(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 | 617.03%65.39B | -34.02%9.12B | 48.16%13.82B | -21.50%9.33B | -31.58%11.89B | -65.87%17.37B | 84.34%50.9B | 248.64%27.61B | -74.07%7.92B | 327.04%30.54B |
Net profit before non-cash adjustment | 50.75%30.78B | 1.54%20.42B | 95.76%20.11B | -57.63%10.27B | 15.94%24.25B | -9.84%20.91B | 6.06%23.2B | -37.71%21.87B | 63.40%35.11B | 20.01%21.49B |
Total adjustment of non-cash items | -504.48%-4.78B | 274.85%1.18B | 83.05%-676M | -707.49%-3.99B | -131.29%-494M | -39.20%1.58B | 579.15%2.6B | -149.01%-542M | 127.31%1.11B | -512.00%-4.05B |
-Depreciation and amortization | 1.57%6.51B | -7.82%6.41B | 2.37%6.96B | 16.39%6.8B | -9.35%5.84B | -0.22%6.44B | -3.24%6.46B | -8.55%6.67B | 0.32%7.3B | 19.23%7.27B |
-Reversal of impairment losses recognized in profit and loss | 57.58%260M | -71.50%165M | 193.91%579M | -34.11%197M | 221.51%299M | -80.17%93M | -17.43%469M | 35.24%568M | -11.76%420M | 37.57%476M |
-Disposal profit | -165.39%-9.47B | -50.49%-3.57B | 47.28%-2.37B | -395.26%-4.5B | -678.34%-908M | -81.95%157M | 129.35%870M | -128.53%-2.96B | 78.69%-1.3B | -8,005.19%-6.09B |
-Other non-cash items | -14.11%-2.09B | 68.70%-1.83B | 9.93%-5.84B | -13.29%-6.49B | -11.97%-5.72B | 1.64%-5.11B | -7.89%-5.2B | 9.32%-4.82B | 6.99%-5.31B | -3.11%-5.71B |
Changes in working capital | 415.60%39.39B | -122.42%-12.48B | -284.39%-5.61B | 125.64%3.04B | -131.68%-11.87B | -120.41%-5.12B | 299.44%25.1B | 122.21%6.28B | -316.03%-28.3B | 140.50%13.1B |
-Change in receivables | -39.16%-20.36B | 8.83%-14.63B | -1,668.43%-16.05B | -39.68%1.02B | 131.67%1.7B | -317.15%-5.36B | -94.76%2.47B | 190.12%47.05B | -1,823.80%-52.21B | 118.61%3.03B |
-Change in inventory | 140.28%4.37B | -181.26%-10.85B | -437.62%-3.86B | -60.72%1.14B | 153.95%2.91B | -1,180.96%-5.39B | -69.81%499M | 182.69%1.65B | -123.56%-2B | 195.01%8.48B |
-Change in payables | 318.68%54.26B | -12.66%12.96B | 952.76%14.84B | 89.62%-1.74B | -512.06%-16.77B | -80.57%4.07B | 149.51%20.95B | -254.55%-42.3B | 1,621.57%27.37B | 140.99%1.59B |
-Provision for loans, leases and other losses | -82.47%34M | 158.43%194M | 54.27%-332M | -3,357.14%-726M | 88.07%-21M | -240.80%-176M | 147.17%125M | -129.41%-265M | 3,437.04%901M | 97.73%-27M |
-Changes in other current assets | 59.70%-791M | 61.23%-1.96B | -708.79%-5.06B | -164.94%-626M | -48.23%964M | 755.63%1.86B | -225.11%-284M | 109.25%227M | -923.83%-2.46B | 118.79%298M |
-Changes in other current liabilities | 3.26%1.87B | -62.64%1.81B | 22.20%4.85B | 713.45%3.97B | -397.69%-647M | -109.64%-130M | 1,786.25%1.35B | -181.63%-80M | 135.64%98M | 42.35%-275M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | 12.68%-62M | 8.97%-71M | 3.70%-78M | -50.00%-81M | 27.03%-54M | 39.34%-74M | 36.79%-122M | 40.62%-193M | 32.29%-325M | 6.80%-480M |
Interest received (cash flow from operating activities) | -2.85%1.3B | -8.25%1.33B | -0.89%1.45B | 1.52%1.47B | 3.36%1.45B | -14.86%1.4B | 30.63%1.64B | 2.11%1.26B | -15.34%1.23B | 28.22%1.45B |
Tax refund paid | 13.50%-7.77B | -180.37%-8.99B | 52.38%-3.21B | 5.89%-6.73B | 26.65%-7.15B | -101.91%-9.75B | 71.80%-4.83B | -60.15%-17.12B | -66.71%-10.69B | 36.16%-6.41B |
Other operating cash inflow (outflow) | 176.81%1.08B | -132.34%-1.41B | -9.12%4.35B | 1.96%4.78B | 4.62%4.69B | 2.19%4.48B | -2.66%4.39B | 6.17%4.51B | -0.02%4.25B | 0.14%4.25B |
Operating cash flow | 666,033.33%59.93B | -100.06%-9M | 86.37%16.34B | -18.93%8.77B | -19.46%10.82B | -74.17%13.43B | 223.61%51.98B | 574.59%16.06B | -91.89%2.38B | 257.47%29.35B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -1,486.90%-2.33B | 106.43%168M | 23.20%-2.61B | 70.66%-3.4B | -399.66%-11.59B | 71.55%-2.32B | -175.17%-8.16B | 15.17%-2.96B | -30.42%-3.49B | 46.29%-2.68B |
