.37B
24.22%39.48B
16.21%39.15B
16.89%32.06B
-5.50%35.37B
15.09%37.43B
-0.18%31.79B
-1.50%33.69B
Current changes in cash
-9.76%6.48B
-254.38%-12.24B
519.46%9.46B
61.74%5.55B
109.60%186M
13.23%7.18B
65.76%-3.46B
-152.09%-2.26B
-35.91%3.43B
24.09%-1.94B
Effect of exchange rate changes
315.29%183M
-278.42%-248M
106.09%406M
34.19%208M
364.52%144M
-11.84%-85M
59.77%139M
-65.80%197M
-33.48%155M
-83.77%31M
Cash adjustments other than cash changes
--2M
-150.00%-1M
---1M
----
----
----
--2M
----
----
----
End cash Position
0.66%39.41B
2.15%32.75B
27.90%45.24B
27.90%45.24B
24.22%39.48B
16.21%39.15B
16.89%32.06B
-5.50%35.37B
-5.50%35.37B
-0.18%31.79B
Free cash flow
32.54%12.45B
-108.02%-467M
47.57%30.57B
11.51%7.72B
160.10%7.63B
-3.12%9.4B
402.16%5.82B
14.04%20.72B
-13.94%6.92B
47.86%2.94B
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
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities 60.11%12.68B-50.86%5.1B34.63%36.44B11.20%8.04B75.30%10.09B-12.77%7.92B107.89%10.38B3.42%27.07B-13.57%7.23B14.27%5.76B
Net profit before non-cash adjustment 26.18%8.34B19.00%6.96B1.38%22.14B-31.45%3.66B11.90%6.02B30.31%6.61B-3.27%5.85B4.15%21.84B27.35%5.34B-3.08%5.38B
Total adjustment of non-cash items -12.79%1.16B-488.79%-683M112.12%6.93B474.11%3.55B-6.35%2.17B22.83%1.33B84.51%-116M17.35%3.27B-71.35%618M11.40%2.32B
-Depreciation and amortization -5.85%773M-6.36%766M4.57%3.27B-1.61%796M8.85%836M7.04%821M4.34%818M0.90%3.13B-11.00%809M-1.92%768M
-Reversal of impairment losses recognized in profit and loss ----------2.77B------------------0--------
-Disposal profit ----------0----------------96.98%-55M--------
-Other non-cash items -24.02%386M-55.14%-1.45B358.76%890M87.50%-17M-13.89%1.33B61.27%508M39.07%-934M-83.06%194M-116.17%-136M19.44%1.55B
Changes in working capital 16,847.37%3.18B-125.44%-1.18B275.73%7.37B-34.56%837M198.60%1.91B-100.65%-19M1,602.27%4.64B-18.90%1.96B-36.75%1.28B25.23%-1.94B
-Change in receivables -109.46%-33M9.36%444M215.60%452M150.54%932M37.31%-1.24B-30.62%349M-42.33%406M75.25%-391M2,757.14%372M12.87%-1.97B
-Change in prepaid assets 75.44%4.37B-943.50%-2.08B18.19%3.59B-10.41%2.09B35.65%-1.23B-28.32%2.49B128.94%246M8.42%3.04B21.42%2.34B-7.88%-1.92B
-Change in payables 59.45%-1.15B-88.54%459M3,136.22%3.86B-53.70%-2.18B98.09%4.88B-180.39%-2.85B2,666.67%4B-106.71%-127M-1,058.78%-1.42B24.39%2.46B
-Provision for loans, leases and other losses 140.00%4M35.71%-9M4.99%-533M33.33%-6M1.76%-503M69.70%-10M-100.00%-14M19.74%-561M74.29%-9M3.58%-512M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -23.81%-26M-30.77%-17M13.85%-56M30.77%-9M18.75%-13M4.55%-21M7.14%-13M-1.56%-65M7.14%-13M-14.29%-16M
Interest received (cash flow from operating activities) 113.04%49M600.00%35M147.83%114M106.90%60M420.00%26M283.33%23M-16.67%5M142.11%46M625.00%29M66.67%5M
