(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 | 533.02%710.63B | 48.13%-164.11B | -178.74%-316.38B | 127.13%401.82B | -43.72%176.92B | 124.62%314.34B | -1,286.06%-1.28T | -48.51%107.66B | -73.14%209.07B | -30.65%778.39B |
Net profit before non-cash adjustment | 86.01%180B | -31.69%96.77B | -2.01%141.67B | 70.42%144.57B | -10.79%84.83B | -38.20%95.08B | 10.69%153.86B | -18.19%139B | -6.60%169.91B | -6.99%181.92B |
Total adjustment of non-cash items | -187.18%-66.57B | 191.33%76.36B | 33.95%-83.62B | -405.23%-126.6B | 1,952.48%41.48B | -128.35%-2.24B | -15.98%7.9B | -77.05%9.4B | 148.05%40.95B | -183.14%-85.23B |
-Depreciation and amortization | 3.01%47.15B | -0.84%45.77B | 9.03%46.16B | 9.95%42.34B | 20.32%38.51B | 4.75%32B | 3.41%30.55B | -4.51%29.54B | -3.95%30.94B | -9.44%32.21B |
-Assets reserve and write-off | --3.8B | --0 | -94.81%488M | 632.19%9.39B | --1.28B | ---- | ---- | -75.12%430M | -53.75%1.73B | -37.13%3.74B |
-Other restructuring costs | ---- | ---- | 100.10%44M | -642.67%-42.64B | --7.86B | ---- | ---1.5B | ---- | ---- | 24.99%-3.42B |
-Share of associates | 46.08%-4.83B | -10.49%-8.95B | 34.48%-8.1B | -44.06%-12.37B | -2.25%-8.59B | 36.55%-8.4B | -57.33%-13.24B | -20.88%-8.41B | -236.02%-6.96B | -57.61%-2.07B |
-Disposal profit | -17.83%-15.18B | -135.57%-12.88B | -478.62%-5.47B | 92.42%-945M | -1.18%-12.47B | -102.60%-12.32B | 51.09%-6.08B | -215.77%-12.44B | -37.45%-3.94B | 68.41%-2.87B |
-Other non-cash items | -286.00%-97.52B | 144.91%52.43B | 4.61%-116.74B | -922.18%-122.37B | 210.08%14.88B | -635.24%-13.52B | -776.10%-1.84B | -98.58%272M | 117.00%19.18B | -248.55%-112.82B |
Changes in working capital | 277.09%597.2B | 9.93%-337.24B | -197.55%-374.43B | 658.47%383.85B | -77.15%50.61B | 115.40%221.5B | -3,430.86%-1.44T | -2,169.92%-40.75B | -100.26%-1.8B | -17.30%681.7B |
-Change in loans | 37.16%-999.05B | -518.31%-1.59T | 25,038.71%380.07B | -100.47%-1.52B | -42.96%326.38B | 125.84%572.17B | -1,313.83%-2.21T | 46.66%-156.63B | -195.76%-293.67B | 115.32%306.67B |
-Change in financial assets | -852.86%-10.54B | 105.88%1.4B | -174.08%-23.82B | 91.44%-8.69B | -1,509.71%-101.49B | 36.47%7.2B | 120.90%5.28B | -86.97%2.39B | 250.25%18.33B | -340.14%-12.2B |
-Provision for loans, leases and other losses | 96.50%2.24B | -69.68%1.14B | -53.35%3.77B | 24,363.64%8.07B | -58.75%33M | 131.75%80M | -436.17%-252M | 76.73%-47M | -126.51%-202M | 567.48%762M |
-Change in deposits by banks and customers | 389.96%776.75B | 24.86%-267.88B | -175.74%-356.51B | 118.07%470.72B | 58.51%215.86B | -66.11%136.18B | 12,605.06%401.86B | -96.32%3.16B | -85.00%86.07B | 42.89%573.67B |
-Changes in other current assets | -45.54%826.45B | 501.48%1.52T | -347.25%-377.95B | 78.34%-84.51B | 21.04%-390.17B | -233.93%-494.13B | 234.15%368.94B | -41.16%110.41B | 199.99%187.64B | -107.76%-187.66B |
-Changes in other current liabilities | 136.67%1.35B | 3,252.94%570M | 107.80%17M | -1,047.37%-218M | -216.67%-19M | -140.00%-6M | 153.57%15M | -165.12%-28M | -90.53%43M | -50.44%454M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | 8.46%-2.01B | 23.51%-2.2B | -367.48%-2.88B | -128.62%-615M | -896.30%-269M | 12.90%-27M | 26.19%-31M | 89.47%-42M | 72.37%-399M | -4.18%-1.44B |
Interest received (cash flow from operating activities) | 37.05%11.07B | 2.30%8.08B | -32.28%7.9B | -5.82%11.66B | 9.54%12.38B | 8.04%11.3B | -1.16%10.46B | 33.89%10.59B | 15.89%7.91B | 7.40%6.82B |
Tax refund paid | 42.91%-14.57B | 39.41%-25.52B | -92.38%-42.11B | -0.23%-21.89B | -5.20%-21.84B | 60.68%-20.76B | 28.33%-52.79B | -1,525.53%-73.66B | 108.94%5.17B | -1,421.77%-57.8B |
Other operating cash inflow (outflow) | 0.00%-1M | -1M | -200.00%-1M | 200.00%1M | -1M | |||||
