JP Stock MarketDetailed Quotes

6969 Matsuo Electric

Watchlist
  • 551
  • -11-1.96%
20min DelayMarket Closed Jul 12 15:00 JST
1.77BMarket Cap61.36P/E (Static)

Matsuo Electric 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
19.49%863.11M
8.44%722.33M
62.67%666.14M
1,205.73%409.49M
-79.25%31.36M
135.14%151.11M
149.23%64.26M
-265.63%-130.54M
-113.76%-35.7M
3,920.88%259.48M
Net profit before non-cash adjustment
-40.69%136.66M
189.55%230.41M
-692.16%-257.28M
123.57%43.45M
71.17%-184.36M
-492.87%-639.51M
90.95%-107.87M
25.27%-1.19B
-39.71%-1.59B
-3,254.43%-1.14B
Total adjustment of non-cash items
-33.68%318.97M
-52.82%480.96M
357.01%1.02B
-18.11%223.05M
-66.10%272.37M
123.47%803.42M
-62.70%359.51M
-30.54%963.9M
26.50%1.39B
607.20%1.1B
-Depreciation and amortization
14.63%195.73M
38.79%170.76M
74.31%123.03M
1.10%70.58M
-12.30%69.81M
-19.14%79.61M
1.87%98.45M
-13.84%96.64M
-44.48%112.17M
-11.00%202.05M
-Reversal of impairment losses recognized in profit and loss
----
----
----
----
----
229.26%34.21M
-90.64%10.39M
257.52%111.02M
-96.24%31.05M
--825.04M
-Assets reserve and write-off
----
----
----
----
----
----
----
----
2.45%-279K
85.90%-286K
-Disposal profit
-99.49%156K
751.79%30.51M
517.59%3.58M
-36.82%580K
-93.41%918K
110.95%13.93M
15.97%-127.2M
-210.13%-151.36M
618.78%137.44M
59.70%-26.49M
-Net exchange gains and losses
----
----
----
----
----
----
--117K
----
----
----
-Pension and employee benefit expenses
----
----
----
----
----
----
----
----
-293.49%-6.21M
--3.21M
-Other non-cash items
-55.99%123.08M
-68.67%279.69M
487.76%892.77M
-24.67%151.89M
-70.16%201.64M
78.87%675.67M
-58.38%377.75M
-18.49%907.6M
1,091.91%1.11B
2,355.38%93.42M
Changes in working capital
3,617.22%407.48M
111.42%10.96M
-167.11%-95.96M
352.41%142.99M
-342.64%-56.65M
93.17%-12.8M
-293.04%-187.39M
-43.28%97.07M
-43.66%171.14M
253.36%303.78M
-Change in receivables
3,114.98%272.13M
91.55%-9.03M
15.94%-106.79M
-195.78%-127.04M
-51.25%132.64M
289.00%272.08M
-266.32%-143.95M
-69.24%86.55M
-1.41%281.37M
221.00%285.39M
-Change in inventory
-9,465.36%-241.62M
-166.00%-2.53M
-96.13%3.83M
194.88%98.94M
147.95%33.55M
54.19%-69.97M
-367.55%-152.75M
-24.53%-32.67M
-113.89%-26.23M
163.52%188.85M
-Change in payables
363.61%139.2M
-312.97%-52.81M
-105.92%-12.79M
226.94%216M
4.32%-170.16M
-254.66%-177.84M
66.39%114.98M
244.60%69.1M
70.26%-47.79M
-182.21%-160.72M
-Change in accrued expense
----
----
----
----
----
----
----
----
-763.61%-51.83M
-72.65%7.81M
-Provision for loans, leases and other losses
16,676.04%212.89M
175.45%1.27M
96.16%-1.68M
-4.14%-43.82M
-84.78%-42.08M
-15,695.89%-22.77M
269.77%146K
---86K
----
----
-Changes in other current assets
256.89%36.03M
-247.29%-22.96M
-85.83%-6.61M
-28.59%-3.56M
-366.57%-2.77M
113.85%1.04M
63.65%-7.49M
-392.67%-20.61M
208.19%7.04M
-177.35%-6.51M
-Changes in other current liabilities
-111.49%-11.15M
245.41%97.02M
1,038.51%28.09M
131.47%2.47M
48.88%-7.84M
-1,013.95%-15.34M
132.21%1.68M
-160.74%-5.21M
177.63%8.58M
20.64%-11.05M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-15.91%-24.49M
2.48%-21.13M
33.21%-21.67M
-58.38%-32.44M
-9.57%-20.48M
-21.77%-18.69M
-11.51%-15.35M
-7.93%-13.77M
-34.67%-12.76M
6.05%-9.47M
Interest received (cash flow from operating activities)
7.46%576K
-2.37%536K
-11.31%549K
-25.42%619K
