JP Stock MarketDetailed Quotes

6486 Eagle Industry

Watchlist
  • 1996
  • 00.00%
20min DelayMarket to Open Aug 23 15:00 JST
99.32BMarket Cap12.41P/E (Static)

Eagle Industry Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
25.96%17.95B
6.91%14.25B
-29.60%13.33B
5.67%18.93B
-3.73%17.91B
30.34%18.61B
-28.61%14.28B
-15.91%20B
18.25%23.78B
-1.25%20.11B
Net profit before non-cash adjustment
5.05%12.84B
30.69%12.22B
25.07%9.35B
14.37%7.48B
-43.07%6.54B
-28.46%11.48B
33.85%16.05B
-18.80%11.99B
-11.07%14.76B
19.57%16.6B
Total adjustment of non-cash items
-9.50%7.82B
-14.91%8.65B
-0.88%10.16B
0.50%10.25B
22.11%10.2B
50.92%8.35B
-29.91%5.53B
-1.31%7.9B
55.16%8B
13.09%5.16B
-Depreciation and amortization
5.66%10.94B
2.27%10.35B
-3.37%10.12B
0.94%10.47B
9.87%10.38B
6.66%9.44B
13.28%8.85B
1.60%7.82B
18.06%7.69B
0.40%6.52B
-Reversal of impairment losses recognized in profit and loss
544.79%1.05B
-88.18%163M
96.72%1.38B
--701M
----
--92M
----
----
----
----
-Share of associates
-76.34%-3.32B
-27.53%-1.88B
4.65%-1.48B
-2.93%-1.55B
12.51%-1.5B
-73.19%-1.72B
-27.18%-992M
-680.00%-780M
94.38%-100M
13.86%-1.78B
-Disposal profit
16.19%-88M
-228.05%-105M
-69.74%82M
498.53%271M
48.48%-68M
94.59%-132M
-451.24%-2.44B
-109.95%-443M
25.18%-211M
7.84%-282M
-Other non-cash items
-748.72%-759M
120.75%117M
-84.90%53M
-74.82%351M
109.31%1.39B
484.21%666M
-91.24%114M
110.68%1.3B
-11.71%618M
59.45%700M
Changes in working capital
58.95%-2.72B
-7.05%-6.62B
-614.23%-6.18B
2.39%1.2B
195.76%1.17B
83.21%-1.23B
-6,505.26%-7.3B
-88.79%114M
161.67%1.02B
-185.71%-1.65B
-Change in receivables
19.22%-1.04B
41.93%-1.29B
-1,023.35%-2.21B
-211.93%-197M
-90.85%176M
536.28%1.92B
46.29%-441M
-466.52%-821M
114.29%224M
-96.12%-1.57B
-Change in inventory
75.27%-1.17B
-31.56%-4.72B
-1,751.61%-3.58B
117.89%217M
49.52%-1.21B
-26.74%-2.4B
-936.07%-1.9B
-695.65%-183M
98.20%-23M
-382.95%-1.28B
-Change in payables
-3,787.50%-1.87B
87.50%-48M
-384.44%-384M
-68.89%135M
126.21%434M
66.02%-1.66B
-474.56%-4.87B
450.67%1.3B
-121.94%-371M
6,864.00%1.69B
-Provision for loans, leases and other losses
1,400.00%255M
466.67%17M
100.81%3M
-135.06%-372M
1,483.58%1.06B
183.75%67M
-214.29%-80M
-61.33%70M
134.87%181M
-703.49%-519M
-Changes in other current assets
210.87%143M
-16.36%46M
-91.56%55M
16.43%652M
-13.85%560M
99.39%650M
148.08%326M
-225.56%-678M
2,447.83%540M
-104.82%-23M
-Changes in other current liabilities
251.27%956M
-989.66%-632M
-107.56%-58M
391.67%767M
-18.75%156M
156.80%192M
-179.53%-338M
-8.80%425M
959.09%466M
-98.20%44M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-32.46%-506M
2.05%-382M
4.41%-390M
1.69%-408M
-2.98%-415M
13.89%-403M
-0.86%-468M
4.92%-464M
22.66%-488M
5.26%-631M
Interest received (cash flow from operating activities)
89.63%3.58B
-15.21%1.89B
36.58%2.23B
-15.66%1.63B
141.88%1.94B
-63.22%800M
328.99%2.18B
62.50%507M
-24.64%312M
12.81%414M
Tax refund paid
4.43%-3.28B
-17.29%-3.43B
-27.15%-2.93B
32.09%-2.3B
22.80%-3.39B
-5.35%-4.39B
-4.67%-4.17B
26.65%-3.98B
6.53%-5.43B
-55.63%-5.81B