Tax refund paid -104.42%-71M-25.24%-5.39B5.34%-5.32B-1,453.85%-202M6.57%-2.42B125.25%1.61B-15.38%-4.31B22.68%-5.62B92.66%-13M10.66%-2.59B
Other operating cash inflow (outflow) -200.00%-3M2M4M3M-100.00%-2M3M000-1M
Operating cash flow 32.52%12.63B-104.52%-274M45.52%31.18B9.11%7.9B143.46%7.69B-2.52%9.53B384.27%6.06B13.61%21.42B-11.61%7.24B48.22%3.16B
Investing cash flow
Net PPE purchase and sale -80.28%-128M-4.14%-176M6.96%-428M26.63%-146M63.16%-42M5.33%-71M-134.72%-169M7.44%-460M-74.56%-199M-93.22%-114M
Net intangibles purchase and sale 20.90%-53M77.03%-17M27.82%-179M75.22%-28M90.74%-10M-1,016.67%-67M-252.38%-74M-27.18%-248M-334.62%-113M-25.58%-108M
Net business purchase and sale ----------0--0----------058.27%-3.62B--0--0
Net investment product transactions 2.15%-182M-228.81%-582M-5,077.78%-466M-70.37%72M-225.90%-175M59.83%-186M-345.83%-177M-100.64%-9M180.46%243M157.44%139M
Net changes in other investments -32.56%-57M-60.98%192M364.22%288M-60.29%-109M-230.00%-52M62.93%-43M1,305.71%492M-1,262.50%-109M26.09%-68M471.43%40M
Investing cash flow -14.44%-420M-909.72%-583M82.36%-785M-54.01%-211M-548.84%-279M44.39%-367M102.00%72M44.21%-4.45B74.34%-137M88.68%-43M
Financing cash flow
Net issuance payments of debt -768.73%-2.25B-34.41%-250M42.86%-1B0.00%-250M39.00%-305M48.20%-259M62.80%-186M-122.24%-1.75B50.00%-250M0.00%-500M
Net common stock issuance ---1.34B-157.48%-3.66B-148.92%-3.92B100.13%2M---2.5B--0---1.42B---1.58B---1.58B--0
Increase or decrease of lease financing -4.40%-1.76B-3.84%-1.76B-2.97%-7B-2.45%-1.89B5.58%-1.74B-13.73%-1.68B-3.49%-1.69B-1.95%-6.8B-2.45%-1.84B-13.05%-1.85B
Cash dividends paid -752.17%-392M-3.83%-5.72B9.72%-8.22B0.00%-1M1.33%-2.67B94.24%-46M1.71%-5.51B-29.12%-9.11B0.00%-1M-24.59%-2.71B
Net other fund-raising expenses -200.00%-1M99.87%-1M-78,400.00%-785M--1M---2M--1M---785M99.86%-1M--0----
Financing cash flow -188.82%-5.73B-18.74%-11.39B-8.83%-20.93B41.83%-2.13B-42.93%-7.22B28.52%-1.99B-23.98%-9.59B-193.56%-19.23B-59.64%-3.67B-17.41%-5.05B
Net cash flow
Beginning cash position 2.15%32.75B27.90%45.24B-5.50%35.37B24.22%39.48B16.21%39.15B16.89%32.06B-5.50%35.37B15.09%37.43B-0.18%31.79B-1.50%33.69B
Current changes in cash -9.76%6.48B-254.38%-12.24B519.46%9.46B61.74%5.55B109.60%186M13.23%7.18B65.76%-3.46B-152.09%-2.26B-35.91%3.43B24.09%-1.94B
Effect of exchange rate changes 315.29%183M-278.42%-248M106.09%406M34.19%208M364.52%144M-11.84%-85M59.77%139M-65.80%197M-33.48%155M-83.77%31M
Cash adjustments other than cash changes --2M-150.00%-1M---1M--------------2M------------
End cash Position 0.66%39.41B2.15%32.75B27.90%45.24B27.90%45.24B24.22%39.48B16.21%39.15B16.89%32.06B-5.50%35.37B-5.50%35.37B-0.18%31.79B
Free cash flow 32.54%12.45B-108.02%-467M47.57%30.57B11.51%7.72B160.10%7.63B-3.12%9.4B402.16%5.82B14.04%20.72B-13.94%6.92B47.86%2.94B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP