(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 | -131.26%-51.49B | -48.97%164.68B | 105.53%322.74B | 713.20%157.03B | -7.15%19.31B | -81.96%20.8B | 163.44%115.31B | 149.95%43.77B | 33.44%-87.63B | -6,603.82%-131.66B |
Net profit before non-cash adjustment | 231.48%118B | -60.18%35.6B | 11.97%89.41B | -15.88%79.85B | 9.82%94.92B | 8.76%86.43B | 7.76%79.47B | 7.72%73.74B | 14.66%68.46B | 8.42%59.71B |
Total adjustment of non-cash items | -166.84%-35.33B | -64.54%52.86B | 445.49%149.07B | 1,325.51%27.33B | -91.74%1.92B | -21.14%23.2B | 274.21%29.42B | 87.11%-16.89B | -193.18%-131.03B | -236.71%-44.69B |
-Depreciation and amortization | 8.30%246.74B | 11.95%227.82B | 4.53%203.51B | 16.48%194.7B | 27.91%167.15B | 8.03%130.68B | 11.72%120.96B | 26.80%108.27B | 14.57%85.39B | 39.92%74.52B |
-Reversal of impairment losses recognized in profit and loss | -93.78%3.15B | 90.30%50.58B | 167.34%26.58B | 386.16%9.94B | 5.09%2.05B | -25.84%1.95B | 541.56%2.62B | --409M | ---- | ---- |
-Share of associates | 2.75%-17.8B | -90.07%-18.31B | -187.06%-9.63B | 11.92%-3.36B | 51.96%-3.81B | -110.26%-7.93B | -221.76%-3.77B | 8.86%-1.17B | -150.68%-1.29B | 83.16%-513M |
-Disposal profit | 63.42%-1.81B | -817.10%-4.93B | 82.15%-538M | 32.28%-3.01B | -428.62%-4.45B | -55.06%-842M | 15.02%-543M | 30.16%-639M | -421.05%-915M | 173.08%285M |
-Net exchange gains and losses | -954.17%-615M | -88.08%72M | -66.05%604M | 325.60%1.78B | -4.78%418M | 604.60%439M | -106.43%-87M | 57.81%1.35B | 122.61%858M | -208.20%-3.79B |
-Other non-cash items | -30.94%-264.99B | -183.23%-202.38B | 58.63%-71.45B | -8.33%-172.72B | -57.70%-159.43B | -12.62%-101.1B | 28.24%-89.77B | 41.83%-125.11B | -86.70%-215.07B | -624.45%-115.19B |
Changes in working capital | -276.00%-134.16B | -9.54%76.23B | 69.03%84.27B | 164.31%49.85B | 12.72%-77.52B | -1,482.72%-88.83B | 149.09%6.42B | 47.79%-13.09B | 82.91%-25.07B | -63.47%-146.68B |
-Change in receivables | -466.30%-76.55B | -86.46%20.9B | 61.45%154.35B | 253.99%95.6B | -370.71%-62.08B | -129.57%-13.19B | 641.11%44.6B | -170.25%-8.24B | 115.56%11.73B | 31.02%-75.4B |
-Change in payables | 465.54%19.41B | 84.12%-5.31B | -98.24%-33.45B | -442.95%-16.87B | 245.22%4.92B | -110.76%-3.39B | 145.88%31.48B | 335.67%12.8B | 72.67%-5.43B | -173.53%-19.88B |
-Provision for loans, leases and other losses | -67.84%-6.05B | -163.93%-3.6B | 309.07%5.64B | -62.95%1.38B | 4,278.65%3.72B | 68.66%-89M | -157.37%-284M | 26.60%495M | 128.25%391M | -781.53%-1.38B |
-Changes in other current assets | -210.47%-70.97B | 251.98%64.24B | -39.73%-42.27B | -25.63%-30.25B | 66.63%-24.08B | -4.01%-72.16B | -282.40%-69.38B | 42.87%-18.14B | 36.50%-31.76B | -586.27%-50.02B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -49.08%-107.2B | -37.32%-71.91B | -6.68%-52.36B | -31.27%-49.08B | -40.92%-37.39B | -19.95%-26.53B | -22.11%-22.12B | -30.96%-18.12B | -24.69%-13.83B | -8.95%-11.09B |
Interest received (cash flow from operating activities) | 8.16%9.87B | 115.64%9.13B | -5.07%4.23B | 95.44%4.46B | 67.11%2.28B | -30.14%1.37B | 27.88%1.95B | -8.23%1.53B | 10.63%1.67B | -17.85%1.51B |
Tax refund paid | 30.31%-25.52B | -29.43%-36.61B | 18.91%-28.29B | -31.39%-34.89B | 4.32%-26.55B | -10.71%-27.75B | -21.58%-25.07B | 7.08%-20.62B | 25.47%-22.19B | -65.40%-29.77B |
Other operating cash inflow (outflow) | 97.51%-2.41B | -410.67%-96.72B | 27.68%-18.94B | -214.95%-26.19B | 69.24%-8.32B | 38.06%-27.03B | -503.32%-43.64B | 50.55%-7.23B | -14.63B | 0 |
