(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 flow from continuing operating activities | -896.80%-126.29B | 336.37%1.37T | 11.34%441.26B | 170.83%816.93B | 173.08%127.7B | 97.05%-12.67B | -74.49%314.69B | -6.76%396.31B | -38.65%301.63B | -60.45%46.76B |
Net income from continuing operations | 14.79%316.87B | -0.46%1.27T | 69.95%276.48B | 17.15%458.56B | -30.59%257.6B | -20.97%276.03B | 14.05%1.27T | 81.51%162.68B | -15.20%391.42B | 31.09%371.12B |
Operating gains losses | -120.61%-26.28B | -485.81%-105.22B | -115.03%-70.85B | -197.69%-23.22B | -55.96%765M | -156.59%-11.91B | 9.42%-17.96B | -3.46%-32.95B | -24.74%-7.8B | -89.64%1.74B |
Depreciation and amortization | 6.65%268.5B | 13.97%1.14T | 8.92%292.95B | 13.52%281.56B | 31.62%318.7B | 2.56%251.77B | 20.28%1T | 25.02%268.95B | 5.01%248.03B | 17.55%242.14B |
Other non cashItems | 61.83%-36.84B | 25.19%-78.3B | -243.02%-15.52B | -13.09%61.64B | 68.25%-27.9B | 2.06%-96.51B | -111.00%-104.66B | -95.51%10.85B | -71.35%70.93B | -144.30%-87.89B |
Change In working capital | -73.25%-538.62B | 63.54%-562.91B | -99.25%766M | 147.01%134.99B | 18.61%-387.77B | 64.75%-310.9B | -11.83%-1.54T | 293.54%101.57B | 26.05%-287.14B | 14.37%-476.45B |
-Change in receivables | 1,561.75%165.79B | -246.34%-243.65B | 68.71%348.56B | -148.02%-338.22B | -134.48%-242.64B | 69.43%-11.34B | 58.88%-70.35B | -19.63%206.61B | 54.25%-136.37B | -85.27%-103.48B |
-Change in inventory | 56.26%-123.84B | 113.50%75.64B | 1,250.09%164.16B | 497.59%405.95B | 28.17%-211.31B | -60.65%-283.15B | -187.93%-560.38B | 120.39%12.16B | -241.60%-102.1B | -239.85%-294.18B |
-Change in payables and accrued expense | -33.74%128.89B | 87.09%-13.3B | -86.39%-249.68B | 27.51%-25.08B | -26.88%66.93B | 846.83%194.53B | -171.16%-103.07B | -851.96%-133.95B | -151.79%-34.6B | 1,730.01%91.54B |
-Change in other current assets | -27.31%-931.64B | -34.74%-2.27T | -68.20%-852.68B | -132.39%-302.53B | 34.78%-379.92B | -58.13%-731.79B | 25.03%-1.68T | 28.09%-506.96B | 78.02%-130.19B | -15.30%-582.48B |
-Change in other current liabilities | 16.15%-155.11B | -109.09%-21.95B | -372.85%-107.76B | -67.45%57.98B | -28.26%212.82B | 32.19%-184.99B | -75.15%241.46B | -91.83%39.49B | -48.60%178.14B | 784.70%296.65B |
-Change in other working capital | -46.55%377.29B | 202.33%1.91T | 44.18%698.16B | 643.25%336.91B | 44.02%166.35B | 657.79%705.85B | 458.78%630.86B | 1,418.17%484.22B | -475.42%-62.02B | 119.38%115.5B |
Tax refund paid | 9.27%-109.92B | 1.30%-294B | 62.92%-42.57B | 15.12%-96.6B | -765.00%-33.68B | -85.25%-121.15B | -10.37%-297.88B | 0.53%-114.78B | -92.50%-113.81B | 86.85%-3.89B |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -896.80%-126.29B | 336.37%1.37T | 11.34%441.26B | 170.83%816.93B | 173.08%127.7B | 97.05%-12.67B | -74.49%314.69B | -6.76%396.31B | -38.65%301.63B | -60.45%46.76B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -80.78%-359.12B | 22.21%-818.89B | -1.94%-198.93B | -30.77%-284.89B | 57.97%-136.42B | 36.95%-198.65B | -44.44%-1.05T | 5.07%-195.14B | -187.89%-217.85B | -26.65%-324.62B |
Net PPE purchase and sale | -65.90%-206.16B | -1.72%-612.38B | 2.02%-173.2B | 30.63%-140.52B | -47.66%-174.4B | -18.81%-124.27B | -40.11%-602.04B | -78.24%-176.77B | -96.28%-202.57B | 12.61%-118.11B |
