Wintest
6721
Showcase
3909
Beauty Kadan Holdings
3041
Cybozu
4776
KODAMA CHEMICAL INDUSTRY
4222
(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 | 48.68%102.4B | -33.12%68.88B | 3.70%102.98B | -20.33%99.31B | 14.49%124.65B | 12.54%108.88B | -10.34%96.75B | 15.87%107.91B | -8.13%93.13B | -24.74%101.37B |
Net profit before non-cash adjustment | 19.44%143.01B | -5.64%119.73B | 173.47%126.89B | -54.83%46.4B | 649.74%102.72B | -141.16%-18.69B | 13.97%45.4B | -27.37%39.83B | 7.40%54.84B | 5.05%51.06B |
Total adjustment of non-cash items | 16.88%-9.55B | -203.48%-11.49B | -79.58%11.1B | 250.93%54.37B | -88.24%15.49B | 93.70%131.74B | 9.12%68.01B | 19.01%62.33B | -32.60%52.37B | -4.52%77.71B |
-Depreciation and amortization | 8.50%56.73B | 1.17%52.28B | -0.41%51.68B | -7.56%51.89B | -7.72%56.13B | -4.02%60.83B | -0.63%63.38B | -5.53%63.78B | -2.19%67.51B | -10.48%69.02B |
-Reversal of impairment losses recognized in profit and loss | 508.70%38.26B | 79.29%6.29B | -14.53%3.51B | -84.53%4.1B | 58.92%26.52B | 180.33%16.69B | 565.03%5.95B | 721.10%895M | 37.97%109M | -43.57%79M |
-Assets reserve and write-off | ---- | ---- | ---- | ---- | ---- | 40.19%75B | 67.48%53.5B | --31.94B | ---- | ---- |
-Share of associates | -28.86%-17.53B | -56.61%-13.6B | -28.83%-8.69B | -11.44%-6.74B | -45.40%-6.05B | -38.38%-4.16B | 0.23%-3.01B | 18.45%-3.01B | -70.24%-3.7B | -192.59%-2.17B |
-Disposal profit | -136.68%-67.58B | -98.73%-28.55B | -272.71%-14.37B | 111.43%8.32B | -246.58%-72.81B | 65.03%-21.01B | -30.08%-60.07B | -160.17%-46.18B | -171.14%-17.75B | -2,579.55%-6.55B |
-Other non-cash items | 30.36%-19.43B | -32.72%-27.9B | -557.79%-21.02B | -127.31%-3.2B | 166.48%11.7B | -46.85%4.39B | -44.57%8.26B | 140.41%14.9B | -64.22%6.2B | 275.30%17.32B |
Changes in working capital | 21.11%-31.06B | -12.42%-39.37B | -2,290.24%-35.02B | -122.75%-1.47B | 254.14%6.44B | 74.92%-4.18B | -389.99%-16.66B | 140.78%5.75B | 48.58%-14.09B | -682.48%-27.4B |
-Change in receivables | -703.25%-12.84B | -164.97%-1.6B | -60.64%2.46B | -71.83%6.25B | 957.91%22.2B | 111.92%2.1B | -496.26%-17.61B | -75.15%4.44B | 242.96%17.88B | -182.92%-12.51B |
-Change in inventory | 76.56%-2.6B | 17.00%-11.09B | -289.03%-13.36B | 649.38%7.07B | -164.40%-1.29B | 328.23%2B | -126.87%-875M | 130.93%3.26B | -84.40%-10.53B | -287.74%-5.71B |
-Change in payables | 74.25%-3.45B | -270.06%-13.4B | 168.36%7.88B | -27.95%-11.53B | -371.29%-9.01B | -132.41%-1.91B | 6,058.59%5.9B | 97.90%-99M | -199.14%-4.73B | 177.53%4.77B |
-Provision for loans, leases and other losses | 49.36%5.5B | 22.72%3.68B | 2,242.19%3B | -93.55%128M | 392.05%1.98B | -139.89%-679M | 633.54%1.7B | 77.23%-319M | -264.82%-1.4B | 318.72%850M |
-Changes in other current assets | -4.12%-17.66B | 51.55%-16.96B | -935.59%-35B | 54.58%-3.38B | -30.96%-7.44B | 1.70%-5.68B | -276.06%-5.78B | 89.96%-1.54B | -3.47%-15.31B | -97.89%-14.8B |
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 | -6.75%-25.51B | -76.54%-23.9B | 53.42%-13.54B | -78.25%-29.06B | 0.51%-16.3B | -24.29%-16.39B | -3.73%-13.18B | 20.18%-12.71B | -2.82%-15.92B | -7.99%-15.49B |
Other operating cash inflow (outflow) | 37.86%-4.34B | 5.76%-6.99B | 13.46%-7.41B | 40.56%-8.57B | 38.72%-14.41B | 33.00%-23.52B | -50.96%-35.11B | -408.51%-23.25B | -2,869.48%-4.57B | 38.15%-154M |
Operating cash flow | 90.96%72.55B | -53.68%37.99B | 32.99%82.03B | -34.34%61.68B | 36.20%93.94B | 42.33%68.97B | -32.65%48.46B | -0.94%71.94B | -15.28%72.63B | -28.62%85.73B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -88.95%-57.65B | 32.94%-30.51B | 7.09%-45.49B | -893.39%-48.97B | 120.15%6.17B | -138.30%-30.64B | 71.46%-12.86B | 26.91%-45.04B | -26.63%-61.62B | -2.01%-48.67B |
