JP Stock MarketDetailed Quotes

8421 Shinkin Central Bank

Watchlist
  • 242200
  • -800-0.33%
20min DelayNot Open Oct 4 15:00 JST
2.11TMarket Cap54.25P/E (Static)

Shinkin Central Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
1,670.22%3.06T
-200.63%-194.63B
-91.64%193.42B
948.81%2.31T
-68.43%220.64B
-71.21%698.83B
131.73%2.43T
-0.24%1.05T
-61.73%1.05T
3,283.67%2.74T
Net profit before non-cash adjustment
23.64%44.08B
-26.01%35.65B
10.95%48.18B
-22.95%43.43B
-9.00%56.36B
-1.49%61.94B
19.07%62.87B
-12.08%52.8B
-29.23%60.06B
61.27%84.87B
Total adjustment of non-cash items
-362.45%-351.07B
63.39%-75.92B
-2,971.88%-207.35B
103.02%7.22B
-71.86%-238.75B
74.41%-138.92B
-32.70%-542.87B
-781.56%-409.09B
84.33%-46.41B
20.50%-296.2B
-Depreciation and amortization
7.79%10.63B
0.84%9.86B
-4.71%9.78B
-8.94%10.26B
9.81%11.27B
5.87%10.26B
-8.98%9.69B
18.51%10.65B
6.42%8.98B
-6.54%8.44B
-Assets reserve and write-off
59.62%83M
--52M
--0
----
-94.51%86M
2,511.67%1.57B
--60M
----
----
--64M
-Disposal profit
-12.86%105.44B
224.62%121B
1,168.65%37.27B
135.96%2.94B
-1,059.01%-8.17B
-102.99%-705M
173.21%23.58B
-37.75%-32.22B
-80.98%-23.39B
-182.85%-12.92B
-Net exchange gains and losses
-67.02%-317.09B
5.07%-189.86B
-78.18%-200B
-266.31%-112.25B
600.92%67.49B
-134.36%-13.47B
-10.46%39.21B
-65.68%43.8B
169.66%127.63B
43.87%-183.22B
-Other non-cash items
-784.98%-150.13B
68.82%-16.96B
-151.19%-54.4B
134.34%106.27B
-126.57%-309.42B
77.81%-136.57B
-42.68%-615.42B
-170.19%-431.32B
-47.04%-159.63B
-53.35%-108.57B
Changes in working capital
2,278.67%3.36T
-143.78%-154.37B
-84.42%352.59B
461.61%2.26T
-48.05%403.03B
-73.31%775.81B
107.11%2.91T
35.46%1.4T
-64.93%1.04T
1,163.96%2.95T
-Change in receivables
----
----
----
----
----
----
-96.08%101M
196.20%2.58B
---2.68B
----
-Change in loans
432.23%4.86T
-238.89%-1.46T
390.43%1.05T
-219.24%-362.4B
5,859.37%303.92B
-100.35%-5.28B
370.08%1.51T
35.24%-558.22B
-295.23%-862.01B
126.84%441.54B
-Change in financial assets
139.54%47.28B
-54.10%-119.56B
-144.92%-77.59B
205.87%172.71B
-283.53%-163.13B
-179.48%-42.53B
-138.75%-15.22B
1,955.27%39.28B
-103.71%-2.12B
-80.89%57.12B
-Change in payables
-316.27%-21.83B
-34.26%-5.24B
57.03%-3.91B
-129.78%-9.09B
960.65%30.52B
-85.42%2.88B
--19.74B
----
-170.58%-7.05B
86.31%-2.61B
-Provision for loans, leases and other losses
-40.46%-5.92B
-21.05%-4.22B
8.89%-3.48B
-224.73%-3.82B
125.56%3.07B
-425.96%-11.99B
-548.82%-2.28B
-96.54%508M
332.56%14.68B
-70.31%3.39B
-Change in deposits by banks and customers
-214.47%-1.58T
325.92%1.38T
-125.34%-611.41B
651.13%2.41T
-61.15%321.24B
-41.55%826.93B
-28.23%1.41T
2.84%1.97T
-22.45%1.92T
56.64%2.47T
-Change in financial liabilities
16.51%68.5B
1,682.93%58.79B
37.39%-3.71B
82.86%-5.93B
-725.92%-34.61B
131.22%5.53B
60.75%-17.71B
-167.70%-45.12B
-37.89%-16.85B
-219.85%-12.22B
-Changes in other current assets
75.15%-765M
-392.03%-3.08B
-98.20%1.05B
200.78%58.44B
-8,567.26%-57.98B
-1,338.89%-669M
100.80%54M
-45.26%-6.71B
-16.57%-4.62B
-396.25%-3.97B
-Changes in other current liabilities
152.86%268M
43.35%-507M
-239.63%-895M
3,906.25%641M
-98.31%16M
1,116.67%949M
-30.36%78M
1,500.00%112M
97.27%-8M