Net business purchase and sale | -182.76%-168.19B | 29.39%-199.26B | -858.71%-28.33B | -182.07%-103.65B | 96.06%-7.79B | -33.35%-59.48B | -32.47%-282.18B | 94.39%-2.96B | -176.60%-36.75B | -43.19%-197.87B |
Net investment purchase and sale | 189.59%15.15B | 98.41%-2.83B | -119.85%-8.23B | -75.84%-22.08B | 345.42%44.39B | 88.19%-16.91B | -136.77%-177.58B | 89.25%-3.74B | 45.72%-12.56B | -418.45%-18.09B |
Net other investing changes | -96.26%75M | -148.47%-4.43B | 192.70%10.82B | -154.78%-18.64B | -85.45%1.38B | 108.86%2.01B | 182.45%9.14B | 38.23%-11.68B | 1,164.76%34.02B | -16.64%9.46B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -80.78%-359.12B | 22.21%-818.89B | -1.94%-198.93B | -30.77%-284.89B | 57.97%-136.42B | 36.95%-198.65B | -44.44%-1.05T | 5.07%-195.14B | -187.89%-217.85B | -26.65%-324.62B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -99.28%1.53B | -349.95%-210.71B | -2,643.90%-412.9B | -331.74%-99.63B | 1.88%87.95B | 813.44%213.87B | 125.05%84.3B | 74.00%-15.05B | 146.95%42.99B | 172.14%86.33B |
Net issuance payments of debt | -99.57%1.17B | -69.98%78.66B | -3,483.28%-287.85B | -117.22%-20.27B | -6.59%115.55B | 848.80%271.22B | 261.02%261.97B | 61.24%-8.03B | 767.71%117.71B | 220.89%123.71B |
Net common stock issuance | -404.98%-51.26B | -104.51%-202.97B | -1,515.28%-128.27B | 8.12%-36.04B | 27.40%-28.51B | 20.73%-10.15B | -11.99%-99.25B | 79.17%-7.94B | -35.26%-39.23B | -181.58%-39.28B |
Cash dividends paid | -11.23%-54.45B | -13.92%-98.62B | -5.95%-196M | -13.78%-49.09B | -24.34%-378M | -14.03%-48.96B | -16.45%-86.57B | -38.06%-185M | -16.42%-43.15B | -1.67%-304M |
Net other financing activities | 5,968.08%106.07B | 50.10%12.23B | 206.75%3.41B | -24.51%5.78B | -41.35%1.3B | 161.85%1.75B | 174.63%8.15B | 0.73%1.11B | 197.14%7.65B | 170.97%2.21B |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -99.28%1.53B | -349.95%-210.71B | -2,643.90%-412.9B | -331.74%-99.63B | 1.88%87.95B | 813.44%213.87B | 125.05%84.3B | 74.00%-15.05B | 146.95%42.99B | 172.14%86.33B |
Net cash flow | ||||||||||
Beginning cash position | 28.78%1.91T | -27.75%1.48T | 56.77%2.02T | 34.45%1.63T | 11.68%1.53T | -27.75%1.48T | 14.70%2.05T | -29.33%1.29T | -17.92%1.21T | -20.48%1.37T |
Current changes in cash | -19,068.05%-483.88B | 152.57%343.62B | -191.65%-170.58B | 241.09%432.42B | 141.37%79.23B | 100.33%2.55B | -488.43%-653.67B | 15.17%186.13B | -60.92%126.77B | 25.70%-191.52B |
Effect of exchange rate changes | 10.71%53.86B | -2.76%82.6B | 762.12%58.58B | 17.98%-39.82B | -48.36%15.18B | -49.99%48.65B | -9.99%84.94B | -89.62%6.8B | -299.00%-48.55B | 363.86%29.4B |
End cash Position | -3.59%1.48T | 28.78%1.91T | 28.78%1.91T | 56.77%2.02T | 34.45%1.63T | 11.68%1.53T | -27.75%1.48T | -27.75%1.48T | -29.33%1.29T | -17.92%1.21T |
Free cash from | -136.13%-338.07B | 350.64%749.27B | 22.95%267.33B | 601.10%672.98B | 36.49%-47.87B | 73.34%-143.17B | -137.72%-298.94B | -32.58%217.43B | -74.96%95.99B | -305.85%-75.38B |
Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- |
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