(FY)Mar 31, 2024 | (FY)Mar 31, 2023 | (FY)Mar 31, 2022 | (FY)Mar 31, 2021 | (FY)Mar 31, 2020 | (FY)Mar 31, 2019 | |
---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||
Cash from operating activities | 205.18%973.11M | -236.87%-925.23M | -49.20%676M | -26.01%1.33B | 219.20%1.8B | 563.45M |
Net profit before non-cash adjustment | -23.20%750.53M | -19.52%977.22M | 18.33%1.21B | 24.35%1.03B | -38.61%825.22M | --1.34B |
Total adjustment of non-cash items | 28.66%242.8M | 145.57%188.71M | -224.34%-414.1M | -45.67%333.04M | 244.62%612.97M | --177.87M |
-Depreciation and amortization | -0.87%328.78M | -12.44%331.68M | 11.65%378.79M | 12.60%339.26M | 40.27%301.31M | --214.81M |
-Reversal of impairment losses recognized in profit and loss | --0 | 223.94%14.2M | --4.38M | --0 | ---- | ---- |
-Disposal profit | 99.29%-862K | -216.02%-121.28M | 9,733.49%104.53M | 104.19%1.06M | -55.73%-25.35M | ---16.28M |
-Other non-cash items | -137.19%-85.12M | 96.02%-35.89M | -12,282.29%-901.8M | -102.16%-7.28M | 1,731.09%337.02M | ---20.66M |
Changes in working capital | 99.03%-20.22M | -1,583.82%-2.09B | -335.71%-124.19M | -107.91%-28.5M | 137.59%360.35M | ---958.6M |
-Change in receivables | 64.28%-497.75M | -687.24%-1.39B | -157.07%-177.02M | -72.81%310.16M | 244.34%1.14B | ---790.33M |
-Change in inventory | 138.54%281.49M | -974.59%-730.45M | -154.15%-67.98M | 145.55%125.53M | 59.62%-275.6M | ---682.54M |
-Change in payables | 114.50%15.15M | -77.87%7.06M | 316.19%31.91M | 97.18%-14.76M | -202.80%-522.89M | --508.64M |
-Change in accrued expense | -89.29%1.31M | 142.23%12.23M | 51.05%-28.95M | -208.51%-59.14M | -119.29%-19.17M | --99.37M |
-Provision for loans, leases and other losses | -10.86%35.76M | 463.38%40.11M | 77.75%-11.04M | 72.01%-49.61M | -284.44%-177.22M | --96.09M |
-Changes in other current assets | 641.74%143.83M | -120.60%-26.55M | 137.83%128.88M | -258.87%-340.69M | 212.97%214.45M | ---189.83M |
Dividends paid (cash flow from operating activities) | ||||||
Dividends received (cash flow from operating activities) | ||||||
Interest paid (cash flow from operating activities) | 31.68%-9.23M | 26.98%-13.51M | 16.76%-18.5M | 18.37%-22.23M | -29.50%-27.23M | -21.03M |
Interest received (cash flow from operating activities) | 196.70%4.31M | -91.71%1.45M | 166.05%17.53M | -9.20%6.59M | 18.36%7.26M | 6.13M |
Tax refund paid | 8.08%-390.6M | -120.39%-424.92M | 16.43%-192.81M | 53.67%-230.71M | -91.45%-498.02M | -260.13M |
Other operating cash inflow (outflow) | -24.60%51.29M | -86.69%68.02M | 5,559.67%511.01M | -96.92%9.03M | 29,338,200.00%293.38M | -1K |
Operating cash flow | 148.59%628.88M | -230.30%-1.29B | -9.16%993.24M | -30.53%1.09B | 445.69%1.57B | --288.43M |
Investing cash flow | ||||||
Net PPE purchase and sale | -205.50%-201.46M | 49.77%-65.94M | 89.73%-131.28M | -79.58%-1.28B | 48.78%-711.7M | ---1.39B |
Net intangibles purchase and sale | -11.06%-22.66M | -726.54%-20.4M | 88.64%-2.47M | 75.51%-21.73M | -1,182.54%-88.74M | ---6.92M |
Net investment product transactions | --0 | 522.37%684.64M | 68.27%-162.1M | ---510.92M | ---- | --20.12M |
Net changes in other investments | -103.66%-25.74M | -121.61%-12.64M | 163.49%58.48M | -386.37%-92.09M | -40.06%-18.94M | ---13.52M |
Investing cash flow | -142.66%-249.85M | 346.73%585.67M | 87.53%-237.37M | -132.23%-1.9B | 41.04%-819.37M | ---1.39B |
Financing cash flow | ||||||
Net issuance payments of debt | -33.07%-417.64M | 31.10%-313.85M | -1,637.18%-455.53M | 103.99%29.63M | -212.78%-742.92M | --658.72M |
Net common stock issuance | ---- | ---- | ---- | --1.35B | ---- | ---- |
Increase or decrease of lease financing | 14.28%-35.44M | 29.86%-41.34M | 12.00%-58.94M | -33.40%-66.98M | -7.12%-50.21M | ---46.87M |
Cash dividends paid | 11.09%-180.83M | -12.50%-203.39M | -172.66%-180.79M | 0.00%-66.3M | 0.00%-66.3M | ---66.3M |
Net other fund-raising expenses | 416.54%4.06M | 39,400.00%786K | 0.00%-2K | -100.00%-2K | 50.00%-1K | ---2K |
Financing cash flow | -12.92%-629.85M | 19.77%-557.79M | -155.97%-695.26M | 244.52%1.24B | -257.54%-859.44M | --545.54M |
Net cash flow | ||||||
Beginning cash position | -42.49%1.56B | 9.09%2.71B | 23.41%2.49B | -6.16%2.02B | -21.55%2.15B | --2.74B |
Current changes in cash | 80.19%-250.82M | -2,188.94%-1.27B | -85.99%60.62M | 512.58%432.71M | 81.13%-104.88M | ---555.81M |
Effect of exchange rate changes | -75.16%28.2M | -31.39%113.53M | 322.93%165.46M | 242.55%39.12M | 19.79%-27.44M | ---34.21M |
Cash adjustments other than cash changes | --1K | ---- | ---- | 200.00%1K | -200.00%-1K | --1K |
End cash Position | -14.27%1.34B | -42.49%1.56B | 9.09%2.71B | 23.41%2.49B | -6.16%2.02B | --2.15B |
Free cash flow | 129.06%402.56M | -275.96%-1.39B | 480.12%787.19M | -128.33%-207.09M | 165.73%731.02M | ---1.11B |
Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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