JP Stock MarketDetailed Quotes

7186 Concordia Financial Group

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  • 883.5
  • +15.8+1.82%
20min DelayMarket Closed Nov 22 15:30 JST
1.03TMarket Cap15.46P/E (Static)

Concordia Financial Group 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
Operating cash flow (Indirect Method)
Cash from operating activities
-388.37%-2.38T
-24.52%824.11B
-42.61%1.09T
535.83%1.9T
-519.02%-436.5B
113.47%104.17B
-188.27%-773.2B
875.97B
Net profit before non-cash adjustment
13.48%91.39B
2.48%80.53B
116.40%78.58B
-47.09%36.32B
-13.46%68.64B
-18.49%79.31B
-37.84%97.3B
--156.53B
Total adjustment of non-cash items
-66.75%-264.79B
2.84%-158.8B
-15.95%-163.44B
-18.64%-140.95B
25.82%-118.8B
32.10%-160.17B
-7.18%-235.87B
---220.07B
-Depreciation and amortization
0.88%13.27B
-4.17%13.15B
1.56%13.72B
3.62%13.51B
10.64%13.04B
12.78%11.79B
8.42%10.45B
--9.64B
-Assets reserve and write-off
-2.59%188M
-24.31%193M
-86.38%255M
263.50%1.87B
120.09%515M
82.81%234M
-78.88%128M
--606M
-Other restructuring costs
---15.43B
--0
----
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----
----
----
---60.35B
-Share of associates
1,019.91%2.48B
-82.26%221M
1,012.50%1.25B
-55.38%112M
3,485.71%251M
-75.00%7M
7.69%28M
--26M
-Disposal profit
98.70%28.18B
60.53%14.18B
-34.45%8.83B
176.91%13.48B
-424.77%-17.52B
-125.28%-3.34B
-24.05%13.21B
--17.39B
-Net exchange gains and losses
-92.10%-49.08B
35.78%-25.55B
-538.08%-39.78B
-226.04%-6.24B
180.82%4.95B
-154.83%-6.12B
434.63%11.16B
--2.09B
-Other non-cash items
-51.80%-244.39B
-8.99%-160.99B
9.76%-147.72B
-36.37%-163.69B
26.24%-120.04B
39.92%-162.73B
-42.95%-270.85B
---189.47B
Changes in working capital
-344.14%-2.2T
-23.31%902.38B
-41.37%1.18T
619.50%2.01T
-308.80%-386.34B
129.15%185.02B
-167.55%-634.63B
--939.52B
-Change in receivables
-7.23%-3.54B
-538.03%-3.31B
84.01%-518M
-295.97%-3.24B
36.19%-818M
31.15%-1.28B
38.14%-1.86B
---3.01B
-Change in loans
-639.18%-2.29T
174.93%424.48B
-25.16%154.4B
132.58%206.31B
-91.55%-633.32B
70.36%-330.63B
-312.08%-1.12T
--525.95B
-Change in financial assets
-6.52%1.54B
331.27%1.64B
-340.68%-710M
-60.61%295M
12.13%749M
-4.71%668M
-87.16%701M
--5.46B
-Provision for loans, leases and other losses
-72.65%2.16B
923.33%7.9B
-105.97%-960M
100.07%16.07B
445.61%8.03B
-240.42%-2.32B
116.95%1.66B
---9.76B
-Change in deposits by banks and customers
-52.71%171B
-67.60%361.61B
-38.07%1.12T
646.80%1.8T
-53.93%241.35B
8.69%523.88B
14.51%481.99B
--420.92B
-Change in financial liabilities
-183.93%-83.22B
209.09%99.15B
-313,306.90%-90.89B
-11.54%-29M
-533.33%-26M
123.08%6M
57.38%-26M
---61M
-Changes in other current assets
-123.08%-2.52B
1,053.46%10.9B
92.23%-1.14B
-587.42%-14.7B
