(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -13.65%218.91B | 12.54%1.06T | 20.94%358.01B | -9.81%160.6B | 27.10%285.64B | 5.18%253.53B | 25.01%939.89B | 47.21%296.03B | 17.00%178.07B | 11.64%224.74B |
Net profit before non-cash adjustment | -4.71%218.95B | 0.86%851.92B | 58.26%197.87B | -1.69%211.38B | -19.32%212.9B | -4.57%229.77B | -3.90%844.68B | -15.91%125.03B | 9.69%215.01B | 5.73%263.88B |
Total adjustment of non-cash items | 621.72%91.87B | 5.58%294.5B | 38.62%178.42B | -14.97%39.46B | 179.50%94.23B | -125.12%-17.61B | 1,597.88%278.93B | 68.53%128.71B | 14.44%46.41B | 203.29%33.72B |
-Depreciation and amortization | 8.66%109.98B | 2.53%420.34B | 2.82%109B | 2.48%105.55B | 3.28%104.58B | 1.53%101.21B | 1.43%409.96B | 5.48%106.01B | 2.49%103B | 2.83%101.26B |
-Assets reserve and write-off | 121.83%117M | 399.97%10.01B | 501.47%7.08B | 625.86%3.8B | -122.67%-335M | 76.99%-536M | -17.70%-3.34B | 61.73%-1.76B | -132.80%-723M | 209.85%1.48B |
-Share of associates | 10.79%-71.85B | 1.35%-316.33B | -54.29%-86.77B | 14.41%-67.45B | 9.33%-81.56B | 15.80%-80.55B | -10.03%-320.67B | 5.02%-56.24B | -23.74%-78.81B | 1.27%-89.96B |
-Disposal profit | 90.44%-3.27B | -68.78%-28.76B | -27.59%16.62B | -218.66%-3.67B | 79.41%-7.48B | -404.88%-34.24B | 91.23%-17.04B | 109.79%22.96B | 119.90%3.09B | 33.39%-36.31B |
-Deferred income tax | -4.69%67.15B | -7.02%243.78B | -16.21%48B | -1.95%66.63B | -19.59%58.7B | 10.20%70.45B | -3.27%262.18B | 30.13%57.29B | 10.63%67.96B | 6.87%73.01B |
-Other non-cash items | 86.15%-10.24B | 33.78%-34.55B | 18,149.03%84.49B | -35.94%-65.41B | 228.92%20.33B | -757.51%-73.96B | 69.36%-52.17B | 103.03%463M | -8.50%-48.12B | 70.96%-15.77B |
Changes in working capital | -322.19%-91.91B | 51.75%-88.65B | -143.23%-18.29B | -8.26%-90.23B | 70.50%-21.49B | 159.25%41.36B | -27.99%-183.72B | 276.62%42.3B | 1.21%-83.35B | -366.34%-72.85B |
-Change in receivables | ---- | ---- | ---- | 74.87%-59.02B | -5,446.09%-278.48B | 52.54%-49.54B | ---- | ---- | 35.40%-234.92B | 213.83%5.21B |
-Change in inventory | ---- | ---- | ---- | -9.64%-124.81B | 49.03%-37.39B | 118.76%31.64B | ---- | ---- | -12.93%-113.83B | -157.12%-73.35B |
-Change in payables | ---- | ---- | ---- | -64.73%93.6B | 6,359.35%294.38B | -70.83%59.26B | ---- | ---- | -30.17%265.4B | -126.90%-4.7B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | 7.21%87.58B | -6.44%218.81B | -2.79%43.37B | -0.96%58.82B | -32.89%34.93B | 4.97%81.69B | 16.05%233.88B | -11.02%44.62B | 25.68%59.39B | 8.67%52.05B |
Interest paid (cash flow from operating activities) | -31.60%-20.35B | -66.14%-96.12B | -33.01%-29.42B | -30.11%-21.74B | -141.86%-29.5B | -126.30%-15.46B | -94.10%-57.86B | -155.92%-22.12B | -197.19%-16.71B | -29.82%-12.2B |
Interest received (cash flow from operating activities) | -31.92%8.23B | 76.39%61.79B | -12.95%8.19B | 131.61%30.19B | 60.31%11.32B | 118.83%12.08B | 77.76%35.03B | 83.45%9.41B | 176.99%13.04B | 68.41%7.06B |
Tax refund paid | 26.48%-86.6B | -24.08%-264.16B | -8.54%-28.33B | -6.15%-70.8B | -22.49%-47.22B | -44.48%-117.8B | -49.78%-212.89B | -40.34%-26.1B | -64.72%-66.7B | -230.57%-38.55B |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | -2.93%207.77B | 4.27%978.11B | 16.56%351.82B | -5.99%157.07B | 9.47%255.17B | -9.32%214.04B | 17.09%938.06B | 31.73%301.84B | 5.72%167.08B | 0.33%233.11B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -160.18%-58.8B | 17.70%-136.38B | -7.39%-41.24B | 1.52%-38.78B | 15.15%-33.77B | 53.07%-22.6B | -32.70%-165.72B | -39.41%-38.4B | -70.04%-39.37B | 3.30%-39.79B |
