(FY)Feb 29, 2024 | (FY)Feb 28, 2023 | (FY)Feb 28, 2022 | (FY)Feb 28, 2021 | (FY)Feb 29, 2020 | (FY)Feb 28, 2019 | (FY)Feb 28, 2018 | (FY)Feb 28, 2017 | (FY)Feb 29, 2016 | (FY)Feb 28, 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -10.04%478.88B | 68.79%532.3B | -37.73%315.37B | -32.45%506.43B | 33.52%749.7B | 0.97%561.51B | 43.14%556.11B | 187.40%388.52B | -72.47%135.19B | -11.06%491.11B |
Net profit before non-cash adjustment | 7.80%181.47B | 37.06%168.35B | 130.79%122.82B | -69.53%53.22B | 3.92%174.66B | -0.30%168.08B | 12.89%168.59B | -11.75%149.34B | 16.82%169.23B | -1.82%144.86B |
Total adjustment of non-cash items | 8.76%433.37B | 11.13%398.48B | -4.84%358.57B | 11.93%376.8B | 0.50%336.64B | 14.92%334.96B | 2.90%291.47B | 17.51%283.26B | 19.43%241.04B | -4.03%201.82B |
-Depreciation and amortization | 2.27%344.93B | 5.06%337.27B | 3.34%321.03B | 1.17%310.65B | 17.07%307.06B | 2.76%262.29B | 1.70%255.24B | 5.56%250.96B | 12.51%237.73B | 14.93%211.31B |
-Reversal of impairment losses recognized in profit and loss | -10.57%45.85B | 15.61%51.27B | -23.30%44.35B | -0.77%57.82B | -7.11%58.27B | 29.78%62.72B | 6.80%48.33B | -2.72%45.25B | 0.77%46.52B | 31.09%46.16B |
-Share of associates | 8.33%-5.35B | -34.01%-5.84B | -9.50%-4.36B | -20.70%-3.98B | -30.13%-3.3B | 34.05%-2.53B | -9,697.50%-3.84B | 101.99%40M | 69.92%-2.01B | 58.69%-6.69B |
-Disposal profit | 83.77%-5.13B | -1,453.36%-31.6B | 206.91%2.34B | 93.26%-2.18B | -58.18%-32.42B | -39.76%-20.5B | 16.65%-14.67B | 59.06%-17.59B | -2,731.09%-42.98B | -149.56%-1.52B |
-Net exchange gains and losses | -25.40%3.28B | 201.51%4.39B | 130.51%1.46B | -244.77%-4.78B | -200.14%-1.39B | 212.07%1.38B | -617.44%-1.23B | 87.32%-172M | -139.11%-1.36B | -53.17%3.47B |
-Other non-cash items | 15.85%49.8B | 789.24%42.98B | -132.37%-6.24B | 128.76%19.27B | -73.34%8.42B | 314.03%31.6B | 59.91%7.63B | 52.07%4.77B | 106.16%3.14B | -1,565.87%-50.91B |
Changes in working capital | -293.78%-135.97B | 79.20%-34.53B | -317.31%-166.03B | -67.95%76.4B | 307.74%238.39B | -39.13%58.47B | 317.89%96.05B | 83.97%-44.08B | -290.46%-275.08B | -25.68%144.43B |
-Change in receivables | -4.12%-285.84B | -103.94%-274.53B | 40.82%-134.62B | 23.61%-227.46B | 12.00%-297.76B | 30.17%-338.35B | -26.71%-484.54B | -39.25%-382.41B | -4.23%-274.61B | 30.73%-263.46B |
-Change in inventory | 37.20%-15.22B | -485.62%-24.24B | -81.47%6.29B | 52.37%33.92B | 2,559.86%22.26B | 108.57%837M | 29.35%-9.77B | 25.18%-13.83B | 33.51%-18.48B | 33.98%-27.79B |
-Change in prepaid assets | -35.53%141.03B | 33.91%218.76B | -27.64%163.36B | -33.84%225.77B | -21.69%341.27B | -14.32%435.76B | 32.94%508.56B | 113.04%382.55B | -23.68%179.57B | -56.91%235.28B |
-Change in payables | -62.36%14.94B | 133.68%39.7B | -5,781.16%-117.88B | -98.68%2.08B | 1,269.24%157.08B | -12.51%11.47B | 1,842.52%13.11B | 101.01%675M | -162.94%-66.73B | 214.37%106.03B |
-Provision for loans, leases and other losses | 36.90%-4.33B | 17.70%-6.86B | -146.47%-8.34B | 325.44%17.94B | -67.09%4.22B | 128.70%12.81B | 225.13%5.6B | 106.33%1.72B | -26.46%-27.22B | -422.51%-21.52B |
-Changes in other current assets | 6.40%13.45B | 116.89%12.64B | -409.89%-74.83B | 113.19%24.15B | 117.68%11.33B | -201.56%-64.07B | 292.33%63.08B | 51.48%-32.8B | -158.33%-67.6B | 281.73%115.9B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -9.58%-38.77B | -2.72%-35.38B | 0.41%-34.45B | -8.10%-34.59B | -96.77%-32B | -9.39%-16.26B | -5.17%-14.87B | -4.07%-14.14B | -3.70%-13.58B | 1.39%-13.1B |
Interest received (cash flow from operating activities) | 21.91%13.14B | 20.58%10.78B | 9.05%8.94B | 4.33%8.2B | 1.02%7.86B | 22.88%7.78B | 17.47%6.33B | -10.81%5.39B | -9.55%6.04B | 15.94%6.68B |
