(Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | |
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Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -13.14%228B | 50.82%929.59B | 21.61%271.53B | 58.85%226.31B | 64.95%169.28B | 77.38%262.48B | 54.70%616.35B | 33.46%223.28B | 61.91%142.47B | 774.54%102.63B |
Net profit before non-cash adjustment | -63.08%76.24B | 65.90%465.44B | -52.52%51.27B | 105.37%116.21B | 44.22%91.47B | 292.85%206.5B | 5.70%280.56B | 76.30%107.98B | 31.37%56.59B | -20.59%63.42B |
Total adjustment of non-cash items | 262.35%102.5B | -58.94%167.04B | 63.86%119.17B | -41.55%50.29B | -39.72%60.72B | -142.85%-63.14B | 29.12%406.82B | -18.37%72.73B | -20.69%86.04B | 567.11%100.72B |
-Depreciation and amortization | 6.32%102.5B | 4.63%399.98B | 7.04%104.34B | 4.19%100.31B | 3.72%98.92B | 3.50%96.41B | 12.72%382.29B | 4.31%97.48B | 9.63%96.28B | 18.04%95.37B |
-Reversal of impairment losses recognized in profit and loss | ---- | 728.89%18.77B | 1,059.93%16.82B | 270.58%1.74B | 220.54%135M | -83.81%74M | -72.19%2.26B | -74.82%1.45B | -19.28%469M | -107.00%-112M |
-Deferred income tax | ---- | -212.14%-40.2B | 111.04%5.19B | -12.40%28.24B | -18.62%24.13B | -566.02%-97.77B | -62.24%35.85B | -337.84%-47.02B | 5.57%32.24B | 70.79%29.65B |
-Other non-cash items | ---- | -1,456.92%-211.51B | -134.53%-7.19B | -86.26%-79.99B | -158.23%-62.47B | -288.94%-61.86B | 89.32%-13.59B | 169.64%20.81B | -310.75%-42.95B | 80.06%-24.19B |
Changes in working capital | -58.65%49.26B | 518.31%297.11B | 137.46%101.1B | 37,953.16%59.81B | 127.78%17.09B | 329.42%119.12B | 61.00%-71.03B | 150.98%42.57B | 99.75%-158M | 16.32%-61.52B |
-Change in receivables | 13.33%80.07B | 95.97%50.55B | -82.49%-54.14B | -1.47%36.11B | 83.94%-2.06B | 123.14%70.65B | 147.91%25.8B | -31.47%-29.67B | 171.43%36.65B | -269.79%-12.84B |
-Change in inventory | 14.57%-37.86B | 226.69%152.82B | -2.37%125.68B | 243.75%32.43B | 139.83%39.03B | 65.59%-44.32B | 46.61%-120.62B | 908.17%128.73B | 51.79%-22.56B | -28.14%-97.99B |
-Change in payables | -66.02%16.53B | -510.22%-22.11B | 70.66%-28.42B | -145.74%-19.79B | -143.49%-22.56B | -16.75%48.66B | -92.98%5.39B | -622.77%-96.87B | -124.29%-8.05B | 4,583.32%51.87B |
-Provision for loans, leases and other losses | ---- | -417.53%-20.2B | -113.20%-2.67B | -18,938.33%-11.42B | -7.47%-6.73B | 108.27%623M | 144.73%6.36B | 489.62%20.22B | 99.34%-60M | -221.79%-6.27B |
-Changes in other current assets | -121.81%-9.49B | 1,029.83%136.05B | 200.67%60.65B | 466.63%22.48B | 154.10%9.42B | 862.51%43.5B | -65.68%12.04B | -39.78%20.17B | -158.60%-6.13B | 143.11%3.71B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | -0.05%3.99B | -114.43%-58M | -3.00%678M | 93.90%159M | 14.32%3.21B | 110.72%3.99B | 630.91%402M | 144.41%699M | 60.78%82M | |
Interest paid (cash flow from operating activities) | 0.70%-21.81B | 9.31%-4.73B | -16.78%-6.67B | 3.05%-5.88B | 8.88%-4.53B | -20.78%-21.96B | -26.41%-5.21B | -14.48%-5.71B | -20.80%-6.07B | |
Interest received (cash flow from operating activities) | 93.93%42.33B | 61.08%10.11B | 95.14%13.48B | 72.98%10.2B | 210.92%8.54B | 72.23%21.83B | 87.04%6.28B | 98.48%6.91B | 124.57%5.9B | |
