(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -51.07%72.08B | -19.01%125B | -24.15%98.79B | 10.73%589.82B | 33.18%157.95B | -8.75%147.31B | 8.12%154.34B | 18.51%130.23B | 61.26%532.67B | 5.80%118.6B |
Net profit before non-cash adjustment | -29.59%72.56B | -34.15%74.29B | -28.19%91.75B | 16.53%422.17B | -34.10%78.54B | 7.71%103.05B | 64.27%112.82B | 62.25%127.76B | 153.84%362.28B | 169.09%119.18B |
Total adjustment of non-cash items | -13.60%35.04B | 63.69%66.1B | 117.70%39.58B | -40.67%145.95B | 113.37%46.83B | -29.79%40.56B | -57.68%40.38B | -74.34%18.18B | 39.06%245.99B | -54.67%21.95B |
-Depreciation and amortization | 10.37%51.77B | 12.09%50.92B | 6.29%47.85B | -0.02%186.01B | 1.06%48.66B | -2.23%46.9B | -1.03%45.43B | 2.26%45.02B | 27.39%186.05B | 10.47%48.15B |
-Reversal of impairment losses recognized in profit and loss | -54.16%325M | -87.69%16M | 36.94%949M | -36.88%4.87B | 468.99%3.34B | -48.29%709M | -45.38%130M | -87.45%693M | 5,617.78%7.72B | 803.08%587M |
-Disposal profit | 87.55%-67M | 78.17%-50M | 84.44%-70M | 86.05%-1.34B | 77.61%-120M | 93.80%-538M | 27.07%-229M | -662.71%-450M | -72.45%-9.58B | 74.17%-536M |
-Net exchange gains and losses | 77.72%-973M | 174.33%5.24B | -7,527.97%-9B | -117.65%-7.59B | 113.02%3.94B | -127.05%-4.37B | -117.03%-7.05B | -100.75%-118M | 80.96%43B | -444.02%-30.29B |
-Remuneration paid in stock | 60.41%10.05B | 32.83%9.19B | 35.15%5.63B | 28.32%23.28B | 30.62%5.94B | 49.92%6.26B | 27.70%6.92B | 4.04%4.17B | 21.78%18.14B | -0.57%4.55B |
-Other non-cash items | -209.83%-26.06B | 116.41%790M | 81.40%-5.79B | -9,001.65%-59.29B | -2,861.90%-14.93B | -160.69%-8.41B | -270.37%-4.81B | -2,081.80%-31.13B | 127.95%666M | 92.29%-504M |
Changes in working capital | -1,060.59%-35.51B | -1,454.23%-15.38B | -107.14%-32.54B | 128.70%21.7B | 244.54%32.58B | -53.72%3.7B | 105.32%1.14B | 60.43%-15.71B | -807.27%-75.61B | -216.27%-22.54B |
-Change in receivables | 154.39%12.76B | 25.01%-8.74B | -166.89%-7.91B | 165.00%5.13B | 274.60%28.42B | -254.43%-23.47B | 25.22%-11.65B | 178.40%11.83B | 17.09%-7.89B | 218.79%7.59B |
-Change in inventory | -184.10%-2.1B | -107.48%-1.15B | -1,259.95%-4.49B | 172.38%30.07B | 335.06%11.82B | 118.44%2.5B | 257.72%15.37B | 102.92%387M | -564.42%-41.55B | -444.15%-5.03B |
-Change in payables | -162.79%-14.16B | 3.11%-7.44B | 191.65%1.16B | -82.44%2.44B | 40.43%-11.17B | 185.53%22.56B | -166.17%-7.68B | -109.68%-1.27B | -72.46%13.88B | -222.60%-18.75B |
-Provision for loans, leases and other losses | 6,077.27%2.63B | -328.11%-2B | -160.62%-1.85B | 120.07%1.81B | 154.99%3.03B | 94.87%-44M | 37.28%-466M | 62.66%-711M | -801.48%-9.01B | -529.80%-5.51B |
-Changes in other current assets | 82.66%5.54B | 130.84%1.11B | -3.34%-4.11B | 76.84%-6.79B | 74.18%-2.25B | 166.63%3.03B | 60.45%-3.59B | 42.89%-3.98B | -202.12%-29.3B | -31.23%-8.7B |
-Changes in other current liabilities | -1,270.16%-12.03B | -69.06%2.84B | 30.17%-15.34B | -529.83%-10.96B | -65.37%2.72B | -122.86%-878M | 320.32%9.16B | -40.65%-21.96B | 88.81%-1.74B | -45.31%7.86B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | 50.00%33M | 100.00%24M | 5.06%270M | 77.17%388M | 32.88%97M | 57.14%22M | -90.63%12M | 6,325.00%257M | -27.00%219M | -9.88%73M |
Interest paid (cash flow from operating activities) | ||||||||||
Interest received (cash flow from operating activities) | -8.15%5.32B | 118.37%11.84B | 69.49%6.36B | 5,049.90%25.29B | 11,764.37%10.32B | 2,353.39%5.79B | 5,014.15%5.42B | 5,953.23%3.75B | 102.89%491M | -23.01%87M |
Tax refund paid | -1.25%-42.5B | 181.79%2.63B | 45.63%-43.01B | -145.33%-136.2B | 5.64%-11.9B | -143.05%-41.97B | 24.65%-3.21B | -270.15%-79.12B | -136.57%-55.52B | -1,021.07%-12.61B |