Tax refund paid | -14.56%-84.75B | 13.38%-73.98B | -2.19%-85.41B | 17.17%-83.57B | -21.34%-100.9B | 0.61%-83.15B | 1.43%-83.66B | -0.46%-84.88B | 2.03%-84.49B | -39.37%-86.24B |
Other operating cash inflow (outflow) | -200.00%-1M | 1M | 0 | 0 | 0 | 0 | -1M | 0 | -1M | 0 |
Operating cash flow | -15.04%368.49B | 112.13%433.71B | -48.43%204.45B | -36.53%396.46B | 32.94%624.66B | 1.29%469.87B | 57.32%463.91B | 583.32%294.89B | -89.17%43.16B | -17.46%398.45B |
Investing cash flow | ||||||||||
Net business purchase and sale | 62.13%-4.53B | 59.43%-11.97B | -478.57%-29.49B | 567.93%7.79B | 75.58%-1.67B | 48.64%-6.82B | ---13.28B | ---- | 101.52%158M | -277.60%-10.4B |
Net investment product transactions | -403.61%-134.62B | 147.59%44.34B | 124.68%17.91B | -1,144.61%-72.57B | 97.73%-5.83B | -954.61%-257.27B | -145.14%-24.4B | 700.74%54.04B | -188.14%-9B | 157.21%10.21B |
Net changes in other investments | -0.61%-369.73B | -10.60%-367.5B | -19.94%-332.27B | 17.06%-277.03B | 16.15%-334B | -2.09%-398.33B | -21.27%-390.18B | 26.50%-321.75B | -21.05%-437.78B | -79.41%-361.64B |
Investing cash flow | -51.85%-508.88B | 2.54%-335.12B | -0.60%-343.85B | -0.09%-341.81B | 48.45%-341.49B | -54.82%-662.42B | -59.82%-427.85B | 40.06%-267.71B | -23.43%-446.61B | -63.27%-361.84B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 48.56%159.84B | 3.20%107.59B | -23.83%104.25B | -21.83%136.85B | -12.58%175.07B | 139.46%200.25B | -1.55%83.63B | -75.74%84.95B | 128.94%350.14B | 295.68%152.94B |
Net common stock issuance | 17.65%-14M | 45.16%-17M | 77.86%-31M | 98.92%-140M | -44,772.41%-13.01B | -7.41%-29M | -42.11%-27M | 77.91%-19M | 99.76%-86M | -199.32%-35.95B |
Increase or decrease of lease financing | -8.56%-72.97B | -6.43%-67.21B | -16.13%-63.15B | 25.84%-54.38B | -342.10%-73.33B | ---16.59B | ---- | ---- | ---- | ---- |
Cash dividends paid | -0.41%-30.85B | -0.42%-30.73B | -0.15%-30.6B | -3.71%-30.56B | -9.38%-29.46B | -6.68%-26.94B | -3.45%-25.25B | -3.58%-24.41B | -3.16%-23.56B | -12.66%-22.84B |
Cash dividends for minorities | -9.29%-26.53B | -13.24%-24.28B | -3.82%-21.44B | 11.11%-20.65B | 0.19%-23.23B | -10.14%-23.27B | -9.21%-21.13B | -2.58%-19.35B | -16.56%-18.86B | -14.50%-16.18B |
Net other fund-raising expenses | -374.83%-45.34B | 88.21%16.5B | 228.14%8.77B | -145.20%-6.84B | 46.00%15.13B | 220.86%10.37B | -121.29%-8.58B | 603.95%40.28B | -67.42%5.72B | -69.06%17.56B |
Financing cash flow | -956.29%-15.87B | 183.96%1.85B | -109.09%-2.21B | -52.53%24.29B | -64.42%51.16B | 402.05%143.79B | -64.84%28.64B | -74.01%81.45B | 228.02%313.34B | 240.88%95.53B |
Net cash flow | ||||||||||
Beginning cash position | 11.32%1.21T | -10.36%1.09T | 6.65%1.22T | 40.11%1.14T | -6.38%814.48B | 8.47%870.01B | 14.50%802.1B | -9.98%700.51B | 22.91%778.15B | 49.07%633.12B |
Current changes in cash | -255.57%-156.26B | 170.93%100.44B | -279.39%-141.61B | -76.39%78.94B | 785.81%334.33B | -175.35%-48.75B | -40.44%64.7B | 220.55%108.63B | -168.19%-90.11B | -31.65%132.14B |
Effect of exchange rate changes | -46.84%5.89B | -28.43%11.08B | 600.06%15.48B | 59.48%-3.1B | -12.59%-7.64B | -282.10%-6.79B | 152.90%3.73B | -228.09%-7.04B | -116.66%-2.15B | -16.34%12.88B |
Cash adjustments other than cash changes | -100.01%-1M | 1,202,100.00%12.02B | -97.56%1M | 4,200.00%41M | -200.00%-1M | 100.20%1M | -50,900.00%-510M | -100.01%-1M | 730,850.00%14.62B | 100.63%2M |
End cash Position | -12.38%1.06T | 11.32%1.21T | -10.36%1.09T | 6.65%1.22T | 40.11%1.14T | -6.38%814.48B | 8.47%870.01B | 14.50%802.1B | -9.98%700.51B | 22.91%778.15B |
Free cash flow | -15.04%368.49B | 112.13%433.71B | -48.43%204.45B | -36.53%396.46B | 32.94%624.66B | 1.29%469.87B | 57.32%463.91B | 583.32%294.89B | -89.17%43.16B | -17.46%398.45B |
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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