Tax refund paid | 12.32%-87.21B | 53.25%-8.29B | 31.81%-27.22B | 45.37%-8.61B | -65.40%-43.09B | 30.03%-99.47B | 0.94%-17.73B | -63.55%-39.93B | 77.78%-15.77B | |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | 0.61%228B | 66.47%866.9B | 29.73%268.57B | 97.79%206.58B | 90.32%165.14B | 84.97%226.62B | 106.13%520.74B | 39.22%207.02B | 67.49%104.44B | 198.03%86.77B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -71.47%-192.19B | -93.84%-504.1B | -83.22%-170.66B | -73.73%-104.24B | -123.73%-117.13B | -105.42%-112.09B | -51.91%-260.06B | -557.59%-93.14B | -12.31%-60B | -11.61%-52.35B |
Net intangibles purchase and sale | ---- | -23.84%-99.73B | -39.62%-31.19B | -31.46%-25.45B | -9.99%-24.5B | -12.27%-18.59B | -26.21%-80.53B | -25.41%-22.34B | -20.66%-19.36B | -49.90%-22.28B |
Net business purchase and sale | -201.28%-6.01B | 663.55%27.54B | 157.21%6.54B | -1,043.18%-22.33B | 506.95%37.39B | 398.39%5.93B | 99.16%-4.89B | -197.11%-11.43B | -12.30%2.37B | 101.04%6.16B |
Net changes in other investments | -1,128.08%-16.53B | -276.82%-2.55B | -143.26%-3.23B | 59.17%1.95B | -96.98%81M | -18.38%-1.35B | -93.06%1.44B | -352.76%-1.33B | -85.86%1.22B | -74.48%2.68B |
Investing cash flow | -70.29%-214.73B | -68.25%-578.84B | -54.82%-198.54B | -98.06%-150.06B | -58.32%-104.15B | -69.83%-126.09B | 56.79%-344.03B | -263.29%-128.23B | -30.36%-75.77B | 89.78%-65.79B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -1,107.80%-26.24B | 126.80%113.66B | 106.80%4.55B | -244.05%-83.01B | 270.38%189.52B | 100.86%2.6B | -293.53%-424.1B | -137.76%-66.94B | 191.86%57.63B | -211.31%-111.23B |
Net common stock issuance | 16.67%-10M | 2.00%-49M | -37.50%-11M | -57.14%-11M | -114.29%-15M | 57.14%-12M | -16.28%-50M | 11.11%-8M | 41.67%-7M | 41.67%-7M |
Increase or decrease of lease financing | ---- | -1.14%-75.72B | 3.28%-19.49B | 6.99%-17.1B | -10.16%-19.28B | -5.42%-19.85B | -8.78%-74.87B | -3.07%-20.15B | -3.54%-18.39B | -5.21%-17.5B |
Cash dividends paid | -16.68%-40.85B | -8.34%-75.86B | --0 | -16.68%-40.85B | --0 | -0.01%-35.01B | -20.02%-70.02B | --0 | -0.01%-35.01B | --0 |
Cash dividends for minorities | -13.97%-10.36B | 25.28%-17.59B | 9.39%-7.23B | 98.17%-116M | -46.46%-1.16B | -7.77%-9.09B | -15.81%-23.55B | 3.37%-7.98B | -1,810.24%-6.34B | 76.25%-792M |
Net other fund-raising expenses | 120.42%193M | -93.54%-27.93B | -601.97%-23.47B | 102.75%179M | -309.70%-3.7B | 93.42%-945M | -13.68%-14.43B | 793.62%4.68B | -86.77%-6.51B | 140.86%1.76B |
Financing cash flow | -24.01%-77.27B | 86.25%-83.49B | 49.51%-45.64B | -1,532.65%-140.91B | 229.43%165.37B | 83.61%-62.31B | -1,130.41%-607.01B | -160.76%-90.41B | 92.77%-8.63B | -268.91%-127.77B |
Net cash flow | ||||||||||
Beginning cash position | 36.62%1.12T | -32.04%819.5B | 26.61%1.04T | 37.51%1.16T | -4.00%909.95B | -32.04%819.5B | -24.31%1.21T | -7.83%820.1B | -13.14%847.19B | -41.68%947.88B |
Current changes in cash | -267.44%-64B | 147.54%204.56B | 309.84%24.39B | -521.05%-84.4B | 311.97%226.35B | 111.51%38.22B | 11.21%-430.3B | -104.43%-11.62B | 117.42%20.04B | 83.74%-106.79B |
Effect of exchange rate changes | 20.07%62.71B | 117.54%95.57B | 416.41%56.92B | 29.38%-42.28B | 52.36%28.7B | -29.37%52.23B | -54.62%43.93B | -79.60%11.02B | -302.33%-59.88B | 185.71%18.83B |
End cash Position | 22.90%1.12T | 36.62%1.12T | 36.62%1.12T | 26.61%1.04T | 37.51%1.16T | -4.00%909.95B | -32.04%819.5B | -32.04%819.5B | -7.83%820.1B | -13.14%847.19B |
Free cash flow | -67.21%30.55B | 45.63%219.7B | -26.25%63.87B | 273.17%41.44B | 284.80%21.21B | 95.59%93.17B | 434.15%150.86B | 34.54%86.6B | 186.53%11.11B | 103.61%5.51B |
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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