(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 | -50.54%56.55B | 231.74%533.24B | 58.08%224.99B | 135.60%34.72B | 94.46%159.21B | 235.48%114.32B | 9.43%160.74B | -14.95%142.33B | -104.46%-97.54B | 380.05%81.87B |
Net profit before non-cash adjustment | -1.03%135.62B | -28.89%426.12B | -103.89%-4.32B | 4.76%128.67B | -19.23%164.73B | -15.14%137.03B | 23.67%599.25B | -16.61%111B | 23.54%122.83B | 46.27%203.94B |
Total adjustment of non-cash items | 90.77%85.81B | 353.72%289.2B | 1,205.22%284.19B | 89.69%-14.46B | 67.62%-25.51B | -45.95%44.98B | 46.31%-113.98B | 150.12%21.77B | -39.59%-140.18B | 9.27%-78.79B |
-Depreciation and amortization | 17.29%54.05B | 8.94%200.17B | 17.81%54.49B | 7.25%50.32B | 7.04%49.28B | 3.46%46.08B | 7.86%183.75B | 9.88%46.25B | 6.27%46.92B | 10.48%46.04B |
-Reversal of impairment losses recognized in profit and loss | 315,400.00%3.16B | ---- | ---- | ---- | ---- | 102.17%1M | ---- | ---- | ---- | ---- |
-Share of associates | 14.18%-62.43B | 31.70%-172.37B | 182.60%41.02B | -17.47%-61.15B | -0.70%-79.5B | -1.42%-72.74B | -42.73%-252.39B | -974.89%-49.66B | -5.14%-52.06B | -19.22%-78.95B |
-Disposal profit | -997.00%-3.29B | 66.49%-6.75B | -37.19%-1.46B | -625.70%-4.91B | 99.54%-82M | 55.95%-300M | -284.29%-20.15B | -190.61%-1.06B | 52.22%-677M | -1,085.29%-17.73B |
-Deferred income tax | 41.86%31.31B | -18.04%101.53B | 173.51%29.26B | -21.30%26.74B | -39.07%23.46B | -45.76%22.07B | 17.47%123.88B | -66.06%10.7B | 23.17%33.98B | 81.40%38.5B |
-Other non-cash items | 26.36%63.01B | 211.78%166.62B | 934.59%160.88B | 84.88%-25.45B | 72.01%-18.67B | -29.20%49.86B | 51.29%-149.06B | 113.69%15.55B | -38.86%-168.34B | 18.72%-66.7B |
Changes in working capital | -143.57%-164.88B | 43.89%-182.08B | -673.99%-54.88B | 0.87%-79.49B | 146.18%19.99B | 67.86%-67.69B | -158.79%-324.53B | -87.69%9.56B | -71.67%-80.19B | -21.79%-43.28B |
-Change in receivables | -61.07%44.27B | -672.41%-76.55B | -168.99%-74.96B | -132.18%-114.56B | 98.60%-728M | 757.29%113.7B | 95.06%-9.91B | 405.04%108.66B | 72.06%-49.34B | -345.22%-51.94B |
-Change in inventory | -479.56%-58.28B | 98.47%-4.03B | 60.10%-33.75B | 90.16%-7.53B | 161.28%21.89B | 122.75%15.35B | -78.55%-264.36B | -316.75%-84.58B | -2,780.62%-76.57B | 31.17%-35.72B |
-Change in prepaid assets | 29.63%-10.54B | -72.80%-18.32B | 68.90%-4.34B | -157.82%-3.58B | 11.32%4.58B | -2,497.28%-14.98B | 62.78%-10.6B | 0.34%-13.96B | 54.61%-1.39B | 309.99%4.12B |
-Change in payables | 22.80%-140.33B | -109.71%-83.18B | 10,431.97%58.17B | -1.98%46.18B | -114.30%-5.76B | -43.72%-181.76B | -115.74%-39.66B | -100.38%-563M | -65.25%47.11B | 34.24%40.26B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | 8.47%95.97B | 5.53%217.16B | 27.35%35.14B | -32.71%51.95B | 101.89%41.6B | 10.07%88.48B | 44.14%205.79B | -28.29%27.59B | 158.05%77.2B | 48.02%20.6B |
Interest paid (cash flow from operating activities) | 8.12%-14.66B | -54.28%-71.71B | -12.87%-19.06B | -30.59%-17.07B | -99.50%-19.63B | -138.53%-15.96B | -105.22%-46.48B | -132.19%-16.89B | -137.38%-13.07B | -80.43%-9.84B |
Interest received (cash flow from operating activities) | -18.82%5.07B | 70.55%35.35B | 54.74%11.3B | 62.72%8.58B | 86.39%9.22B | 95.01%6.25B | 52.40%20.73B | 78.82%7.3B | 42.00%5.27B | 91.04%4.95B |
Tax refund paid | 6.10%-37.6B | 2.58%-105.19B | 51.39%-22.26B | -67.24%-31.51B | -28.99%-11.38B | -16.01%-40.04B | -24.76%-107.97B | 10.79%-45.79B | 32.33%-18.84B | -199.69%-8.83B |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | -31.18%105.33B | 161.53%608.85B | 100.88%230.12B | 199.37%46.68B | 101.68%179.01B | 100.16%153.05B | 19.96%232.8B | -24.30%114.55B | 0.95%-46.97B | 140.13%88.76B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -62.28%-25.54B | -52.29%-84B | -186.59%-33.06B | -24.84%-19.16B | -71.94%-16.04B | 16.92%-15.74B | 14.38%-55.16B | 26.23%-11.53B | -36.98%-15.35B | 27.22%-9.33B |