Other operating cash inflow (outflow)
-200.00%-1M
1M
0
-1M
0
0
0.00%-1M
0.00%-1M
0.00%-1M
0.00%-1M
Operating cash flow
43.97%17.74B
0.69%12.32B
-31.44%12.24B
11.26%17.85B
9.78%16.04B
23.70%14.61B
-26.43%11.81B
-11.66%16.06B
29.04%18.18B
-13.76%14.09B
Investing cash flow
Net PPE purchase and sale
-34.54%-11.06B
-51.28%-8.22B
0.80%-5.44B
45.23%-5.48B
24.60%-10B
-1.91%-13.27B
-18.79%-13.02B
1.55%-10.96B
-5.84%-11.13B
-44.10%-10.52B
Net intangibles purchase and sale
7.72%-681M
10.87%-738M
-76.55%-828M
26.60%-469M
-6.68%-639M
37.08%-599M
32.77%-952M
-15.78%-1.42B
-105.55%-1.22B
36.63%-595M
Net business purchase and sale
----
----
----
----
----
----
----
----
-15,145.45%-1.68B
99.31%-11M
Net investment product transactions
-77.80%190M
248.10%856M
-179.83%-578M
251.78%724M
-19.85%-477M
-107.49%-398M
524.94%5.31B
128.49%850M
131.99%372M
45.81%-1.16B
Net changes in other investments
-1,048.00%-474M
1,350.00%50M
-119.05%-4M
-90.95%21M
486.67%232M
-164.52%-60M
-66.55%93M
717.65%278M
109.34%34M
-214.83%-364M
Investing cash flow
-49.33%-12.03B
-17.66%-8.05B
-31.56%-6.85B
52.21%-5.2B
23.99%-10.89B
-67.23%-14.33B
23.84%-8.57B
17.46%-11.25B
-7.71%-13.63B
-8.52%-12.65B
Financing cash flow
Net issuance payments of debt
46.88%4.97B
144.91%3.38B
-911.31%-7.53B
234.69%928M
-124.46%-689M
1,210.23%2.82B
-63.06%215M
-27.52%582M
355.73%803M
76.28%-314M
Net common stock issuance
-329.79%-4.93B
---1.15B
--0
--0
-100.69%-1M
-43.58%145M
0.78%257M
-69.50%255M
439.35%836M
23.02%155M
Increase or decrease of lease financing
-4.95%-679M
-53.32%-647M
-20.23%-422M
-12.14%-351M
-195.28%-313M
-15.22%-106M
-15.00%-92M
33.33%-80M
-87.50%-120M
4.48%-64M
Cash dividends paid
-58.79%-3.9B
-0.04%-2.46B
-0.04%-2.46B
0.00%-2.45B
9.08%-2.45B
-22.24%-2.7B
0.00%-2.21B
1.25%-2.21B
-40.45%-2.24B
-136.20%-1.59B
Cash dividends for minorities
18.97%-1.86B
-100.70%-2.3B
-46.23%-1.15B
-29.21%-783M
18.98%-606M
14.71%-748M
5.90%-877M
8.72%-932M
-347.81%-1.02B
-4.11%-228M
Net other fund-raising expenses
----
----
-200.00%-3M
0.00%-1M
99.14%-1M
-182.93%-116M
88.12%-41M
66.70%-345M
-103,500.00%-1.04B
0.00%-1M
Financing cash flow
-102.30%-6.41B
72.58%-3.17B
-334.20%-11.55B
34.52%-2.66B
-474.82%-4.06B
74.25%-707M
-0.66%-2.75B
1.66%-2.73B
-35.71%-2.77B
5.33%-2.04B
Net cash flow
Beginning cash position
8.41%29.27B
-14.40%27B
57.03%31.55B
1.80%20.09B
-3.37%19.73B
3.15%20.42B
9.57%19.8B
0.88%18.07B
3.06%17.91B
33.77%17.38B
Current changes in cash
-163.12%-695M
117.87%1.1B
-161.70%-6.16B
815.22%9.99B
361.00%1.09B
-183.27%-418M
-75.89%502M
17.23%2.08B
391.15%1.78B
-124.24%-610M
Effect of exchange rate changes
111.89%2.48B
-27.71%1.17B
9.85%1.62B
247.20%1.47B
-270.37%-1B
-323.14%-270M
125.64%121M
74.18%-472M
-339.58%-1.83B
-23.47%763M
Cash adjustments other than cash changes
--1M
----
----
-100.38%-1M
26,600.00%265M
---1M
----
-42.86%120M
-44.59%210M
-56.64%379M
End cash Position
6.09%31.05B
8.41%29.27B
-14.40%27B
57.03%31.55B
1.80%20.09B
-3.37%19.73B
3.15%20.42B
9.57%19.8B
0.88%18.07B
3.06%17.91B
Free cash flow