-178.98%-293M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-103.67%-274.04B
-77.48%-134.55B
22.10%-75.81B
28.45%-97.32B
6.66%-136.01B
-2.57%-145.72B
-1.99%-142.07B
11.86%-139.3B
10.69%-158.04B
10.76%-176.96B
Interest received (cash flow from operating activities)
Tax refund paid
28.98%-11.45B
-68.77%-16.13B
41.99%-9.56B
-22.56%-16.47B
-20.64%-13.44B
35.83%-11.14B
6.98%-17.36B
-3.91%-18.67B
-365.70%-17.96B
-268.74%-3.86B
Other operating cash inflow (outflow)
95.99%339.8B
-12.77%173.38B
-8.14%198.75B
-17.28%216.36B
4.25%261.55B
-9.09%250.88B
2.83%275.97B
-7.03%268.38B
-7.78%288.66B
-7.63%313B
Operating cash flow
1,909.09%3.11T
-156.04%-171.93B
-87.30%306.8B
626.29%2.42T
-58.03%332.74B
-68.83%792.85B
119.70%2.54T
-0.41%1.16T
-59.57%1.16T
5,292.05%2.88T
Investing cash flow
Net PPE purchase and sale
-102.42%-6.61B
7.14%-3.27B
-33.23%-3.52B
3.12%-2.64B
76.68%-2.72B
-558.14%-11.68B
60.92%-1.78B
-33.00%-4.54B
41.88%-3.42B
-97.18%-5.88B
Net intangibles purchase and sale
58.15%-3.99B
-222.02%-9.52B
41.24%-2.96B
35.25%-5.03B
46.99%-7.77B
-329.16%-14.66B
14.75%-3.42B
-30.90%-4.01B
16.37%-3.06B
-38.22%-3.66B
Net business purchase and sale
----
----
----
----
----
----
--2.42B
----
----
----
Net investment property transactions
-196.51%-2.19T
56.90%2.27T
241.37%1.45T
-1,394.35%-1.02T
-111.41%-68.52B
769.83%600.35B
-120.46%-89.63B
-63.74%438.14B
464.36%1.21T
-122.38%-331.68B
Net changes in other investments
-100.02%-6M
499.13%39.91B
-199,900.00%-10B
-100.01%-5M
179.22%39.78B
49.79%-50.21B
-237.07%-100B
24.24%72.95B
125,031.91%58.72B
-100.10%-47M
Investing cash flow
-195.83%-2.2T
60.61%2.3T
238.72%1.43T
-2,529.07%-1.03T
-107.49%-39.24B
372.24%523.79B
-138.29%-192.4B
-60.14%502.55B
469.43%1.26T
-122.37%-341.26B
Financing cash flow
Net issuance payments of debt
---162.48B
--0
----
----
----
-4.99%-226.99B
-99.91%-216.2B
-8.15%-108.15B
---100B
----
Net common stock issuance
--200B
--0
----
----
----
----
----
----
--200B
----
Cash dividends paid
0.00%-19.6B
0.00%-19.6B
0.00%-19.6B
0.00%-19.6B
0.00%-19.6B
0.00%-19.6B
-8.21%-19.6B
4.44%-18.12B
-14.18%-18.96B
0.00%-16.6B
Cash dividends for minorities
0.00%-66M
0.00%-66M
50.38%-66M
-101.52%-133M
0.00%-66M
0.00%-66M
0.00%-66M
50.38%-66M
-101.52%-133M
0.00%-66M
Net other fund-raising expenses
-100.00%-2M
0.00%-1M
0.00%-1M
0.00%-1M
0.00%-1M
0.00%-1M
0.00%-1M
50.00%-1M
-100.00%-2M
50.00%-1M
Financing cash flow
190.74%17.85B
0.00%-19.67B
0.34%-19.67B
-0.34%-19.74B
92.03%-19.67B
-4.57%-246.66B
-86.71%-235.87B
-256.14%-126.33B
585.35%80.91B
-111.43%-16.67B
Net cash flow
Beginning cash position
13.00%18.32T
11.86%16.21T
10.40%14.49T
2.13%13.13T
9.08%12.85T
21.88%11.78T
18.86%9.67T
44.48%8.13T
80.89%5.63T
124.29%3.11T
Current changes in cash
-56.07%925.65B
22.62%2.11T
25.85%1.72T
398.58%1.37T
-74.41%273.83B
-49.42%1.07T
37.90%2.12T
-38.74%1.53T
-0.53%2.5T
45.97%2.52T
Effect of exchange rate changes
--0
--1M
--0
--0
--0
--0
--0
--0
---1M
--0
Cash adjustments other than cash changes
0.00%1M
0.00%1M
0.00%1M
--1M
----
200.00%1M
---1M
----
--2M
----
End cash Position
5.05%19.24T
13.00%18.32T
11.86%16.21T
10.40%14.49T
2.13%13.13T
9.08%12.85T
21.88%11.78T
18.86%9.67T
44.48%8.13T
80.89%5.63T
Free cash flow
1,776.37%3.1T