Net investment property transactions | -125.90%-3.09B | -24.37%-15.19B | 9.31%-8.15B | 1,217.68%12.14B | -5,837.60%-31.11B | 838.61%11.94B | -182.80%-12.21B | -148.49%-8.99B | -28.52%-1.09B | -129.45%-524M |
Net investment product transactions | 19.95%-55.08B | -334.39%-123.57B | 28.90%17.83B | -93.21%-64.83B | -124.48%-7.76B | -70.20%-68.81B | -441.34%-28.45B | 91.09%13.83B | -1,492.41%-33.55B | 643.31%31.7B |
Advance cash and loans provided to other parties | 3.75%-4.63B | -66.57%-26.62B | -286.08%-7.35B | -370.69%-13.73B | 88.53%-734M | -0.92%-4.81B | 27.58%-15.98B | 9.63%-1.9B | -150.60%-2.92B | 47.24%-6.4B |
Repayment of advance payments to other parties and cash income from loans | -87.45%2.09B | 48.80%30.17B | -40.04%3.17B | -92.59%810M | 225.89%9.57B | 1,394.42%16.62B | -59.85%20.27B | -70.67%5.29B | -23.43%10.94B | -51.41%2.94B |
Investing cash flow | -41.86%-86.24B | -139.51%-219.21B | -732.69%-27.56B | -101.99%-84.77B | -350.63%-46.08B | 5.94%-60.79B | -286.64%-91.53B | -105.03%-3.31B | -3,943.16%-41.97B | 242.98%18.39B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 154.69%142.43B | -455.39%-135.91B | -94.86%-155.29B | -43.01%132.31B | -36.26%-168.85B | 478.19%55.92B | -5.58%38.24B | 25.19%-79.69B | 239.30%232.19B | -592.23%-123.92B |
Net common stock issuance | -55.98%-50B | 15.43%-32.07B | 99.99%-4M | 0.00%-2M | 0.00%-2M | -94,385.29%-32.06B | -73,011.54%-37.91B | -115,081.82%-37.94B | -100.00%-2M | -150.00%-2M |
Increase or decrease of lease financing | -15.71%-20.96B | -4.48%-74.71B | 1.77%-18.38B | -3.04%-18.8B | -8.78%-19.42B | -8.45%-18.12B | -4.60%-71.51B | -1.10%-18.71B | -9.30%-18.24B | -7.99%-17.85B |
Cash dividends paid | -7.63%-76.37B | 3.80%-147.33B | --0 | -6.23%-76.37B | --0 | 12.66%-70.96B | -53.16%-153.14B | --0 | -27.81%-71.89B | --0 |
Cash dividends for minorities | 1.24%-6.91B | -21.26%-28.56B | -104.45%-14.69B | 3.99%-4.81B | 64.38%-2.06B | -25.69%-7B | -119.98%-23.56B | -860.56%-7.19B | -27.59%-5.01B | -288.99%-5.79B |
Net other fund-raising expenses | 1,149.30%10.72B | 219.66%3.09B | 186.76%780M | --1.26B | 125.78%191M | 140.57%858M | -81.97%-2.58B | 60.95%272M | --0 | -366.04%-741M |
Financing cash flow | 98.46%-1.1B | -65.89%-415.48B | -30.94%-187.58B | -75.48%33.6B | -28.21%-190.14B | 25.62%-71.35B | -79.00%-250.46B | -14.08%-143.26B | 1,759.32%137.04B | -2,217.46%-148.31B |
Net cash flow | ||||||||||
Beginning cash position | 1.67%667.85B | -10.49%656.86B | -8.40%634.99B | -3.14%657.26B | 0.69%709.81B | -10.49%656.86B | 22.51%733.82B | 11.69%693.25B | 1.12%678.56B | 10.51%704.93B |
Current changes in cash | -13.96%17.98B | 76.34%-25.84B | 146.76%14.97B | -109.35%-4.5B | -38.99%-57.21B | 124.85%20.9B | -205.82%-109.18B | -134.96%-32.02B | 184.80%48.1B | -232.33%-41.16B |
Effect of exchange rate changes | 9.68%30.87B | 22.12%32.92B | 3,939.70%17.89B | 46.78%-17.78B | -68.48%4.66B | -38.88%28.14B | -33.71%26.96B | -101.72%-466M | -434.01%-33.4B | 616.77%14.79B |
Cash adjustments other than cash changes | ---- | -25.65%3.91B | --0 | --0 | --0 | -57.36%3.91B | 158.19%5.26B | 29.45%-3.91B | --0 | --0 |
End cash Position | 0.97%716.7B | 1.67%667.85B | 1.67%667.85B | -8.40%634.99B | -3.14%657.26B | 0.69%709.81B | -10.49%656.86B | -10.49%656.86B | 11.69%693.25B | 1.12%678.56B |
Free cash flow | -42.78%78.06B | 217.20%515.47B | 98.80%192.15B | 138.48%25.24B | 115.99%161.67B | 141.04%136.42B | 30.68%162.51B | -28.17%96.65B | -7.41%-65.59B | 226.03%74.85B |
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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