Operating cash flow | 483.75%705.12B | 48.02%-183.75B | -190.41%-353.47B | 133.85%390.98B | -45.16%167.19B | 123.11%304.86B | -3,061.74%-1.32T | -79.91%44.54B | -69.46%221.75B | -35.39%725.97B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 54.42%-8.72B | 62.87%-19.13B | -108.84%-51.51B | -185.93%-24.66B | 82.43%-8.63B | -642.40%-49.1B | 22.91%-6.61B | 81.60%-8.58B | -26.93%-46.61B | -4.35%-36.72B |
Net intangibles purchase and sale | -9.44%-36.71B | -45.71%-33.55B | 21.35%-23.02B | 19.08%-29.27B | 1.60%-36.17B | -15.77%-36.76B | -1.38%-31.75B | -4.01%-31.32B | -21.39%-30.11B | -1.86%-24.81B |
Net business purchase and sale | 9.45%-10.99B | -32.87%-12.14B | 68.41%-9.14B | 14.45%-28.93B | -172.94%-33.81B | 42.11%-12.39B | -1,556.42%-21.4B | -4.96%-1.29B | 45.46%-1.23B | -3,078.87%-2.26B |
Net investment property transactions | -334.41%-149.98B | 145.75%63.98B | -11,495.19%-139.84B | 99.10%-1.21B | -169.03%-134.13B | -76.35%194.31B | 140.69%821.56B | -31.51%341.33B | 721.09%498.39B | 114.36%60.7B |
Net outward loans | 37.67%-225M | -17.97%-361M | 41.04%-306M | -28.78%-519M | 28.80%-403M | -56,500.00%-566M | -150.00%-1M | -60.00%2M | 100.19%5M | -583.77%-2.61B |
Net changes in other investments | -300.67%-17.36B | 63.87%8.65B | 174.80%5.28B | -213.46%-7.06B | -117.67%-2.25B | -20.74%12.74B | 112.39%16.08B | 257.85%7.57B | 36.62%-4.8B | -122.17%-7.57B |
Investing cash flow | -3,103.70%-223.99B | 103.41%7.46B | -138.47%-218.53B | 57.45%-91.64B | -298.99%-215.4B | -86.08%108.24B | 152.79%777.87B | -25.97%307.71B | 3,233.41%415.65B | 97.04%-13.27B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 121.44%106.22B | -204.18%-495.49B | 2.28%475.6B | 695.63%464.98B | -136.12%-78.07B | -58.28%216.15B | 162.51%518.08B | 206.87%197.36B | -149.06%-184.67B | 401.88%376.44B |
Net common stock issuance | -167.12%-50.57B | 31.11%-18.93B | -410.23%-27.48B | 136.18%8.86B | 28.22%-24.48B | 18.26%-34.11B | -254.47%-41.73B | -176.41%-11.77B | -39.24%15.41B | 670.43%25.36B |
Cash dividends paid | -12.13%-44.75B | 37.44%-39.91B | -109.64%-63.79B | 2.36%-30.43B | 28.48%-31.16B | -0.17%-43.58B | -2.77%-43.5B | 25.30%-42.33B | -6.63%-56.66B | -6.93%-53.14B |
Cash dividends for minorities | 0.12%-10.61B | -0.84%-10.62B | -413.80%-10.53B | ---2.05B | ---- | ---- | ---- | ---- | ---- | ---- |
Net other fund-raising expenses | -237.34%-3.14B | -128.31%-932M | 199.88%3.29B | -58.16%-3.3B | 97.48%-2.08B | -175,925.53%-82.73B | -74.07%-47M | 99.29%-27M | 27.98%-3.8B | -74.80%-5.27B |
Financing cash flow | 99.50%-2.85B | -250.06%-565.88B | -13.92%377.09B | 422.60%438.07B | -343.62%-135.79B | -87.12%55.74B | 202.18%432.81B | 162.35%143.23B | -166.90%-229.73B | 1,242.19%343.39B |
Net cash flow | ||||||||||
Beginning cash position | -15.78%3.84T | -3.58%4.55T | 20.10%4.72T | -4.58%3.93T | 12.83%4.12T | -2.99%3.65T | 15.04%3.77T | 12.09%3.27T | 58.15%2.92T | 62.55%1.85T |
Current changes in cash | 164.45%478.29B | -280.77%-742.17B | -126.43%-194.91B | 500.76%737.41B | -139.25%-184B | 531.86%468.84B | -121.91%-108.56B | 21.54%495.49B | -61.40%407.67B | 50.72%1.06T |
Effect of exchange rate changes | 63.18%38.1B | -9.36%23.35B | 279.05%25.76B | 237.29%6.8B | -211.86%-4.95B | 187.69%4.43B | -174.84%-5.05B | 75.50%-1.84B | -142.20%-7.5B | 79.80%17.76B |
Cash adjustments other than cash changes | ---- | --1M | ---- | 2,308,900.00%46.18B | 99.96%-2M | -598.71%-4.63B | 180.98%928M | 97.56%-1.15B | -107,009.09%-47.04B | --44M |
End cash Position | 13.46%4.35T | -15.78%3.84T | -3.58%4.55T | 20.10%4.72T | -4.58%3.93T | 12.83%4.12T | -2.99%3.65T | 15.04%3.77T | 12.09%3.27T | 58.15%2.92T |
Free cash flow | 341.75%640.63B | 39.64%-264.99B | -232.09%-439.05B | 204.33%332.38B | -49.93%109.22B | 116.05%218.13B | -30,199.87%-1.36T | -96.88%4.51B | -77.37%144.87B | -39.82%640.19B |
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