-71.29%830K
-52.73%2.89M
-67.25%6.12M
-17.36%18.67M
6.86%22.59M
6.59%21.14M
Tax refund paid
90.63%-4.64M
-462.16%-49.5M
0.00%-8.81M
-6.82%-8.81M
-6.42%-8.24M
38.02%-7.75M
10.07%-12.5M
-62.99%-13.9M
0.00%-8.53M
0.00%-8.53M
Other operating cash inflow (outflow)
-12.44%-458.65M
-17.84%-407.9M
34.11%-346.14M
-18.34%-525.31M
6.90%-443.9M
-13.43%-476.81M
48.58%-420.35M
-48.79%-817.54M
-513.10%-549.44M
-8,961,700.00%-89.62M
Operating cash flow
53.85%375.92M
-15.77%244.34M
285.42%290.07M
64.48%-156.45M
-26.11%-440.43M
7.56%-349.25M
60.52%-377.82M
-63.93%-957.07M
-437.47%-583.83M
3,208.77%173M
Investing cash flow
Net PPE purchase and sale
-48.17%-400.7M
-72.52%-270.42M
-77.74%-156.75M
-2,088.05%-88.19M
105.98%4.44M
12.32%-74.24M
-445.37%-84.67M
-27.12%-15.53M
71.06%-12.21M
76.69%-42.21M
Net intangibles purchase and sale
49.53%-1.83M
91.22%-3.63M
-54.70%-41.38M
72.01%-26.75M
-13.90%-95.57M
-158.12%-83.9M
---32.51M
----
----
---347K
Net investment product transactions
--0
--0
--0
-2.44%200M
--205M
--0
-43.72%322.24M
308.85%572.59M
233.80%140.05M
-83.49%41.96M
Advance cash and loans provided to other parties
----
----
----
----
----
-1,857.04%-91.98M
-422.22%-4.7M
---900K
----
----
Repayment of advance payments to other parties and cash income from loans
-67.80%330K
-11.64%1.03M
1.49%1.16M
19.06%1.14M
-99.13%960K
15,064.11%110.7M
120.54%730K
25.38%331K
-71.79%264K
3.88%936K
Net changes in other investments
-161.38%-3.02M
8,152.46%4.91M
99.08%-61K
-4,938.17%-6.6M
96.61%-131K
-109.60%-3.86M
2,228.45%40.25M
-189,000.00%-1.89M
-100.36%-1K
254.44%278K
Investing cash flow
-51.13%-405.22M
-36.08%-268.12M
-347.50%-197.03M
-30.60%79.61M
180.05%114.7M
-159.37%-143.29M
-56.48%241.35M
332.95%554.61M
20,627.83%128.1M
-99.16%618K
Financing cash flow
Net issuance payments of debt
-181.49%-216.8M
601.82%266.06M
-114.06%-53.02M
14.64%377.15M
-22.53%328.99M
--424.66M
----
-37.50%250M
--400M
----
Net common stock issuance
49.66%-73K
-100.03%-145K
942,041.51%499.23M
48.04%-53K
23.31%-102K
77.65%-133K
-163.27%-595K
36.16%-226K
58.16%-354K
-88.84%-846K
Increase or decrease of lease financing
4.74%-22.21M
-166.67%-23.31M
-5.53%-8.74M
39.48%-8.28M
24.88%-13.69M
35.10%-18.22M
10.59%-28.07M
-10.33%-31.4M
-8.30%-28.46M
-5.13%-26.28M
Cash dividends paid
----
----
----
----
----
----
54.81%-47K
76.68%-104K
98.84%-446K
0.21%-38.42M
Net other fund-raising expenses
0.00%-1K
0.00%-1K
0.00%-1K
0.00%-1K
0.00%-1K
0.00%-1K
50.00%-1K
0.00%-2K
---2K
----
Financing cash flow
-198.55%-239.08M
-44.54%242.61M
18.62%437.47M
17.01%368.81M
-22.42%315.2M
1,514.97%406.31M
-113.16%-28.72M
-41.13%218.27M
665.66%370.74M
-2.50%-65.54M
Net cash flow
Beginning cash position
19.56%1.34B
90.23%1.12B
98.64%587.96M
-3.44%295.99M
-18.09%306.51M
-35.20%374.19M
-24.18%577.5M
-10.04%761.69M
14.77%846.69M
0.71%737.72M
Current changes in cash
-222.65%-268.38M
-58.75%218.83M
81.70%530.52M
2,873.01%291.97M
87.79%-10.53M
47.80%-86.23M
10.32%-165.18M
-116.71%-184.2M
-178.64%-85M
2,443.06%108.08M
Effect of exchange rate changes
----
----
----
----
----
----
---117K
----
----
-5.92%890K
Cash adjustments other than cash changes
---1K
----
--1K
----
----
1,855,400.00%18.55M
-200.00%-1K
0.00%1K
--1K
----
End cash Position
-20.07%1.07B
19.56%1.34B
90.23%1.12B
98.64%587.96M
-3.44%295.99M
-25.64%306.51M