Net intangibles purchase and sale | -44.77%-1.27B | -51.46%-880M | 63.30%-581M | 20.17%-1.58B | -98.30%-1.98B | -83.49%-1B | 60.16%-545M | -133.85%-1.37B | 35.78%-585M | 39.95%-911M |
Net business purchase and sale | 545.71%624M | 98.78%-140M | -754.24%-11.48B | -3,260.00%-1.34B | 94.94%-40M | -4,063.16%-791M | 99.24%-19M | -46.31%-2.5B | 43.82%-1.71B | -115.60%-3.04B |
Net investment product transactions | 108.42%11.18B | 27.67%5.37B | -38.18%4.2B | 665.64%6.8B | 58.29%-1.2B | 14.02%-2.88B | -269.72%-3.35B | 75.40%1.98B | -89.17%1.13B | 5,628.72%10.39B |
Advance cash and loans provided to other parties | ---8M | --0 | -74.86%-918M | -194.94%-525M | 73.51%-178M | -208.26%-672M | 84.02%-218M | -189.60%-1.36B | 36.09%-471M | -1,290.57%-737M |
Repayment of advance payments to other parties and cash income from loans | 75.23%580M | -9.07%331M | -27.35%364M | 15.97%501M | 148.28%432M | 87.10%174M | -76.75%93M | 103.05%400M | -26.77%197M | 33.83%269M |
Net changes in other investments | 159.43%315M | -7,471.43%-530M | -103.00%-7M | 121.16%233M | -596.84%-1.1B | 37.05%-158M | 47.05%-251M | -6,671.43%-474M | -104.35%-7M | 8,150.00%161M |
Investing cash flow | 110.68%9.09B | 139.11%4.32B | -1,722.35%-11.03B | 104.34%680M | -104.78%-15.66B | 38.55%-7.65B | -97.78%-12.45B | -27.36%-6.29B | -242.96%-4.94B | 143.45%3.46B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -161.01%-7.51B | -65.12%-2.88B | -160.77%-1.74B | -82.41%2.87B | -14.92%16.31B | 2,234.59%19.17B | 113.71%821M | -87.13%-5.99B | -154.05%-3.2B | 433.33%5.92B |
Net common stock issuance | -62.41%-12B | ---7.39B | --0 | 99.93%-2M | 71.79%-2.82B | -1,497.76%-10B | -62,500.00%-626M | 99.97%-1M | 65.96%-3.26B | -231.98%-9.59B |
Increase or decrease of lease financing | -12.94%-445M | 35.83%-394M | 43.04%-614M | 31.64%-1.08B | 12.78%-1.58B | 4.29%-1.81B | -2.05%-1.89B | 3.34%-1.85B | 0.83%-1.92B | -60.92%-1.93B |
Cash dividends paid | -2.19%-2.24B | -3.36%-2.19B | 14.26%-2.12B | -1.69%-2.47B | -19.85%-2.43B | 1.65%-2.03B | -0.05%-2.06B | -18.69%-2.06B | -4.58%-1.73B | -25.61%-1.66B |
Net other fund-raising expenses | 99.53%-1M | ---211M | ---- | ---- | 0.00%-3M | -200.00%-3M | 50.00%-1M | 90.91%-2M | -633.33%-22M | -200.00%-3M |
Financing cash flow | -69.95%-22.2B | -191.97%-13.06B | -557.79%-4.47B | -107.17%-680M | 77.88%9.48B | 241.96%5.33B | 62.08%-3.75B | 2.31%-9.9B | -39.63%-10.13B | -344.71%-7.26B |
Net cash flow | ||||||||||
Beginning cash position | -9.08%81.84B | 1.27%90.01B | 11.08%88.88B | 6.14%80.01B | 18.39%75.38B | 129.69%63.67B | -0.48%27.72B | -31.31%27.85B | 184.42%40.55B | -61.85%14.26B |
Current changes in cash | 634.96%46.83B | -1,147.13%-8.75B | -90.47%836M | 89.37%8.77B | -58.32%4.63B | -68.95%11.11B | 27,203.03%35.78B | 98.96%-132M | -149.69%-12.7B | 208.12%25.55B |
Cash adjustments other than cash changes | -99.31%4M | 95.61%579M | 193.07%296M | 10,000.00%101M | -99.83%1M | 246.55%603M | 17,500.00%174M | 0.00%-1M | -100.13%-1M | 87.22%747M |
End cash Position | 57.23%128.67B | -9.08%81.84B | 1.27%90.01B | 11.08%88.88B | 6.14%80.01B | 18.39%75.38B | 129.69%63.67B | -0.48%27.72B | -31.31%27.85B | 184.42%40.55B |
Free cash flow | 2,321.24%56.15B | -120.83%-2.53B | 298.78%12.14B | 199.64%3.04B | -131.73%-3.06B | -77.59%9.63B | 472.88%42.97B | 281.67%7.5B | -116.48%-4.13B | 196.07%25.06B |
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 |
No Data