59.25%-2.14B
-184.19%-5.25B
-8,695.24%-1.85B
---21M
-Changes in other current liabilities
8,266.67%245M
-101.13%-3M
609.62%265M
66.88%-52M
-282.93%-157M
-121.47%-41M
282.00%191M
--50M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
8.78%-23.93B
-123.67%-26.23B
49.13%-11.73B
-13.19%-23.06B
14.73%-20.37B
-8.00%-23.89B
52.55%-22.12B
-46.62B
Other operating cash inflow (outflow)
9.09%182.9B
0.24%167.66B
4.68%167.25B
-1.54%159.78B
-3.07%162.28B
-11.28%167.41B
6.80%188.7B
176.68B
Operating cash flow
-329.66%-2.22T
-22.59%965.54B
-38.83%1.25T
792.18%2.04T
-218.93%-294.59B
140.83%247.7B
-160.30%-606.62B
--1.01T
Investing cash flow
Net PPE purchase and sale
-91.44%-7.9B
62.52%-4.12B
-10.99%-11B
-8.73%-9.91B
20.24%-9.12B
0.73%-11.43B
-16.61%-11.52B
---9.88B
Net intangibles purchase and sale
-20.27%-8.07B
-35.84%-6.71B
6.63%-4.94B
31.21%-5.29B
10.86%-7.69B
-80.11%-8.63B
-16.48%-4.79B
---4.11B
Net business purchase and sale
--7.63B
--0
----
----
----
----
----
----
Net investment property transactions
133.56%45.97B
-158.02%-136.96B
150.93%236.08B
-725.58%-463.53B
56.27%-56.15B
-142.94%-128.39B
218.23%298.97B
--93.95B
Net changes in other investments
39.43%-149M
82.19%-246M
25.39%-1.38B
-87.73%-1.85B
-1,432.43%-986M
111.04%74M
-34.00%-670M
---500M
Investing cash flow
125.32%37.48B
-167.68%-148.05B
145.52%218.75B
-549.94%-480.59B
50.17%-73.94B
-152.62%-148.38B
254.89%281.99B
--79.46B
Financing cash flow
Net issuance payments of debt
0.00%-20B
0.00%-20B
-200.00%-20B
0.00%20B
0.00%20B
0.00%20B
100.00%20B
--10B
Net common stock issuance
48.49%-6.9B
-346.58%-13.4B
-300,000.00%-3B
99.99%-1M
-7.49%-10.75B
29.02%-10B
-12.65%-14.09B
---12.51B
Net preferred stock issuance
----
----
----
----
----
----
----
---40B
Cash dividends paid
-3.52%-24.12B
-13.38%-23.3B
-6.26%-20.55B
9.56%-19.34B
-10.01%-21.39B
-9.23%-19.44B
13.56%-17.8B
---20.59B
Cash dividends for minorities
--0
32.25%-229M
-152.24%-338M
---134M
----
-52.81%-272M
79.21%-178M
---856M
Net other fund-raising expenses
----
90.48%-2M
-16.67%-21M
---18M
----
----
99.49%-1M
---195M
Financing cash flow
10.38%-51.03B
-29.65%-56.93B
-8,795.45%-43.91B
104.16%505M
-24.94%-12.14B
19.50%-9.71B
81.19%-12.07B
---64.15B
Net cash flow
Beginning cash position
13.84%6.26T
34.91%5.5T
61.98%4.07T
-13.15%2.52T
3.19%2.9T
-10.71%2.81T
54.16%3.14T
--2.04T
Current changes in cash
-393.34%-2.23T
-46.52%760.56B
-8.78%1.42T
509.54%1.56T
-524.85%-380.67B
126.61%89.6B
-132.97%-336.69B
--1.02T
Effect of exchange rate changes
--0
-22.22%7M
0.00%9M
228.57%9M
-200.00%-7M
177.78%7M
-12.50%-9M
---8M
Cash adjustments other than cash changes
----
----
----
----
-400.00%-3M
200.00%1M
-100.00%-1M
--82.89B
End cash Position
-35.66%4.03T
13.84%6.26T
