Alpico Holdings
297A
Branding Technology
7067
PIALA
7044
Axel Mark
3624
Nyle
5618
(FY)Mar 31, 2024 | (FY)Mar 31, 2023 | (FY)Mar 31, 2022 | (FY)Mar 31, 2021 | (Q4)Mar 31, 2021 | (Q3)Dec 31, 2020 | (Q2)Sep 30, 2020 | (Q1)Jun 30, 2020 | (FY)Mar 31, 2020 | (Q4)Mar 31, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | 47.24%71.57B | 12.68%48.61B | 516.96%43.14B | -83.75%6.99B | -26.29%17.08B | -63.65%5.45B | -449.00%-4.19B | -410.08%-11.35B | 149.11%43.02B | 103.35%23.17B |
Net profit before non-cash adjustment | -11.13%41.83B | 24.12%47.07B | 485.22%37.92B | -136.32%-9.84B | 23.32%-970M | -9.88%14.3B | -263.35%-16.72B | -385.03%-6.45B | 288.25%27.1B | -142.74%-1.27B |
Total adjustment of non-cash items | 86.00%28.16B | 219.79%15.14B | -82.35%4.73B | 32.27%26.82B | -137.36%-2.04B | 48.48%13.51B | 2,365.93%18.35B | -146.18%-3.01B | -27.22%20.27B | 77.82%5.47B |
-Depreciation and amortization | 24.66%16.02B | -6.34%12.85B | -18.03%13.72B | -13.01%16.73B | -27.21%3.62B | -27.80%3.48B | 1.35%4.79B | 2.67%4.85B | -7.89%19.24B | -3.44%4.97B |
-Reversal of impairment losses recognized in profit and loss | -21.30%351M | 3.72%446M | -87.15%430M | 802.16%3.35B | 1,920.13%3.21B | -59.38%65M | 100.00%70M | --0 | -95.55%371M | -90.69%159M |
-Share of associates | -490.19%-2.03B | -81.28%520M | -50.94%2.78B | 101.85%5.66B | 57.08%1.54B | 596.98%1.65B | 101.82%1.88B | -51.35%595M | -27.31%2.81B | -55.85%981M |
-Disposal profit | 102.39%24M | 84.64%-1B | 76.17%-6.53B | -938.54%-27.41B | -7,163.33%-14.83B | -273.65%-10.49B | -1,585.83%-2.02B | -174.68%-59M | 65.38%-2.64B | 103.38%210M |
-Net exchange gains and losses | -110.59%-122M | 203.60%1.15B | -98.93%-1.11B | -910.14%-559M | -341.99%-755M | 180.82%59M | 237.76%197M | -122.22%-60M | -67.45%69M | 204.70%312M |
-Other non-cash items | 1,082.58%13.92B | 125.87%1.18B | -115.67%-4.55B | 6,637.59%29.04B | 545.44%5.18B | 155.80%18.76B | 315.27%13.44B | -1,755.86%-8.33B | -80.30%431M | -323.46%-1.16B |
Changes in working capital | 111.63%1.58B | -2,915.73%-13.6B | 104.84%483M | -128.85%-9.98B | 5.94%20.09B | -124.11%-22.37B | 29.26%-5.82B | 63.18%-1.89B | 75.18%-4.36B | 253.96%18.97B |
-Change in receivables | 158.40%7.88B | -4,092.01%-13.49B | -46.52%338M | 122.48%632M | -10.60%14.18B | -126.01%-28.03B | 88.31%-1.42B | 170.87%15.9B | 72.45%-2.81B | 329.55%15.86B |
-Change in inventory | 136.43%8.19B | -46.42%-22.48B | -90.02%-15.35B | -382.32%-8.08B | -58.17%2.99B | -32.34%3.15B | -86.13%-5.22B | -46.70%-9B | 128.61%2.86B | 218.93%7.14B |
-Change in prepaid assets | 121.05%16M | 95.22%-76M | 29.91%-1.59B | -194.42%-2.27B | 197.67%42M | -21,110.00%-2.12B | 152.63%48M | 67.93%-236M | -14.24%-770M | 46.25%-43M |