Net intangibles purchase and sale | -29.83%-15.33B | 3.29%-11.8B | -11.04%-12.21B | -12.45%-10.99B | 0.26%-9.78B | 6.52%-9.8B | 6.50%-10.48B | -28.86%-11.21B | 3.19%-8.7B | -15.75%-8.99B |
Net business purchase and sale | -432.53%-9.28B | -3,386.00%-1.74B | 98.02%-50M | -126.79%-2.53B | ---1.12B | ---- | -166.38%-855M | 114.34%1.29B | -1,230.52%-8.98B | -184.80%-675M |
Net investment product transactions | 552.32%90.44B | 5.23%13.87B | 189.01%13.18B | -92.01%4.56B | 134.13%57.08B | -54.33%24.38B | -11.31%53.38B | 321.33%60.19B | 158.97%14.29B | 182.45%5.52B |
Interest received (cash flow from investment activities) | 87.42%12.63B | -3.44%6.74B | -15.50%6.98B | -10.18%8.26B | -12.54%9.2B | 27.36%10.52B | 3.82%8.26B | 28.71%7.95B | 23.83%6.18B | -2.67%4.99B |
Net changes in other investments | -57.10%-2.47B | 2.66%-1.57B | 75.59%-1.61B | -105.11%-6.61B | 191.60%129.5B | -883.78%-141.37B | -1,816.85%-14.37B | 141.03%837M | 24.89%-2.04B | -27.57%-2.72B |
Investing cash flow | 173.36%18.36B | 36.18%-25.02B | 30.34%-39.21B | -129.46%-56.28B | 230.05%191.06B | -736.69%-146.91B | 64.68%23.07B | 123.01%14.01B | -20.46%-60.88B | 13.41%-50.54B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 74.99%-1.07B | -3.77%-4.3B | 92.27%-4.14B | -219.59%-53.53B | 1,286.66%44.76B | -303.34%-3.77B | 147.74%1.86B | -470.10%-3.89B | -82.63%1.05B | 112.60%6.04B |
Net common stock issuance | -262.15%-94.13B | 15.77%-25.99B | -308,490.00%-30.86B | 99.98%-10M | -354,088.24%-60.21B | 99.89%-17M | 0.09%-15.17B | 24.35%-15.18B | -30,304.55%-20.07B | 32.65%-66M |
Cash dividends paid | 4.15%-16.43B | 2.83%-17.14B | 1.86%-17.64B | 6.78%-17.98B | 0.21%-19.28B | 1.02%-19.32B | 1.98%-19.52B | 2.27%-19.92B | 1.12%-20.38B | 0.06%-20.61B |
Cash dividends for minorities | -178.89%-1.65B | -16.31%-592M | 7.62%-509M | -8.25%-551M | -10.89%-509M | -16.79%-459M | -16.27%-393M | 25.22%-338M | -24.18%-452M | 17.27%-364M |
Interest paid (cash flow from financing activities) | -27.36%-889M | 4.90%-698M | 49.27%-734M | 7.83%-1.45B | 23.97%-1.57B | 6.69%-2.07B | -0.23%-2.21B | 9.36%-2.21B | 0.25%-2.44B | 17.36%-2.44B |
Net other fund-raising expenses | -21.74%-4.53B | 3.90%-3.72B | 18.67%-3.87B | -6.47%-4.76B | 31.90%-4.47B | 10.51%-6.56B | -98.56%-7.33B | 24.36%-3.69B | 24.03%-4.88B | 19.22%-6.42B |
Financing cash flow | -126.37%-118.7B | 9.21%-52.44B | 26.21%-57.75B | -89.60%-78.27B | -28.21%-41.28B | 24.72%-32.2B | 5.42%-42.77B | 4.12%-45.22B | -97.64%-47.17B | 70.18%-23.86B |
Net cash flow | ||||||||||
Beginning cash position | -11.94%258.33B | -3.57%293.36B | -19.38%304.22B | 182.10%377.37B | -45.39%133.77B | 14.16%244.94B | 22.25%214.56B | -17.51%175.51B | 6.48%212.76B | -5.78%199.81B |
Current changes in cash | 29.58%-27.79B | -164.30%-39.46B | 79.51%-14.93B | -129.90%-72.87B | 321.29%243.71B | -482.94%-110.13B | -29.39%28.76B | 215.00%40.73B | -412.73%-35.42B | 161.89%11.33B |
Effect of exchange rate changes | -10.09%3.98B | 9.27%4.43B | 1,074.52%4.05B | -252.54%-416M | 88.55%-118M | -172.20%-1.03B | 183.95%1.43B | 7.00%-1.7B | -165.58%-1.83B | -53.91%2.79B |
Cash adjustments other than cash changes | 4,400.00%45M | -93.33%1M | -89.51%15M | --143M | ---- | ---- | 868.42%184M | --19M | ---- | ---1.17B |
End cash Position | -9.20%234.57B | -11.94%258.33B | -3.57%293.36B | -19.38%304.22B | 182.10%377.37B | -45.39%133.77B | 14.16%244.94B | 22.25%214.56B | -17.51%175.51B | 6.48%212.76B |
Free cash flow | 90.88%-2.2B | -248.89%-24.13B | 5,449.17%16.21B | -100.69%-303M | 104.83%44.23B | 294.46%21.59B | -48.85%5.47B | 2,297.33%10.7B | -102.02%-487M | -58.04%24.12B |
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 |