34.91%5.5T
61.98%4.07T
-13.15%2.52T
3.19%2.9T
-10.71%2.81T
--3.14T
Free cash flow
-334.45%-2.23T
-22.50%953.25B
-39.22%1.23T
748.87%2.02T
-237.10%-311.87B
136.48%227.48B
-162.93%-623.62B
--991.05B
Currency Unit
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
(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
Operating cash flow (Indirect Method)
Cash from operating activities -388.37%-2.38T-24.52%824.11B-42.61%1.09T535.83%1.9T-519.02%-436.5B113.47%104.17B-188.27%-773.2B875.97B
Net profit before non-cash adjustment 13.48%91.39B2.48%80.53B116.40%78.58B-47.09%36.32B-13.46%68.64B-18.49%79.31B-37.84%97.3B--156.53B
Total adjustment of non-cash items -66.75%-264.79B2.84%-158.8B-15.95%-163.44B-18.64%-140.95B25.82%-118.8B32.10%-160.17B-7.18%-235.87B---220.07B
-Depreciation and amortization 0.88%13.27B-4.17%13.15B1.56%13.72B3.62%13.51B10.64%13.04B12.78%11.79B8.42%10.45B--9.64B
-Assets reserve and write-off -2.59%188M-24.31%193M-86.38%255M263.50%1.87B120.09%515M82.81%234M-78.88%128M--606M
-Other restructuring costs ---15.43B--0-----------------------60.35B
-Share of associates 1,019.91%2.48B-82.26%221M1,012.50%1.25B-55.38%112M3,485.71%251M-75.00%7M7.69%28M--26M
-Disposal profit 98.70%28.18B60.53%14.18B-34.45%8.83B176.91%13.48B-424.77%-17.52B-125.28%-3.34B-24.05%13.21B--17.39B
-Net exchange gains and losses -92.10%-49.08B35.78%-25.55B-538.08%-39.78B-226.04%-6.24B180.82%4.95B-154.83%-6.12B434.63%11.16B--2.09B
-Other non-cash items -51.80%-244.39B-8.99%-160.99B9.76%-147.72B-36.37%-163.69B26.24%-120.04B39.92%-162.73B-42.95%-270.85B---189.47B
Changes in working capital -344.14%-2.2T-23.31%902.38B-41.37%1.18T619.50%2.01T-308.80%-386.34B129.15%185.02B-167.55%-634.63B--939.52B
-Change in receivables -7.23%-3.54B-538.03%-3.31B84.01%-518M-295.97%-3.24B36.19%-818M31.15%-1.28B38.14%-1.86B---3.01B
-Change in loans -639.18%-2.29T174.93%424.48B-25.16%154.4B132.58%206.31B-91.55%-633.32B70.36%-330.63B-312.08%-1.12T--525.95B
-Change in financial assets -6.52%1.54B331.27%1.64B-340.68%-710M-60.61%295M12.13%749M-4.71%668M-87.16%701M--5.46B
-Provision for loans, leases and other losses -72.65%2.16B923.33%7.9B-105.97%-960M100.07%16.07B445.61%8.03B-240.42%-2.32B116.95%1.66B---9.76B
-Change in deposits by banks and customers -52.71%171B-67.60%361.61B-38.07%1.12T646.80%1.8T-53.93%241.35B8.69%523.88B14.51%481.99B--420.92B
-Change in financial liabilities -183.93%-83.22B209.09%99.15B-313,306.90%-90.89B-11.54%-29M-533.33%-26M123.08%6M57.38%-26M---61M
-Changes in other current assets -123.08%-2.52B1,053.46%10.9B92.23%-1.14B-587.42%-14.7B59.25%-2.14B-184.19%-5.25B-8,695.24%-1.85B---21M