Net business purchase and sale | 13.09%-22.15B | 92.23%-22.93B | 369.94%36.86B | 70.65%-23.1B | 94.35%-11.2B | -491.73%-25.49B | -905.49%-294.89B | -703.18%-13.65B | -816.20%-78.7B | -3,823.27%-198.23B |
Net investment product transactions | -625.96%-15.1B | -321.94%-59.57B | -232.73%-47.73B | 79.85%-3.03B | -146.55%-6.73B | 75.66%-2.08B | -75.87%26.84B | 428.90%35.96B | -165.64%-15.03B | -81.12%14.46B |
Advance cash and loans provided to other parties | ---- | ---- | ---- | -37.05%-25.9B | 42.76%-32.43B | -157.82%-25.87B | ---- | ---- | -66.32%-18.9B | -520.31%-56.65B |
Repayment of advance payments to other parties and cash income from loans | -107.36%-1.99B | 164.31%12.89B | 2.80%-83.8B | 11.04%27.68B | 61.77%41.98B | 76.59%27.03B | -128.86%-20.04B | -768.02%-86.22B | 59.21%24.92B | -5.33%25.95B |
Investing cash flow | -100.07%-98.04B | 54.61%-205.99B | -209.20%-51.71B | 51.20%-63.58B | 83.39%-41.7B | 12.07%-49B | -1,274.54%-453.81B | 3.74%-16.73B | -2,757.34%-130.27B | -525.41%-251.09B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 292.20%61.4B | 1,230.10%186.2B | 56.41%-41.82B | 20.72%106.25B | 343.83%106.11B | -55.23%15.66B | 95.28%-16.48B | -298.62%-95.94B | 241.81%88.01B | 78.94%-43.52B |
Net common stock issuance | -35.71%-19M | -66.30%-100.08B | -22.55%-39.98B | -35.81%-35.07B | -277,888.89%-25.02B | 99.19%-14M | -0.24%-60.18B | 45.64%-32.62B | -368,814.29%-25.82B | 25.00%-9M |
Increase or decrease of lease financing | 0.06%-63.87B | 3.33%-252.58B | 4.45%-62.33B | -0.37%-65.16B | 6.96%-61.18B | 2.23%-63.9B | 2.14%-261.27B | 1.29%-65.23B | -0.03%-64.92B | -1.20%-65.76B |
Cash dividends paid | -5.45%-115.22B | -19.69%-225.46B | --0 | -21.47%-116.19B | --0 | -17.85%-109.27B | -39.17%-188.37B | --0 | -36.83%-95.66B | --0 |
Cash dividends for minorities | ---- | ---- | ---- | 37.79%-4.47B | -172.99%-3.05B | 35.15%-11.29B | ---- | ---- | 8.78%-7.18B | 53.86%-1.12B |
Net other fund-raising expenses | -882.82%-10.21B | -1,660.89%-409.25B | -279.88%-163B | 96.83%-238M | -375.56%-247.32B | 109.95%1.3B | 286.04%26.22B | -452.87%-42.91B | -1,144.21%-7.52B | 58,003.87%89.75B |
Financing cash flow | 23.64%-127.91B | -60.21%-801.17B | -36.64%-288.32B | -1.59%-114.88B | -1,015.82%-230.46B | -7.83%-167.51B | 40.94%-500.08B | -146.07%-211B | 44.93%-113.08B | 92.47%-20.65B |
Net cash flow | ||||||||||
Beginning cash position | -0.92%600.44B | -0.93%606B | 8.81%578.14B | -2.55%606.59B | -5.48%617.64B | -0.93%606B | 12.45%611.72B | 14.61%531.35B | 22.77%622.47B | 32.86%653.43B |
Current changes in cash | -636.71%-18.18B | -83.59%-29.06B | -84.09%11.79B | 71.96%-21.39B | 56.01%-16.99B | -109.89%-2.47B | -129.21%-15.83B | -41.19%74.11B | -47.04%-76.27B | -325.74%-38.64B |
Effect of exchange rate changes | 3.48%14.6B | 132.24%23.49B | 1,839.11%10.51B | 52.44%-7.06B | -22.59%5.94B | -15.80%14.11B | -66.59%10.12B | -97.55%542M | -274.84%-14.85B | 497.15%7.67B |
End cash Position | -3.37%596.85B | -0.92%600.44B | -0.92%600.44B | 8.81%578.14B | -2.55%606.59B | -5.48%617.64B | -0.93%606B | -0.93%606B | 14.61%531.35B | 22.77%622.47B |
Free cash flow | -2.39%148.97B | 8.98%841.72B | 32.77%364.99B | -8.25%111.77B | 10.57%212.35B | -16.86%152.62B | 19.92%772.34B | 40.32%274.9B | 3.47%121.81B | 1.30%192.06B |
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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