-Change in payables | -239.44%-8.24B | -9.04%5.91B | 1,195.28%6.5B | 90.99%-593M | 80.68%-1.61B | 449.40%5.27B | -141.07%-1.76B | -148.75%-2.49B | -317.87%-6.58B | -152.66%-8.35B |
-Provision for loans, leases and other losses | 74.72%1.74B | 154.34%997M | 19.51%392M | -88.84%328M | 3.19%4.5B | 11.44%-635M | 4.59%2.53B | -94.42%-6.06B | 903.41%2.94B | 54.98%4.36B |
-Changes in other current assets | -151.52%-8.01B | 52.39%15.55B | --10.2B | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -82.13%-530M | 3.00%-291M | 39.64%-300M | -8.04%-497M | -25.00%-170M | -29.63%-70M | 3.41%-170M | 7.45%-87M | 15.44%-460M | 9.33%-136M |
Interest received (cash flow from operating activities) | 64.84%1.63B | 48.64%987M | 39.20%664M | -34.48%477M | -64.71%42M | -78.10%53M | -43.08%37M | 14.24%345M | -3.83%728M | 40.00%119M |
Tax refund paid | 0.87%-4.56B | -177.46%-4.6B | 72.78%-1.66B | -28.29%-6.09B | -58.36%-464M | 34.33%-1.73B | -104.62%-26M | -62.22%-3.88B | -82.41%-4.75B | -34.40%-293M |
Other operating cash inflow (outflow) | -75,800.00%-2.27B | 100.13%3M | 69.21%-2.24B | -242,166.67%-7.26B | -363,050.00%-7.26B | 75.00%-1M | -140.00%-2M | 0 | 400.00%3M | 166.67%2M |
Operating cash flow | 47.26%65.83B | 12.87%44.7B | 720.41%39.61B | -116.57%-6.38B | -59.64%9.23B | -70.48%3.7B | -362.46%-4.35B | -1,113.20%-14.97B | 159.05%38.54B | 105.82%22.86B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -6.12%-5.24B | -28.50%-4.94B | -135.66%-3.84B | 288.34%10.78B | 845.77%15.68B | -125.74%-524M | 32.58%-1.8B | 13.67%-2.58B | 27.52%-5.72B | -135.74%-2.1B |
Net intangibles purchase and sale | -5.12%-5.77B | -16.60%-5.49B | 31.23%-4.71B | -5.66%-6.85B | 9.58%-1.04B | 2.38%-1.93B | -4.31%-1.62B | -25.33%-2.26B | 38.15%-6.48B | 58.57%-1.15B |
Net business purchase and sale | -4,890.38%-89.73B | 67.38%-1.8B | 29.46%-5.51B | -248.53%-7.81B | -983.65%-919M | -2,200.00%-6.53B | 21.45%-260M | 94.05%-103M | 69.69%-2.24B | 110.63%104M |
Net investment product transactions | -171.39%-4.25B | 92.77%5.95B | -89.40%3.09B | 7,949.33%29.12B | 29,961.54%11.65B | 3,945.77%11.49B | -42.94%679M | 393.80%5.31B | -105.94%-371M | -102.72%-39M |
Advance cash and loans provided to other parties | -335.19%-8.3B | -147.98%-1.91B | 86.45%-769M | -109.95%-5.68B | 69.98%-145M | -22.27%-593M | -232.27%-2.19B | -155.20%-2.75B | -383.72%-2.7B | -163.93%-483M |
Repayment of advance payments to other parties and cash income from loans | -97.60%62M | 8.61%2.59B | -67.87%2.38B | 175.60%7.41B | 21,600.00%2.39B | 88.20%5.01B | -22.22%7M | 12.50%9M | 557.46%2.69B | -93.08%11M |