-Changes in other current liabilities 8,266.67%245M-101.13%-3M609.62%265M66.88%-52M-282.93%-157M-121.47%-41M282.00%191M--50M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid 8.78%-23.93B-123.67%-26.23B49.13%-11.73B-13.19%-23.06B14.73%-20.37B-8.00%-23.89B52.55%-22.12B-46.62B
Other operating cash inflow (outflow) 9.09%182.9B0.24%167.66B4.68%167.25B-1.54%159.78B-3.07%162.28B-11.28%167.41B6.80%188.7B176.68B
Operating cash flow -329.66%-2.22T-22.59%965.54B-38.83%1.25T792.18%2.04T-218.93%-294.59B140.83%247.7B-160.30%-606.62B--1.01T
Investing cash flow
Net PPE purchase and sale -91.44%-7.9B62.52%-4.12B-10.99%-11B-8.73%-9.91B20.24%-9.12B0.73%-11.43B-16.61%-11.52B---9.88B
Net intangibles purchase and sale -20.27%-8.07B-35.84%-6.71B6.63%-4.94B31.21%-5.29B10.86%-7.69B-80.11%-8.63B-16.48%-4.79B---4.11B
Net business purchase and sale --7.63B--0------------------------
Net investment property transactions 133.56%45.97B-158.02%-136.96B150.93%236.08B-725.58%-463.53B56.27%-56.15B-142.94%-128.39B218.23%298.97B--93.95B
Net changes in other investments 39.43%-149M82.19%-246M25.39%-1.38B-87.73%-1.85B-1,432.43%-986M111.04%74M-34.00%-670M---500M
Investing cash flow 125.32%37.48B-167.68%-148.05B145.52%218.75B-549.94%-480.59B50.17%-73.94B-152.62%-148.38B254.89%281.99B--79.46B
Financing cash flow
Net issuance payments of debt 0.00%-20B0.00%-20B-200.00%-20B0.00%20B0.00%20B0.00%20B100.00%20B--10B
Net common stock issuance 48.49%-6.9B-346.58%-13.4B-300,000.00%-3B99.99%-1M-7.49%-10.75B29.02%-10B-12.65%-14.09B---12.51B
Net preferred stock issuance -------------------------------40B
Cash dividends paid -3.52%-24.12B-13.38%-23.3B-6.26%-20.55B9.56%-19.34B-10.01%-21.39B-9.23%-19.44B13.56%-17.8B---20.59B
Cash dividends for minorities --032.25%-229M-152.24%-338M---134M-----52.81%-272M79.21%-178M---856M
Net other fund-raising expenses ----90.48%-2M-16.67%-21M---18M--------99.49%-1M---195M
Financing cash flow 10.38%-51.03B-29.65%-56.93B-8,795.45%-43.91B104.16%505M-24.94%-12.14B19.50%-9.71B81.19%-12.07B---64.15B
Net cash flow
Beginning cash position 13.84%6.26T34.91%5.5T61.98%4.07T-13.15%2.52T3.19%2.9T-10.71%2.81T54.16%3.14T--2.04T
Current changes in cash -393.34%-2.23T-46.52%760.56B-8.78%1.42T509.54%1.56T-524.85%-380.67B126.61%89.6B-132.97%-336.69B--1.02T
Effect of exchange rate changes --0-22.22%7M0.00%9M228.57%9M-200.00%-7M177.78%7M-12.50%-9M---8M
Cash adjustments other than cash changes -----------------400.00%-3M200.00%1M-100.00%-1M--82.89B
End cash Position -35.66%4.03T13.84%6.26T34.91%5.5T61.98%4.07T-13.15%2.52T3.19%2.9T-10.71%2.81T--3.14T
Free cash flow -334.45%-2.23T-22.50%953.25B-39.22%1.23T748.87%2.02T-237.10%-311.87B136.48%227.48B-162.93%-623.62B--991.05B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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