87.92%5.91B
-45.49%3.15B
-51.17%5.77B
132.15%11.82B
851.59%5.09B
120.37%535M
-175.81%-2.63B
-35.76%3.46B
105.49%5.39B
-66.65%2.62B
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
(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(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 25.96%17.95B6.91%14.25B-29.60%13.33B5.67%18.93B-3.73%17.91B30.34%18.61B-28.61%14.28B-15.91%20B18.25%23.78B-1.25%20.11B
Net profit before non-cash adjustment 5.05%12.84B30.69%12.22B25.07%9.35B14.37%7.48B-43.07%6.54B-28.46%11.48B33.85%16.05B-18.80%11.99B-11.07%14.76B19.57%16.6B
Total adjustment of non-cash items -9.50%7.82B-14.91%8.65B-0.88%10.16B0.50%10.25B22.11%10.2B50.92%8.35B-29.91%5.53B-1.31%7.9B55.16%8B13.09%5.16B
-Depreciation and amortization 5.66%10.94B2.27%10.35B-3.37%10.12B0.94%10.47B9.87%10.38B6.66%9.44B13.28%8.85B1.60%7.82B18.06%7.69B0.40%6.52B
-Reversal of impairment losses recognized in profit and loss 544.79%1.05B-88.18%163M96.72%1.38B--701M------92M----------------
-Share of associates -76.34%-3.32B-27.53%-1.88B4.65%-1.48B-2.93%-1.55B12.51%-1.5B-73.19%-1.72B-27.18%-992M-680.00%-780M94.38%-100M13.86%-1.78B
-Disposal profit 16.19%-88M-228.05%-105M-69.74%82M498.53%271M48.48%-68M94.59%-132M-451.24%-2.44B-109.95%-443M25.18%-211M7.84%-282M
-Other non-cash items -748.72%-759M120.75%117M-84.90%53M-74.82%351M109.31%1.39B484.21%666M-91.24%114M110.68%1.3B-11.71%618M59.45%700M
Changes in working capital 58.95%-2.72B-7.05%-6.62B-614.23%-6.18B2.39%1.2B195.76%1.17B83.21%-1.23B-6,505.26%-7.3B-88.79%114M161.67%1.02B-185.71%-1.65B
-Change in receivables 19.22%-1.04B41.93%-1.29B-1,023.35%-2.21B-211.93%-197M-90.85%176M536.28%1.92B46.29%-441M-466.52%-821M114.29%224M-96.12%-1.57B
-Change in inventory 75.27%-1.17B-31.56%-4.72B-1,751.61%-3.58B117.89%217M49.52%-1.21B-26.74%-2.4B-936.07%-1.9B-695.65%-183M98.20%-23M-382.95%-1.28B
-Change in payables -3,787.50%-1.87B87.50%-48M-384.44%-384M-68.89%135M126.21%434M66.02%-1.66B-474.56%-4.87B450.67%1.3B-121.94%-371M6,864.00%1.69B
-Provision for loans, leases and other losses 1,400.00%255M466.67%17M100.81%3M-135.06%-372M1,483.58%1.06B183.75%67M-214.29%-80M-61.33%70M134.87%181M-703.49%-519M
-Changes in other current assets 210.87%143M-16.36%46M-91.56%55M16.43%652M-13.85%560M99.39%650M148.08%326M-225.56%-678M2,447.83%540M-104.82%-23M
-Changes in other current liabilities 251.27%956M-989.66%-632M-107.56%-58M391.67%767M-18.75%156M156.80%192M-179.53%-338M-8.80%425M959.09%466M-98.20%44M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -32.46%-506M2.05%-382M4.41%-390M1.69%-408M-2.98%-415M13.89%-403M-0.86%-468M4.92%-464M22.66%-488M5.26%-631M
Interest received (cash flow from operating activities) 89.63%3.58B-15.21%1.89B36.58%2.23B-15.66%1.63B141.88%1.94B-63.22%800M328.99%2.18B62.50%507M-24.64%312M12.81%414M
Tax refund paid 4.43%-3.28B-17.29%-3.43B-27.15%-2.93B32.09%-2.3B22.80%-3.39B-5.35%-4.39B-4.67%-4.17B26.65%-3.98B6.53%-5.43B-55.63%-5.81B
Other operating cash inflow (outflow) -200.00%-1M1M0-1M000.00%-1M0.00%-1M0.00%-1M0.00%-1M