-28.62%412.2M
-24.18%577.5M
-10.04%761.69M
14.77%846.69M
Free cash flow
10.45%-26.62M
-133.72%-29.72M
132.47%88.13M
54.89%-271.38M
-18.56%-601.56M
1.97%-507.4M
47.27%-517.57M
-64.00%-981.59M
-558.83%-598.55M
169.80%130.45M
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 19.49%863.11M8.44%722.33M62.67%666.14M1,205.73%409.49M-79.25%31.36M135.14%151.11M149.23%64.26M-265.63%-130.54M-113.76%-35.7M3,920.88%259.48M
Net profit before non-cash adjustment -40.69%136.66M189.55%230.41M-692.16%-257.28M123.57%43.45M71.17%-184.36M-492.87%-639.51M90.95%-107.87M25.27%-1.19B-39.71%-1.59B-3,254.43%-1.14B
Total adjustment of non-cash items -33.68%318.97M-52.82%480.96M357.01%1.02B-18.11%223.05M-66.10%272.37M123.47%803.42M-62.70%359.51M-30.54%963.9M26.50%1.39B607.20%1.1B
-Depreciation and amortization 14.63%195.73M38.79%170.76M74.31%123.03M1.10%70.58M-12.30%69.81M-19.14%79.61M1.87%98.45M-13.84%96.64M-44.48%112.17M-11.00%202.05M
-Reversal of impairment losses recognized in profit and loss --------------------229.26%34.21M-90.64%10.39M257.52%111.02M-96.24%31.05M--825.04M
-Assets reserve and write-off --------------------------------2.45%-279K85.90%-286K
-Disposal profit -99.49%156K751.79%30.51M517.59%3.58M-36.82%580K-93.41%918K110.95%13.93M15.97%-127.2M-210.13%-151.36M618.78%137.44M59.70%-26.49M
-Net exchange gains and losses --------------------------117K------------
-Pension and employee benefit expenses ---------------------------------293.49%-6.21M--3.21M
-Other non-cash items -55.99%123.08M-68.67%279.69M487.76%892.77M-24.67%151.89M-70.16%201.64M78.87%675.67M-58.38%377.75M-18.49%907.6M1,091.91%1.11B2,355.38%93.42M
Changes in working capital 3,617.22%407.48M111.42%10.96M-167.11%-95.96M352.41%142.99M-342.64%-56.65M93.17%-12.8M-293.04%-187.39M-43.28%97.07M-43.66%171.14M253.36%303.78M
-Change in receivables 3,114.98%272.13M91.55%-9.03M15.94%-106.79M-195.78%-127.04M-51.25%132.64M289.00%272.08M-266.32%-143.95M-69.24%86.55M-1.41%281.37M221.00%285.39M
-Change in inventory -9,465.36%-241.62M-166.00%-2.53M-96.13%3.83M194.88%98.94M147.95%33.55M54.19%-69.97M-367.55%-152.75M-24.53%-32.67M-113.89%-26.23M163.52%188.85M
-Change in payables 363.61%139.2M-312.97%-52.81M-105.92%-12.79M226.94%216M4.32%-170.16M-254.66%-177.84M66.39%114.98M244.60%69.1M70.26%-47.79M-182.21%-160.72M
-Change in accrued expense ---------------------------------763.61%-51.83M-72.65%7.81M
-Provision for loans, leases and other losses 16,676.04%212.89M175.45%1.27M96.16%-1.68M-4.14%-43.82M-84.78%-42.08M-15,695.89%-22.77M269.77%146K---86K--------
-Changes in other current assets 256.89%36.03M-247.29%-22.96M-85.83%-6.61M-28.59%-3.56M-366.57%-2.77M113.85%1.04M63.65%-7.49M-392.67%-20.61M208.19%7.04M-177.35%-6.51M
-Changes in other current liabilities -111.49%-11.15M245.41%97.02M1,038.51%28.09M131.47%2.47M48.88%-7.84M-1,013.95%-15.34M132.21%1.68M-160.74%-5.21M177.63%8.58M20.64%-11.05M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -15.91%-24.49M2.48%-21.13M33.21%-21.67M-58.38%-32.44M-9.57%-20.48M-21.77%-18.69M-11.51%-15.35M-7.93%-13.77M-34.67%-12.76M6.05%-9.47M
Interest received (cash flow from operating activities) 7.46%576K-2.37%536K-11.31%549K-25.42%619K-71.29%830K-52.73%2.89M-67.25%6.12M-17.36%18.67M6.86%22.59M6.59%21.14M