Other operating cash inflow (outflow) | 502M | -99.90%1M | 0 | 1,081.46%17.33B | 266.67%44M | 0 | 1.01B | 1,519.70%16.28B | 1.47B | 12M |
Operating cash flow | -68.11%35.44B | -11.47%139.49B | -12.60%62.4B | 3.61%496.63B | 47.44%156.51B | -23.28%111.14B | 13.59%157.57B | -20.29%71.4B | 55.94%479.33B | -4.50%106.16B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -198.26%-36.79B | -157.92%-43.16B | -14.99%-24.98B | -55.73%-86.44B | -115.50%-35.65B | -32.46%-12.34B | -16.15%-16.73B | -42.47%-21.73B | -94.56%-55.51B | -76.40%-16.54B |
Net intangibles purchase and sale | 56.03%-5.95B | -50.79%-11B | -51.60%-7.65B | -85.39%-40.9B | -152.32%-15.04B | -163.53%-13.53B | -15.22%-7.3B | -8.73%-5.05B | -43.20%-22.06B | -11.63%-5.96B |
Net business purchase and sale | -752,351.24%-910.47B | ---- | ---- | -12.39%-9.95B | 99.93%-5M | 93.46%-121M | ---- | ---- | 98.56%-8.85B | 74.89%-6.97B |
Net investment product transactions | 73.18%-756M | 9.39%-299M | 42.09%-227M | -12.41%-4.87B | -627.32%-1.33B | -187.95%-2.82B | 71.91%-330M | 80.37%-392M | -417.80%-4.33B | 71.98%-183M |
Advance cash and loans provided to other parties | --0 | ---79.89B | ---75.33B | ---144.15B | --0 | ---144.15B | --0 | --0 | --0 | --0 |
Net changes in other investments | -134.97%-2.43B | 2,207.02%10.2B | -121.30%-2.03B | 378.19%18.82B | 613.13%2.82B | 691.58%6.96B | 81.74%-484M | 385.52%9.53B | -91.40%-6.77B | 180.82%396M |
Investing cash flow | -476.16%-956.4B | -410.17%-176.85B | -524.88%-110.22B | -174.29%-267.49B | -68.13%-49.19B | -799.71%-166B | -40.96%-34.66B | 30.07%-17.64B | 85.29%-97.52B | 32.93%-29.26B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 3,181.95%924.74B | 341.34%72.43B | -406.70%-152.01B | -44.86%-120.02B | 0.17%-30B | 61.72%-30.01B | -153.98%-30.01B | 0.06%-30B | -162.97%-82.85B | 56.09%-30.05B |
Net common stock issuance | ---- | ---- | ---- | 75.00%-50B | --0 | --0 | ---- | ---- | -189.37%-200B | --0 |
Increase or decrease of lease financing | 49.79%-975M | 2.61%-2.31B | -32.47%-665M | 1.78%-5.8B | -84.53%-978M | -33.47%-1.94B | 8.20%-2.37B | 62.26%-502M | -29.10%-5.9B | 73.18%-530M |
Cash dividends paid | --0 | ---2.5B | ---47.21B | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Interest paid (cash flow from financing activities) | -2,295.85%-6.92B | -83.27%-3.64B | 52.08%-323M | 8.79%-5.42B | -1.06%-2.48B | 56.08%-289M | 6.99%-1.98B | 4.40%-674M | 31.50%-5.95B | 25.48%-2.45B |
Net other fund-raising expenses | -125.00%-1M | ---- | ---- | 83.10%-12M | -50.00%1M | 140.00%4M | ---- | ---- | -108.82%-71M | 111.11%2M |
Financing cash flow | 2,944.50%916.84B | 175.82%63.98B | -542.17%-200.2B | 38.51%-181.25B | -1.28%-33.45B | 59.96%-32.23B | 43.43%-84.39B | 2.76%-31.18B | -186.46%-294.77B | 55.19%-33.03B |
Net cash flow | ||||||||||
Beginning cash position | -37.05%288.36B | ---- | 29.34%434.68B | -95.91%336.07B | 26.57%392.51B | 84.82%458.08B | ---- | 51.43%336.07B | 3,640.88%8.22T | 39.07%310.12B |
Current changes in cash | 95.27%-4.12B | -30.87%26.63B | -1,197.95%-248.02B | -44.98%47.89B | 68.38%73.87B | -289.66%-87.08B | 209.89%38.52B | -30.07%22.59B | 686.98%87.03B | 810.17%43.87B |
Effect of exchange rate changes | -309.75%-45.11B | -48.58%29.89B | 1,527.93%45.18B | 87.09%50.73B | -76.89%-31.69B | 31.58%21.51B | 270.30%58.13B | -78.63%2.78B | 59.81%27.11B | -450.45%-17.92B |
End cash Position | -39.08%239.13B | ---- | ---- | -94.79%434.68B | -94.79%434.68B | 26.57%392.51B | ---- | ---- | 3,656.27%8.34T | 3,656.27%8.34T |
Free cash flow | -108.72%-7.38B | -36.29%84.9B | -33.20%29.51B | -6.04%367.5B | 26.91%105.39B | -30.41%84.69B | 14.08%133.25B | -36.52%44.18B | 53.36%391.13B | -9.55%83.04B |
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 |
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