Operating cash flow | -462.35%-176.74B | -113.82%-31.43B | 342.97%227.38B | 201.32%51.33B | 14.35%-50.66B | -323.83%-59.15B | 4,044.48%26.43B | 99.51%-670M | 20.12%-136.62B | -504.02%-171.02B |
Investing cash flow | ||||||||||
Net business purchase and sale | -2,687.82%-67.52B | -153.31%-2.42B | 152.22%4.54B | 96.97%-8.7B | -341.19%-287.23B | -438.89%-65.1B | 20.04%-12.08B | ---15.11B | ---- | ---- |
Net investment product transactions | -277.82%-31.71B | -47.34%-8.39B | 94.30%-5.7B | -459.30%-99.86B | 60.08%-17.86B | 50.16%-44.73B | -679.05%-89.75B | -3,013.51%-11.52B | 98.05%-370M | -927.80%-18.94B |
Net changes in other investments | 54.80%-9.26B | -37.34%-20.49B | -233.74%-14.92B | 210.56%11.16B | 28.50%-10.09B | -132.08%-14.11B | -76.67%-6.08B | -27.39%-3.44B | -1,147.29%-2.7B | 106.32%258M |
Investing cash flow | -246.55%-108.5B | -94.76%-31.31B | 83.50%-16.08B | 69.10%-97.41B | -154.28%-315.18B | -14.86%-123.95B | -258.84%-107.91B | -878.87%-30.07B | 83.56%-3.07B | -286.93%-18.68B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 721.00%302.5B | 124.79%36.85B | -404.95%-148.62B | -89.13%48.74B | 147.85%448.38B | 108.53%180.91B | 56.19%86.76B | -60.51%55.54B | -15.03%140.66B | 209.05%165.53B |
Net common stock issuance | -200.00%-3M | 50.00%-1M | 75.00%-2M | -100.01%-8M | 3,126,566.67%93.79B | 62.50%-3M | -300.00%-8M | 33.33%-2M | 99.67%-3M | 36.49%-912M |
Cash dividends paid | -20.39%-21.05B | -1.55%-17.49B | -2.98%-17.22B | -21.78%-16.72B | -5.71%-13.73B | -17.18%-12.99B | -14.16%-11.09B | -35.33%-9.71B | -16.91%-7.18B | -15.64%-6.14B |
Cash dividends for minorities | -20.54%-5.49B | -40.47%-4.56B | 6.81%-3.24B | -20.87%-3.48B | -24.19%-2.88B | -58.29%-2.32B | -44.33%-1.47B | -30.63%-1.02B | -55.40%-777M | ---500M |
Net other fund-raising expenses | -78.45%-14.05B | 75.65%-7.87B | -237.55%-32.33B | -283.31%-9.58B | -110.66%-2.5B | 214.55%23.44B | 143.04%7.45B | -175.07%-17.32B | 2,202.64%23.07B | -114.31%-1.1B |
Financing cash flow | 3,681.36%261.9B | 103.44%6.93B | -1,163.13%-201.42B | -96.38%18.95B | 176.70%523.06B | 131.52%189.04B | 196.91%81.65B | -82.35%27.5B | -0.71%155.77B | 187.94%156.89B |
Net cash flow | ||||||||||
Beginning cash position | -16.15%201.28B | 10.67%240.05B | -13.27%216.9B | 178.73%250.1B | 3.79%89.73B | 0.84%86.45B | -6.57%85.73B | 27.69%91.76B | -37.96%71.86B | 39.36%115.84B |
Current changes in cash | 58.18%-23.34B | -664.49%-55.81B | 136.45%9.89B | -117.25%-27.13B | 2,549.49%157.22B | 3,411.24%5.93B | 105.21%169M | -120.16%-3.24B | 148.99%16.08B | -190.75%-32.82B |
Effect of exchange rate changes | -64.88%5.99B | 29.69%17.04B | 315.27%13.14B | -293.93%-6.11B | 218.57%3.15B | -661.31%-2.66B | 116.95%473M | -173.11%-2.79B | 129.02%3.82B | -281.52%-13.15B |
Cash adjustments other than cash changes | --1M | ---- | 207.89%117M | --38M | ---- | -101.30%-1M | 7,800.00%77M | -150.00%-1M | -99.90%2M | --1.99B |
End cash Position | -8.62%183.93B | -16.15%201.28B | 10.67%240.05B | -13.27%216.9B | 178.73%250.1B | 3.79%89.73B | 0.84%86.45B | -6.57%85.73B | 27.69%91.76B | -37.96%71.86B |
Free cash flow | -462.35%-176.74B | -113.82%-31.43B | 342.97%227.38B | 201.32%51.33B | 14.35%-50.66B | -323.83%-59.15B | 4,044.48%26.43B | 99.51%-670M | 20.12%-136.62B | -504.02%-171.02B |
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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