Dividends received (cash flow from investment activities) | -69.97%1.05B | 35.21%3.51B | 229.02%2.6B | -38.31%789M | -12.36%461M | 72.63%309M | -98.34%4M | -95.50%15M | 40.70%1.28B | 327.64%526M |
Net changes in other investments | -413.03%-1.34B | 87.10%-261M | -174.43%-2.02B | 242.23%2.72B | -254.65%-399M | 199.75%1.62B | 474.09%1.23B | 224.09%273M | 42.85%-1.91B | -70.51%258M |
Investing cash flow | -4,728.12%-113.51B | 73.27%-2.35B | -128.86%-8.79B | 297.06%30.47B | 1,063.07%27.67B | 1,015.38%8.85B | 3.56%-3.96B | 77.55%-2.08B | 30.07%-15.46B | -163.30%-2.87B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 55,064.40%104.98B | ---191M | --0 | -2,322.74%-23.33B | -463.04%-39.15B | --0 | 64.20%-4.18B | 299.92%20B | 91.14%-963M | 70.96%10.78B |
Net common stock issuance | -100.84%-10.02B | 80.16%-4.99B | -25,546.94%-25.13B | -123.22%-98M | -102.37%-4M | -112.35%-31M | -2,200.00%-63M | --0 | -15.77%422M | 2,716.67%169M |
Cash dividends paid | -54.24%-13.67B | 5.79%-8.87B | -33.23%-9.41B | 24.82%-7.06B | 20.00%-16M | 49.78%-2.35B | -12.24%-55M | 0.11%-4.64B | -0.17%-9.4B | 13.04%-20M |
Cash dividends for minorities | ---- | ---- | ---93M | --0 | ---- | ---- | ---- | ---- | ---- | ---- |
Net other fund-raising expenses | -14.60%-1.51B | 1.35%-1.32B | -33.30%-1.33B | 1.96%-1B | 21.45%-271M | 17.79%-231M | -24.19%-267M | -29.05%-231M | -12.09%-1.02B | -178.23%-345M |
Financing cash flow | 619.51%79.79B | 57.30%-15.36B | -14.22%-35.97B | -187.44%-31.49B | -472.51%-39.44B | -150.04%-2.61B | 61.76%-4.56B | 201.99%15.13B | 46.99%-10.96B | 71.69%10.59B |
Net cash flow | ||||||||||
Beginning cash position | 17.74%179.51B | -1.35%152.46B | -2.57%154.54B | 7.13%158.62B | 18.76%153.99B | 30.58%143.77B | 25.81%156.66B | 7.13%158.62B | -16.14%148.06B | 2.80%129.67B |
Current changes in cash | 18.95%32.11B | 623.46%27B | 30.34%-5.16B | -161.10%-7.4B | -108.32%-2.55B | -46.45%9.94B | 10.50%-12.87B | 91.50%-1.92B | 143.42%12.12B | 40.17%30.58B |
Effect of exchange rate changes | 4,956.17%8.19B | -94.65%162M | -8.52%3.03B | 310.36%3.31B | 290.10%3.09B | -71.54%288M | 42.86%-20M | 94.81%-48M | -164.54%-1.57B | -1,564.86%-1.63B |
Cash adjustments other than cash changes | ---- | -327.66%-107M | 213.33%47M | 50.00%15M | --0 | --2M | --0 | 30.00%13M | 600.00%10M | 0.00%-1M |
End cash Position | 22.45%219.81B | 17.74%179.51B | -1.35%152.46B | -2.57%154.54B | -2.57%154.54B | 18.76%153.99B | 30.58%143.77B | 25.81%156.66B | 7.13%158.62B | 7.13%158.62B |
Free cash flow | 61.48%54.72B | 22.13%33.89B | 229.70%27.75B | -209.68%-21.39B | -65.21%5.95B | -97.02%247M | -202.49%-7.77B | -497.50%-19.81B | 219.44%19.5B | 973.37%17.09B |
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 |