Sakurasaku Plus
7097
Timee
215A
Wintest
6721
Heartseed
219A
Raksul
4384
(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 | 121.32%39.01B | 391.18%17.63B | -129.56%-6.05B | 34.68%20.48B | -23.88%15.2B | 66.87%19.97B | 109.36%11.97B | -61.63%5.72B | 40.38%14.9B | 478.16%10.62B |
Net profit before non-cash adjustment | 1.83%28.03B | -9.63%27.52B | 56.19%30.46B | 16.71%19.5B | -11.11%16.71B | 41.03%18.8B | -14.44%13.33B | 16.05%15.58B | 2.15%13.42B | 3.12%13.14B |
Total adjustment of non-cash items | 3.46%-3.6B | 43.53%-3.73B | -696.27%-6.61B | 6.00%-830M | 44.85%-883M | 65.38%-1.6B | -556.03%-4.63B | -199.02%-705M | 96.14%712M | -70.56%363M |
-Depreciation and amortization | 5.97%3.74B | 11.77%3.53B | 9.95%3.16B | -3.43%2.87B | 23.33%2.98B | 3.34%2.41B | 13.02%2.34B | -8.99%2.07B | 5.58%2.27B | -1.33%2.15B |
-Reversal of impairment losses recognized in profit and loss | ---- | ---- | --168M | ---- | ---- | -61.60%288M | 5.04%750M | --714M | ---- | -1.59%371M |
-Share of associates | -129.20%-311M | 387.84%1.07B | -37.04%-370M | 20.35%-270M | -25.56%-339M | 19.16%-270M | 16.71%-334M | 33.17%-401M | -16.50%-600M | -1.98%-515M |
-Disposal profit | 53.17%-3.94B | 6.28%-8.41B | -200.77%-8.98B | -8.91%-2.98B | 42.62%-2.74B | 38.00%-4.78B | -154.19%-7.7B | -160.31%-3.03B | -297.27%-1.16B | 47.40%-293M |
-Other non-cash items | -3,875.61%-3.1B | 113.85%82M | -31.56%-592M | 42.31%-450M | -204.98%-780M | 127.91%743M | 703.70%326M | -126.21%-54M | 115.26%206M | -417.24%-1.35B |
Changes in working capital | 336.59%14.59B | 79.38%-6.17B | -1,755.54%-29.9B | 390.82%1.81B | -122.35%-621M | -14.94%2.78B | 135.69%3.27B | -1,293.48%-9.15B | 126.57%767M | 76.22%-2.89B |
-Change in receivables | -124.65%-3.86B | 239.49%15.66B | -89.52%-11.23B | -166.06%-5.92B | -20.48%8.97B | 169.44%11.28B | -33.37%-16.24B | -436.70%-12.18B | 444.38%3.62B | 37.16%-1.05B |
-Change in inventory | 346.88%13.61B | 72.49%-5.51B | -740.77%-20.04B | 742.86%3.13B | 111.83%371M | 40.92%-3.14B | -128.78%-5.31B | -345.09%-2.32B | 146.51%947M | 46.31%-2.04B |
-Change in payables | 127.30%4.18B | -451.32%-15.33B | 2.39%4.36B | 137.59%4.26B | -1,639.95%-11.33B | -96.36%736M | 353.88%20.2B | 203.75%4.45B | -479.98%-4.29B | 122.68%1.13B |
-Provision for loans, leases and other losses | 304.41%139M | 88.26%-68M | 83.61%-579M | -802.19%-3.53B | 283.97%503M | -97.85%131M | 637.70%6.09B | 529.69%825M | 72.49%-192M | -267.79%-698M |
-Changes in other current assets | -364.81%-858M | 105.16%324M | -285.72%-6.28B | 199.12%3.38B | 117.97%1.13B | -194.30%-6.3B | -667.37%-2.14B | 150.13%377M | 34.55%-752M | -6.49%-1.15B |
-Changes in other current liabilities | 210.63%1.37B | -132.14%-1.24B | 686.97%3.86B | 289.58%491M | -480.88%-259M | -89.79%68M | 314.15%666M | -121.63%-311M | 56.82%1.44B | 188.51%917M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -4.78%-1.89B | -170.27%-1.8B | 5.53%-666M | 46.91%-705M | 29.51%-1.33B | -12.34%-1.88B | -29.90%-1.68B | 0.31%-1.29B | -39.40%-1.3B | 2.52%-929M |
Interest received (cash flow from operating activities) | -26.87%1.61B | 22.87%2.2B | 3.46%1.79B | -23.11%1.73B | 30.97%2.25B | 11.54%1.72B | -12.87%1.54B | -15.67%1.77B | -15.56%2.1B | 101.05%2.49B |
Tax refund paid | -5.36%-8.55B | -24.38%-8.11B | -67.59%-6.52B | 28.50%-3.89B | 25.47%-5.44B | -24.25%-7.3B | -34.89%-5.88B | -13.49%-4.36B | -0.55%-3.84B | -27.56%-3.82B |
Other operating cash inflow (outflow) | 0 | -100.00%-2M | -200.00%-1M | -66.67%1M | 50.00%3M | 0.00%2M | 2M | 0 | 0.00%-1M | -100.92%-1M |