Operating cash flow 43.97%17.74B0.69%12.32B-31.44%12.24B11.26%17.85B9.78%16.04B23.70%14.61B-26.43%11.81B-11.66%16.06B29.04%18.18B-13.76%14.09B
Investing cash flow
Net PPE purchase and sale -34.54%-11.06B-51.28%-8.22B0.80%-5.44B45.23%-5.48B24.60%-10B-1.91%-13.27B-18.79%-13.02B1.55%-10.96B-5.84%-11.13B-44.10%-10.52B
Net intangibles purchase and sale 7.72%-681M10.87%-738M-76.55%-828M26.60%-469M-6.68%-639M37.08%-599M32.77%-952M-15.78%-1.42B-105.55%-1.22B36.63%-595M
Net business purchase and sale ---------------------------------15,145.45%-1.68B99.31%-11M
Net investment product transactions -77.80%190M248.10%856M-179.83%-578M251.78%724M-19.85%-477M-107.49%-398M524.94%5.31B128.49%850M131.99%372M45.81%-1.16B
Net changes in other investments -1,048.00%-474M1,350.00%50M-119.05%-4M-90.95%21M486.67%232M-164.52%-60M-66.55%93M717.65%278M109.34%34M-214.83%-364M
Investing cash flow -49.33%-12.03B-17.66%-8.05B-31.56%-6.85B52.21%-5.2B23.99%-10.89B-67.23%-14.33B23.84%-8.57B17.46%-11.25B-7.71%-13.63B-8.52%-12.65B
Financing cash flow
Net issuance payments of debt 46.88%4.97B144.91%3.38B-911.31%-7.53B234.69%928M-124.46%-689M1,210.23%2.82B-63.06%215M-27.52%582M355.73%803M76.28%-314M
Net common stock issuance -329.79%-4.93B---1.15B--0--0-100.69%-1M-43.58%145M0.78%257M-69.50%255M439.35%836M23.02%155M
Increase or decrease of lease financing -4.95%-679M-53.32%-647M-20.23%-422M-12.14%-351M-195.28%-313M-15.22%-106M-15.00%-92M33.33%-80M-87.50%-120M4.48%-64M
Cash dividends paid -58.79%-3.9B-0.04%-2.46B-0.04%-2.46B0.00%-2.45B9.08%-2.45B-22.24%-2.7B0.00%-2.21B1.25%-2.21B-40.45%-2.24B-136.20%-1.59B
Cash dividends for minorities 18.97%-1.86B-100.70%-2.3B-46.23%-1.15B-29.21%-783M18.98%-606M14.71%-748M5.90%-877M8.72%-932M-347.81%-1.02B-4.11%-228M
Net other fund-raising expenses ---------200.00%-3M0.00%-1M99.14%-1M-182.93%-116M88.12%-41M66.70%-345M-103,500.00%-1.04B0.00%-1M
Financing cash flow -102.30%-6.41B72.58%-3.17B-334.20%-11.55B34.52%-2.66B-474.82%-4.06B74.25%-707M-0.66%-2.75B1.66%-2.73B-35.71%-2.77B5.33%-2.04B
Net cash flow
Beginning cash position 8.41%29.27B-14.40%27B57.03%31.55B1.80%20.09B-3.37%19.73B3.15%20.42B9.57%19.8B0.88%18.07B3.06%17.91B33.77%17.38B
Current changes in cash -163.12%-695M117.87%1.1B-161.70%-6.16B815.22%9.99B361.00%1.09B-183.27%-418M-75.89%502M17.23%2.08B391.15%1.78B-124.24%-610M
Effect of exchange rate changes 111.89%2.48B-27.71%1.17B9.85%1.62B247.20%1.47B-270.37%-1B-323.14%-270M125.64%121M74.18%-472M-339.58%-1.83B-23.47%763M
Cash adjustments other than cash changes --1M---------100.38%-1M26,600.00%265M---1M-----42.86%120M-44.59%210M-56.64%379M
End cash Position 6.09%31.05B8.41%29.27B-14.40%27B57.03%31.55B1.80%20.09B-3.37%19.73B3.15%20.42B9.57%19.8B0.88%18.07B3.06%17.91B
Free cash flow 87.92%5.91B-45.49%3.15B-51.17%5.77B132.15%11.82B851.59%5.09B120.37%535M-175.81%-2.63B-35.76%3.46B105.49%5.39B-66.65%2.62B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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Symbol
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