(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 | 187.78%34.61B | -46.44%12.03B | 420.81%22.45B | 16.86%4.31B | -81.36%3.69B | -38.25%19.79B | 175.38%32.04B | -43.96%11.64B | -10.57%20.76B | 27.58%23.22B |
Net profit before non-cash adjustment | 56.85%15.12B | 8.63%9.64B | 38.17%8.88B | 3.60%6.42B | -47.33%6.2B | -25.61%11.77B | 158.84%15.83B | -30.87%6.12B | -64.18%8.85B | 181.86%24.7B |
Total adjustment of non-cash items | 19.31%16.95B | -10.72%14.21B | 198.80%15.91B | -19.55%5.33B | -24.16%6.62B | 9.87%8.73B | -18.82%7.95B | -37.30%9.79B | 869.57%15.61B | -92.29%1.61B |
-Depreciation and amortization | 7.62%13.3B | 13.60%12.36B | 1.77%10.88B | 3.64%10.69B | 14.87%10.32B | -11.33%8.98B | -7.58%10.13B | 6.14%10.96B | -5.21%10.33B | -11.03%10.89B |
-Reversal of impairment losses recognized in profit and loss | --806M | --0 | ---- | ---- | --240M | ---- | --177M | ---- | -88.41%410M | -60.30%3.54B |
-Share of associates | -13.48%-1.39B | -36.30%-1.22B | -149.18%-898M | 239.07%1.83B | 32.35%-1.31B | -164.44%-1.94B | -12,333.33%-734M | 104.20%6M | 55.86%-143M | -122.31%-324M |
-Disposal profit | -221.86%-719M | 94.08%590M | 103.60%304M | -8,270.30%-8.45B | 38.79%-101M | 98.19%-165M | -2,591.42%-9.1B | -4,325.00%-338M | 100.05%8M | -1,697.03%-16.34B |
-Net exchange gains and losses | -1,138.89%-187M | 103.71%18M | -755.41%-485M | -1.33%74M | 179.79%75M | -146.31%-94M | 2,800.00%203M | -99.10%7M | 216.52%776M | -196.80%-666M |
-Other non-cash items | 108.48%5.14B | -59.68%2.47B | 413.78%6.11B | 145.84%1.19B | -233.20%-2.6B | -73.18%1.95B | 958.09%7.27B | -120.00%-847M | -6.02%4.23B | 401.34%4.51B |
Changes in working capital | 121.39%2.53B | -405.56%-11.83B | 68.56%-2.34B | 18.55%-7.44B | -1,180.93%-9.13B | -108.62%-713M | 293.79%8.27B | -15.52%-4.27B | -19.59%-3.69B | 73.04%-3.09B |
-Change in receivables | -721.51%-4.28B | -54.01%688M | 264.22%1.5B | -138.15%-911M | 110.95%2.39B | 146.43%1.13B | -216.37%-2.44B | 395.27%2.1B | -89.18%423M | 192.46%3.91B |
-Change in inventory | 145.03%3.71B | -302.10%-8.24B | -31.96%-2.05B | 79.16%-1.55B | -662.91%-7.45B | -149.05%-976M | 266.11%1.99B | 77.87%-1.2B | -79.06%-5.41B | -234.59%-3.02B |
-Change in payables | 214.71%3.9B | -2,031.25%-3.4B | 104.53%176M | 10.76%-3.89B | -741.31%-4.36B | -105.56%-518M | 330.85%9.31B | -271.33%-4.03B | 182.42%2.35B | 60.29%-2.86B |
-Provision for loans, leases and other losses | 8.76%-802M | 55.22%-879M | -80.59%-1.96B | -484.10%-1.09B | 180.63%283M | 41.01%-351M | 47.35%-595M | -6.91%-1.13B | 5.54%-1.06B | 50.86%-1.12B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | 3.88%241M | 31.82%232M | 38.58%176M | -91.28%127M | 345.26%1.46B | 53.52%327M | 88.50%213M | -31.10%113M | 47.75%164M | 1.83%111M |
Interest paid (cash flow from operating activities) | -20.04%-1.36B | -26.31%-1.13B | 0.11%-897M | 9.29%-898M | -0.20%-990M | 23.47%-988M | 27.72%-1.29B | 18.45%-1.79B | 30.91%-2.19B | 22.30%-3.17B |
Interest received (cash flow from operating activities) | 39.34%1.35B | 15.32%971M | 1.81%842M | -11.55%827M | -2.91%935M | 8.57%963M | 0.57%887M | -15.11%882M | 27.17%1.04B | 141.72%817M |
Tax refund paid | 25.44%-2.11B | -27.95%-2.83B | -48.46%-2.22B | 13.26%-1.49B | 28.69%-1.72B | -44.69%-2.41B | 36.01%-1.67B | 24.45%-2.61B | -11.69%-3.45B | -13.91%-3.09B |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 99.85%-1M | -291.76%-666M | 92.61%-170M | 42.94%-2.3B | -227.19%-4.03B | 7.09%-1.23B | -135.43%-1.33B |