-161.62%-184.91B
-87.54%300.07B
647.53%2.41T
-57.95%322.25B
-69.81%766.36B
120.88%2.54T
-0.58%1.15T
-59.67%1.16T
6,009.80%2.87T
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
(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 1,670.22%3.06T-200.63%-194.63B-91.64%193.42B948.81%2.31T-68.43%220.64B-71.21%698.83B131.73%2.43T-0.24%1.05T-61.73%1.05T3,283.67%2.74T
Net profit before non-cash adjustment 23.64%44.08B-26.01%35.65B10.95%48.18B-22.95%43.43B-9.00%56.36B-1.49%61.94B19.07%62.87B-12.08%52.8B-29.23%60.06B61.27%84.87B
Total adjustment of non-cash items -362.45%-351.07B63.39%-75.92B-2,971.88%-207.35B103.02%7.22B-71.86%-238.75B74.41%-138.92B-32.70%-542.87B-781.56%-409.09B84.33%-46.41B20.50%-296.2B
-Depreciation and amortization 7.79%10.63B0.84%9.86B-4.71%9.78B-8.94%10.26B9.81%11.27B5.87%10.26B-8.98%9.69B18.51%10.65B6.42%8.98B-6.54%8.44B
-Assets reserve and write-off 59.62%83M--52M--0-----94.51%86M2,511.67%1.57B--60M----------64M
-Disposal profit -12.86%105.44B224.62%121B1,168.65%37.27B135.96%2.94B-1,059.01%-8.17B-102.99%-705M173.21%23.58B-37.75%-32.22B-80.98%-23.39B-182.85%-12.92B
-Net exchange gains and losses -67.02%-317.09B5.07%-189.86B-78.18%-200B-266.31%-112.25B600.92%67.49B-134.36%-13.47B-10.46%39.21B-65.68%43.8B169.66%127.63B43.87%-183.22B
-Other non-cash items -784.98%-150.13B68.82%-16.96B-151.19%-54.4B134.34%106.27B-126.57%-309.42B77.81%-136.57B-42.68%-615.42B-170.19%-431.32B-47.04%-159.63B-53.35%-108.57B
Changes in working capital 2,278.67%3.36T-143.78%-154.37B-84.42%352.59B461.61%2.26T-48.05%403.03B-73.31%775.81B107.11%2.91T35.46%1.4T-64.93%1.04T1,163.96%2.95T
-Change in receivables -------------------------96.08%101M196.20%2.58B---2.68B----
-Change in loans 432.23%4.86T-238.89%-1.46T390.43%1.05T-219.24%-362.4B5,859.37%303.92B-100.35%-5.28B370.08%1.51T35.24%-558.22B-295.23%-862.01B126.84%441.54B
-Change in financial assets 139.54%47.28B-54.10%-119.56B-144.92%-77.59B205.87%172.71B-283.53%-163.13B-179.48%-42.53B-138.75%-15.22B1,955.27%39.28B-103.71%-2.12B-80.89%57.12B
-Change in payables -316.27%-21.83B-34.26%-5.24B57.03%-3.91B-129.78%-9.09B960.65%30.52B-85.42%2.88B--19.74B-----170.58%-7.05B86.31%-2.61B
-Provision for loans, leases and other losses -40.46%-5.92B-21.05%-4.22B8.89%-3.48B-224.73%-3.82B125.56%3.07B-425.96%-11.99B-548.82%-2.28B-96.54%508M332.56%14.68B-70.31%3.39B
-Change in deposits by banks and customers -214.47%-1.58T325.92%1.38T-125.34%-611.41B651.13%2.41T-61.15%321.24B-41.55%826.93B-28.23%1.41T2.84%1.97T-22.45%1.92T56.64%2.47T
-Change in financial liabilities 16.51%68.5B1,682.93%58.79B37.39%-3.71B82.86%-5.93B-725.92%-34.61B131.22%5.53B60.75%-17.71B-167.70%-45.12B-37.89%-16.85B-219.85%-12.22B
-Changes in other current assets 75.15%-765M-392.03%-3.08B-98.20%1.05B200.78%58.44B-8,567.26%-57.98B-1,338.89%-669M100.80%54M-45.26%-6.71B-16.57%-4.62B-396.25%-3.97B
-Changes in other current liabilities 152.86%268M43.35%-507M-239.63%-895M3,906.25%641M-98.31%16M1,116.67%949M-30.36%78M1,500.00%112M97.27%-8M-178.98%-293M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -103.67%-274.04B-77.48%-134.55B22.10%-75.81B28.45%-97.32B6.66%-136.01B-2.57%-145.72B-1.99%-142.07B11.86%-139.3B10.69%-158.04B10.76%-176.96B