Tax refund paid 90.63%-4.64M-462.16%-49.5M0.00%-8.81M-6.82%-8.81M-6.42%-8.24M38.02%-7.75M10.07%-12.5M-62.99%-13.9M0.00%-8.53M0.00%-8.53M
Other operating cash inflow (outflow) -12.44%-458.65M-17.84%-407.9M34.11%-346.14M-18.34%-525.31M6.90%-443.9M-13.43%-476.81M48.58%-420.35M-48.79%-817.54M-513.10%-549.44M-8,961,700.00%-89.62M
Operating cash flow 53.85%375.92M-15.77%244.34M285.42%290.07M64.48%-156.45M-26.11%-440.43M7.56%-349.25M60.52%-377.82M-63.93%-957.07M-437.47%-583.83M3,208.77%173M
Investing cash flow
Net PPE purchase and sale -48.17%-400.7M-72.52%-270.42M-77.74%-156.75M-2,088.05%-88.19M105.98%4.44M12.32%-74.24M-445.37%-84.67M-27.12%-15.53M71.06%-12.21M76.69%-42.21M
Net intangibles purchase and sale 49.53%-1.83M91.22%-3.63M-54.70%-41.38M72.01%-26.75M-13.90%-95.57M-158.12%-83.9M---32.51M-----------347K
Net investment product transactions --0--0--0-2.44%200M--205M--0-43.72%322.24M308.85%572.59M233.80%140.05M-83.49%41.96M
Advance cash and loans provided to other parties ---------------------1,857.04%-91.98M-422.22%-4.7M---900K--------
Repayment of advance payments to other parties and cash income from loans -67.80%330K-11.64%1.03M1.49%1.16M19.06%1.14M-99.13%960K15,064.11%110.7M120.54%730K25.38%331K-71.79%264K3.88%936K
Net changes in other investments -161.38%-3.02M8,152.46%4.91M99.08%-61K-4,938.17%-6.6M96.61%-131K-109.60%-3.86M2,228.45%40.25M-189,000.00%-1.89M-100.36%-1K254.44%278K
Investing cash flow -51.13%-405.22M-36.08%-268.12M-347.50%-197.03M-30.60%79.61M180.05%114.7M-159.37%-143.29M-56.48%241.35M332.95%554.61M20,627.83%128.1M-99.16%618K
Financing cash flow
Net issuance payments of debt -181.49%-216.8M601.82%266.06M-114.06%-53.02M14.64%377.15M-22.53%328.99M--424.66M-----37.50%250M--400M----
Net common stock issuance 49.66%-73K-100.03%-145K942,041.51%499.23M48.04%-53K23.31%-102K77.65%-133K-163.27%-595K36.16%-226K58.16%-354K-88.84%-846K
Increase or decrease of lease financing 4.74%-22.21M-166.67%-23.31M-5.53%-8.74M39.48%-8.28M24.88%-13.69M35.10%-18.22M10.59%-28.07M-10.33%-31.4M-8.30%-28.46M-5.13%-26.28M
Cash dividends paid ------------------------54.81%-47K76.68%-104K98.84%-446K0.21%-38.42M
Net other fund-raising expenses 0.00%-1K0.00%-1K0.00%-1K0.00%-1K0.00%-1K0.00%-1K50.00%-1K0.00%-2K---2K----
Financing cash flow -198.55%-239.08M-44.54%242.61M18.62%437.47M17.01%368.81M-22.42%315.2M1,514.97%406.31M-113.16%-28.72M-41.13%218.27M665.66%370.74M-2.50%-65.54M
Net cash flow
Beginning cash position 19.56%1.34B90.23%1.12B98.64%587.96M-3.44%295.99M-18.09%306.51M-35.20%374.19M-24.18%577.5M-10.04%761.69M14.77%846.69M0.71%737.72M
Current changes in cash -222.65%-268.38M-58.75%218.83M81.70%530.52M2,873.01%291.97M87.79%-10.53M47.80%-86.23M10.32%-165.18M-116.71%-184.2M-178.64%-85M2,443.06%108.08M
Effect of exchange rate changes ---------------------------117K---------5.92%890K
Cash adjustments other than cash changes ---1K------1K--------1,855,400.00%18.55M-200.00%-1K0.00%1K--1K----
End cash Position -20.07%1.07B19.56%1.34B90.23%1.12B98.64%587.96M-3.44%295.99M-25.64%306.51M-28.62%412.2M-24.18%577.5M-10.04%761.69M14.77%846.69M
Free cash flow 10.45%-26.62M-133.72%-29.72M132.47%88.13M54.89%-271.38M-18.56%-601.56M1.97%-507.4M47.27%-517.57M-64.00%-981.59M-558.83%-598.55M169.80%130.45M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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