Operating cash flow | 253.37%32.73B | -54.51%9.26B | 608.35%20.36B | 6.29%2.87B | -84.56%2.7B | -37.21%17.51B | 562.51%27.89B | -72.12%4.21B | -8.85%15.1B | 6.18%16.56B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 21.41%-9.36B | -46.08%-11.91B | 48.62%-8.16B | -91.08%-15.87B | -57.31%-8.31B | 22.69%-5.28B | 36.89%-6.83B | -71.45%-10.82B | -116.17%-6.31B | 469.42%39.04B |
Net business purchase and sale | -72.69%-2.47B | -755.05%-1.43B | 115.97%218M | -523.29%-1.37B | ---219M | ---- | ---4.36B | ---- | ---436M | ---- |
Net investment product transactions | -62.77%191M | 92.13%513M | -97.44%267M | 521,100.00%10.42B | -93.94%2M | 103.44%33M | -63.54%-960M | -548.09%-587M | -98.71%131M | 463.92%10.19B |
Advance cash and loans provided to other parties | 41.95%-588M | -108.01%-1.01B | 39.58%-487M | -68.97%-806M | 8.62%-477M | 28.00%-522M | -54.26%-725M | 21.93%-470M | 2.59%-602M | 48.24%-618M |
Repayment of advance payments to other parties and cash income from loans | -2.32%716M | 5.77%733M | -12.28%693M | -35.72%790M | 141.93%1.23B | -21.36%508M | 13.53%646M | -36.71%569M | -23.23%899M | -9.58%1.17B |
Net changes in other investments | -47.75%-3.59B | -30.91%-2.43B | -83.56%-1.85B | 65.38%-1.01B | -59.22%-2.92B | 64.78%-1.83B | -175.24%-5.2B | 6.16%-1.89B | 42.88%-2.01B | -50.62%-3.53B |
Investing cash flow | 2.83%-15.1B | -66.72%-15.54B | -18.88%-9.32B | 26.67%-7.84B | -50.68%-10.69B | 59.31%-7.09B | -32.05%-17.43B | -58.39%-13.2B | -118.02%-8.33B | 523.69%46.25B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -202.91%-15.69B | 257.60%15.24B | -166.27%-9.67B | 177.31%14.6B | 173.18%5.26B | 9.98%-7.19B | -190.01%-7.99B | 201.77%8.88B | 86.15%-8.72B | -2,483.31%-62.98B |
Net common stock issuance | ---1.42B | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Increase or decrease of lease financing | -25.65%-2.38B | -10.43%-1.9B | 4.56%-1.72B | -22.90%-1.8B | -294.34%-1.46B | ---371M | ---- | ---- | ---- | ---- |
Cash dividends paid | -20.02%-3.1B | -24.96%-2.58B | 0.00%-2.07B | 33.32%-2.07B | 0.00%-3.1B | 0.00%-3.1B | 0.03%-3.1B | -20.01%-3.1B | -66.71%-2.58B | -200.39%-1.55B |
Net other fund-raising expenses | -113.43%-429M | 55.73%-201M | -71.32%-454M | -1,104.55%-265M | -214.29%-22M | 98.96%-7M | -980.65%-670M | -101.33%-62M | 303.98%4.66B | -1,102.19%-2.29B |
Financing cash flow | -317.88%-23.02B | 175.95%10.56B | -232.91%-13.91B | 1,443.51%10.47B | 106.35%678M | 9.26%-10.67B | -305.83%-11.76B | 185.97%5.71B | 90.05%-6.65B | -1,799.80%-66.82B |
Net cash flow | ||||||||||
Beginning cash position | 17.80%36.21B | -4.95%30.74B | 23.86%32.34B | -22.85%26.11B | -0.20%33.84B | -4.02%33.91B | -9.20%35.33B | -3.39%38.91B | -5.38%40.28B | -0.49%42.57B |
Current changes in cash | -225.55%-5.39B | 249.53%4.29B | -152.15%-2.87B | 175.29%5.5B | -2,765.10%-7.31B | 80.44%-255M | 60.22%-1.3B | -2,901.71%-3.28B | 102.93%117M | -443.64%-4B |
Effect of exchange rate changes | 57.63%1.86B | -6.87%1.18B | 74.28%1.27B | 270.26%727M | -286.46%-427M | 241.79%229M | 122.11%67M | 80.17%-303M | -184.51%-1.53B | 951.16%1.81B |
Cash adjustments other than cash changes | ---- | --1M | ---- | 0.00%1M | 102.38%1M | 77.30%-42M | ---185M | ---- | 147.42%46M | 93.73%-97M |
End cash Position | -9.74%32.68B | 17.80%36.21B | -4.95%30.74B | 23.86%32.34B | -22.85%26.11B | -0.20%33.84B | -4.02%33.91B | -9.20%35.33B | -3.39%38.91B | -5.38%40.28B |
Free cash flow | 843.00%21.7B | -125.27%-2.92B | 177.79%11.56B | -141.72%-14.86B | -155.06%-6.15B | -46.65%11.17B | 363.98%20.93B | -488.30%-7.93B | -71.69%2.04B | 57.06%7.21B |
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 |
No Data