Interest received (cash flow from operating activities)
Tax refund paid 28.98%-11.45B-68.77%-16.13B41.99%-9.56B-22.56%-16.47B-20.64%-13.44B35.83%-11.14B6.98%-17.36B-3.91%-18.67B-365.70%-17.96B-268.74%-3.86B
Other operating cash inflow (outflow) 95.99%339.8B-12.77%173.38B-8.14%198.75B-17.28%216.36B4.25%261.55B-9.09%250.88B2.83%275.97B-7.03%268.38B-7.78%288.66B-7.63%313B
Operating cash flow 1,909.09%3.11T-156.04%-171.93B-87.30%306.8B626.29%2.42T-58.03%332.74B-68.83%792.85B119.70%2.54T-0.41%1.16T-59.57%1.16T5,292.05%2.88T
Investing cash flow
Net PPE purchase and sale -102.42%-6.61B7.14%-3.27B-33.23%-3.52B3.12%-2.64B76.68%-2.72B-558.14%-11.68B60.92%-1.78B-33.00%-4.54B41.88%-3.42B-97.18%-5.88B
Net intangibles purchase and sale 58.15%-3.99B-222.02%-9.52B41.24%-2.96B35.25%-5.03B46.99%-7.77B-329.16%-14.66B14.75%-3.42B-30.90%-4.01B16.37%-3.06B-38.22%-3.66B
Net business purchase and sale --------------------------2.42B------------
Net investment property transactions -196.51%-2.19T56.90%2.27T241.37%1.45T-1,394.35%-1.02T-111.41%-68.52B769.83%600.35B-120.46%-89.63B-63.74%438.14B464.36%1.21T-122.38%-331.68B
Net changes in other investments -100.02%-6M499.13%39.91B-199,900.00%-10B-100.01%-5M179.22%39.78B49.79%-50.21B-237.07%-100B24.24%72.95B125,031.91%58.72B-100.10%-47M
Investing cash flow -195.83%-2.2T60.61%2.3T238.72%1.43T-2,529.07%-1.03T-107.49%-39.24B372.24%523.79B-138.29%-192.4B-60.14%502.55B469.43%1.26T-122.37%-341.26B
Financing cash flow
Net issuance payments of debt ---162.48B--0-------------4.99%-226.99B-99.91%-216.2B-8.15%-108.15B---100B----
Net common stock issuance --200B--0--------------------------200B----
Cash dividends paid 0.00%-19.6B0.00%-19.6B0.00%-19.6B0.00%-19.6B0.00%-19.6B0.00%-19.6B-8.21%-19.6B4.44%-18.12B-14.18%-18.96B0.00%-16.6B
Cash dividends for minorities 0.00%-66M0.00%-66M50.38%-66M-101.52%-133M0.00%-66M0.00%-66M0.00%-66M50.38%-66M-101.52%-133M0.00%-66M
Net other fund-raising expenses -100.00%-2M0.00%-1M0.00%-1M0.00%-1M0.00%-1M0.00%-1M0.00%-1M50.00%-1M-100.00%-2M50.00%-1M
Financing cash flow 190.74%17.85B0.00%-19.67B0.34%-19.67B-0.34%-19.74B92.03%-19.67B-4.57%-246.66B-86.71%-235.87B-256.14%-126.33B585.35%80.91B-111.43%-16.67B
Net cash flow
Beginning cash position 13.00%18.32T11.86%16.21T10.40%14.49T2.13%13.13T9.08%12.85T21.88%11.78T18.86%9.67T44.48%8.13T80.89%5.63T124.29%3.11T
Current changes in cash -56.07%925.65B22.62%2.11T25.85%1.72T398.58%1.37T-74.41%273.83B-49.42%1.07T37.90%2.12T-38.74%1.53T-0.53%2.5T45.97%2.52T
Effect of exchange rate changes --0--1M--0--0--0--0--0--0---1M--0
Cash adjustments other than cash changes 0.00%1M0.00%1M0.00%1M--1M----200.00%1M---1M------2M----
End cash Position 5.05%19.24T13.00%18.32T11.86%16.21T10.40%14.49T2.13%13.13T9.08%12.85T21.88%11.78T18.86%9.67T44.48%8.13T80.89%5.63T
Free cash flow 1,776.37%3.1T-161.62%-184.91B-87.54%300.07B647.53%2.41T-57.95%322.25B-69.81%766.36B120.88%2.54T-0.58%1.15T-59.67%1.16T6,009.80%2.87T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Price Target

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Heat List
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Symbol
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