Operating cash flow | 204.46%30.19B | 186.61%9.92B | -165.00%-11.45B | 64.76%17.61B | -14.55%10.69B | 109.90%12.51B | 223.91%5.96B | -84.49%1.84B | 42.04%11.87B | 1,193.46%8.35B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 7.98%-2.29B | -50.73%-2.49B | 3.56%-1.65B | -29.63%-1.72B | 47.46%-1.32B | -26.66%-2.52B | -1,358.23%-1.99B | 109.81%158M | 22.92%-1.61B | 27.68%-2.09B |
Net intangibles purchase and sale | -340.66%-1.86B | -33.44%-423M | 51.08%-317M | 23.22%-648M | -1.81%-844M | -74.16%-829M | 22.48%-476M | 9.17%-614M | -31.52%-676M | -295.38%-514M |
Net business purchase and sale | -214.61%-1.4B | 19.68%-445M | ---554M | ---- | -377.55%-234M | 44.32%-49M | 82.47%-88M | -13.57%-502M | -10.50%-442M | -86.92%-400M |
Net investment product transactions | -69.83%3.49B | 37.35%11.55B | 351.42%8.41B | -30.56%1.86B | -37.84%2.68B | -45.26%4.32B | 73.62%7.88B | 71.81%4.54B | 3,520.55%2.64B | 102.21%73M |
Advance cash and loans provided to other parties | -529.94%-1.05B | -10.60%-167M | 31.05%-151M | 78.80%-219M | -174.73%-1.03B | -74.07%-376M | -10.20%-216M | 22.22%-196M | -1.61%-252M | -6,100.00%-248M |
Repayment of advance payments to other parties and cash income from loans | 356.73%781M | -50.72%171M | 281.32%347M | 106.82%91M | -55.10%44M | -76.67%98M | -50.70%420M | 273.68%852M | 2.70%228M | -49.20%222M |
Net changes in other investments | -150.00%-42M | 113.23%84M | -409.76%-635M | 12.64%205M | 80.20%182M | 122.44%101M | -269.81%-450M | 619.61%265M | 41.38%-51M | -113.72%-87M |
Investing cash flow | -128.82%-2.39B | 52.00%8.28B | 1,387.47%5.45B | 19.43%-423M | -170.66%-525M | -85.39%743M | 12.92%5.09B | 2,897.52%4.5B | 94.71%-161M | 44.32%-3.04B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -168.86%-9.44B | -118.59%-3.51B | 246.35%18.89B | -322.67%-12.9B | 80.97%-3.05B | -1,112.93%-16.05B | -144.73%-1.32B | 136.31%2.96B | -59.76%-8.15B | -194.58%-5.1B |
Net common stock issuance | 15.28%-2.25B | 65.26%-2.65B | ---7.63B | --0 | 54.64%-425M | -38.00%-937M | 23.79%-679M | -26.03%-891M | -17.05%-707M | ---604M |
Cash dividends paid | 10.63%-6.66B | -68.74%-7.45B | -37.75%-4.42B | -9.87%-3.21B | -18.92%-2.92B | 5.29%-2.45B | -9.47%-2.59B | -10.66%-2.37B | 0.51%-2.14B | -41.10%-2.15B |
Cash dividends for minorities | 45.71%-19M | 67.29%-35M | 65.71%-107M | 15.68%-312M | -59.48%-370M | 12.12%-232M | -142.20%-264M | -101.85%-109M | 76.62%-54M | -81.89%-231M |
Net other fund-raising expenses | 211.60%4.38B | -433.74%-3.92B | 36.69%-735M | -128.54%-1.16B | -513.01%-508M | 373.33%123M | 38.36%-45M | 13.10%-73M | 23.64%-84M | -6.80%-110M |
Financing cash flow | 20.42%-13.98B | -392.85%-17.57B | 134.12%6B | -141.74%-17.58B | 62.79%-7.27B | -298.82%-19.55B | -918.92%-4.9B | 95.68%-481M | -35.84%-11.13B | -325.21%-8.19B |
Net cash flow | ||||||||||
Beginning cash position | 5.45%29.79B | 8.73%28.25B | 1.97%25.98B | 10.73%25.48B | -21.29%23.01B | 27.47%29.24B | 34.22%22.94B | -1.76%17.09B | -5.48%17.39B | -3.07%18.4B |
Current changes in cash | 2,111.20%13.82B | 20,933.33%625M | 99.23%-3M | -113.55%-392M | 145.96%2.89B | -202.41%-6.29B | 4.81%6.15B | 917.88%5.86B | 119.98%576M | -11.18%-2.88B |
Effect of exchange rate changes | 195.07%2.69B | -59.82%912M | 153.91%2.27B | 312.35%894M | -679.63%-421M | -74.19%-54M | 84.42%-31M | 78.63%-199M | -155.95%-931M | 91.93%1.66B |
Cash adjustments other than cash changes | ---- | 100.00%2M | 0.00%1M | 150.00%1M | -101.63%-2M | -33.87%123M | 1.64%186M | 273.47%183M | -76.78%49M | -81.54%211M |
End cash Position | 55.42%46.3B | 5.45%29.79B | 8.73%28.25B | 1.97%25.98B | 10.73%25.48B | -21.29%23.01B | 27.47%29.24B | 34.22%22.94B | -1.76%17.09B | -5.48%17.39B |
Free cash flow | 269.39%25.73B | 151.85%6.97B | -188.96%-13.43B | 77.83%15.1B | -6.37%8.49B | 162.06%9.07B | 685.62%3.46B | -106.72%-591M | 54.67%8.8B | 235.52%5.69B |
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 |