(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 | 130.20%51.25B | -334.54%-169.68B | 94.20%-39.05B | -289.46%-673.14B | -29.61%355.3B | -9.20%504.75B | -32.95%555.91B | -9.45%829.14B | 254.17%915.62B | 35.84%258.53B |
Net profit before non-cash adjustment | 55.85%462.26B | -19.84%296.61B | 83.43%370.03B | 1,513.17%201.73B | -95.53%12.51B | 14.55%279.84B | -13.55%244.31B | 9.92%282.61B | 16.96%257.09B | 47.69%219.82B |
Total adjustment of non-cash items | -123.22%-1.09T | 32.36%-490.03B | 45.84%-724.51B | -722.67%-1.34T | 150.27%214.84B | -18.78%-427.39B | 16.66%-359.82B | -152.53%-431.74B | 77.07%-170.96B | -24.64%-745.54B |
-Depreciation and amortization | 13.11%121.02B | 10.18%106.99B | 15.53%97.11B | 7.29%84.06B | 5.71%78.35B | -2.16%74.12B | 2.96%75.76B | 47.07%73.58B | -19.40%50.03B | 18.64%62.07B |
-Assets reserve and write-off | 557.36%11.84B | -32.90%1.8B | 37.71%2.68B | -98.88%1.95B | 5,813.18%173.61B | -80.06%2.94B | 167.13%14.72B | -45.58%5.51B | 421.04%10.13B | 105.28%1.94B |
-Other restructuring costs | ---- | ---- | ---- | ---- | ---6.59B | ---- | ---- | ---- | ---- | ---- |
-Share of associates | -747.31%-18.76B | 117.34%2.9B | -353.16%-16.71B | -78.62%6.6B | 923.19%30.88B | -24.33%-3.75B | -42.85%-3.02B | 5.92%-2.11B | -72.43%-2.25B | -113.55%-1.3B |
-Disposal profit | -28.69%-418.5B | -21.07%-325.19B | 36.88%-268.6B | -248.97%-425.54B | 46.80%-121.94B | -45.56%-229.21B | -40.36%-157.47B | 5.29%-112.19B | 49.22%-118.45B | -134.35%-233.26B |
-Net exchange gains and losses | -601.45%-200.41B | 82.87%-28.57B | 57.59%-166.8B | -223.08%-393.3B | 389.01%319.56B | -42.03%65.35B | 455.58%112.73B | -141.14%-31.7B | 210.82%77.07B | 218.34%24.8B |
-Other non-cash items | -137.55%-589.03B | 33.38%-247.96B | 39.14%-372.19B | -136.09%-611.54B | 23.10%-259.03B | 16.32%-336.83B | -10.34%-402.54B | -94.58%-364.82B | 68.74%-187.49B | -10.96%-599.78B |
Changes in working capital | 2,775.67%682.83B | -92.47%23.75B | -31.85%315.44B | 261.75%462.89B | -80.38%127.96B | -2.85%652.3B | -31.37%671.42B | 17.94%978.27B | 5.77%829.49B | 22.61%784.24B |
-Changes in insurance contract liabilities | 3,765.84%712.13B | -105.17%-19.43B | 15.95%376.04B | 172.95%324.32B | -84.36%118.82B | 7.57%759.75B | -28.33%706.29B | 28.57%985.49B | 11.11%766.5B | 38.61%689.83B |
-Provision for loans, leases and other losses | 59.93%5.17B | 109.97%3.23B | -1,327.28%-32.44B | -172.27%-2.27B | 271.11%3.15B | -134.34%-1.84B | 47.85%5.35B | 236.66%3.62B | 75.20%-2.65B | -201.07%-10.68B |
-Changes in other current assets | -32.63%-40.99B | 21.26%-30.9B | -174.35%-39.25B | 270.98%52.79B | 84.70%-30.88B | -1,559.77%-201.86B | 119.63%13.83B | -473.19%-70.45B | 68.16%-12.29B | -145.53%-38.6B |
-Changes in other current liabilities | -90.80%6.52B | 539.07%70.84B | -87.41%11.09B | 138.82%88.05B | -61.69%36.87B | 278.07%96.25B | -190.68%-54.05B | -23.52%59.61B | -45.76%77.93B | 208.11%143.69B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | 0.00%-10.45B | 33.73%-10.45B | -8.25%-15.77B | -9.86%-14.57B | -21.96%-13.26B | -26.04%-10.87B | 18.84%-8.63B | -45.29%-10.63B | -3.85%-7.32B | 14.79%-7.04B |
Interest received (cash flow from operating activities) | 15.61%517.12B | 11.54%447.28B | 1.67%400.99B | -1.81%394.4B | -0.19%401.69B | -1.34%402.46B | 14.87%407.93B | -14.01%355.14B | 1.68%413.02B | 11.36%406.19B |
Tax refund paid | 88.43%-8.45B | 33.31%-73B | -257.64%-109.47B | 59.64%-30.61B | 36.60%-75.83B | 9.77%-119.62B | -52.91%-132.58B | -186.05%-86.7B | -2.80%-30.31B | 48.12%-29.49B |
Other operating cash inflow (outflow) | 50.00%-1M | -100.00%-2M | 0.00%-1M | -1M | 0 | 1M | 0 | 0.00%-1M | -1M | 0 |
Operating cash flow | 183.01%549.47B | -17.98%194.15B | 173.08%236.71B | -148.50%-323.91B | -14.01%667.9B | -5.58%776.72B | -24.32%822.64B | -15.81%1.09T | 105.52%1.29T | 28.21%628.18B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -98.29%409M | 417.98%23.96B | 66.86%-7.54B | 7.49%-22.74B | -53.82%-24.58B | -174.12%-15.98B | 48.11%-5.83B | 33.89%-11.24B | -84.53%-17B | 53.93%-9.21B |
Net intangibles purchase and sale | -8.87%-62.06B | -7.52%-57.01B | 7.64%-53.02B | 26.89%-57.41B | -3.88%-78.52B | -58.64%-75.58B | -72.58%-47.65B | -46.60%-27.61B | -19.93%-18.83B | 37.05%-15.7B |
Net business purchase and sale | --0 | -345.52%-45B | ---10.1B | --0 | ---16.04B | ---- | ---85.34B | ---- | -3,268.32%-581.74B | ---17.27B |
Net investment property transactions | -86.66%88.29B | 192.47%661.89B | -32.66%226.31B | 424.88%336.08B | 51.11%-103.45B | 71.79%-211.59B | -34.29%-750B | -156.91%-558.51B | 56.02%-217.39B | -32.34%-494.33B |
Net outward loans | -33.93%15.27B | 16,724.46%23.11B | 99.11%-139M | 40.76%-15.54B | -38.27%-26.23B | -30.04%-18.97B | -2,126.72%-14.59B | 99.38%-655M | -477.11%-105.52B | -53.09%27.98B |
Net changes in other investments | -152.96%-318.73B | 44.61%-126B | -15.79%-227.49B | -140.93%-196.47B | -216.99%-81.55B | 216.75%69.7B | -253.38%-59.7B | 93.91%-16.9B | -383.57%-277.5B | 151.41%97.86B |
Investing cash flow | -157.56%-276.83B | 768.21%480.95B | -263.86%-71.98B | 113.30%43.93B | -30.88%-330.36B | 73.79%-252.42B | -56.63%-963.11B | 49.51%-614.9B | -196.58%-1.22T | 25.22%-410.67B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 41.31%-100B | -542.78%-170.38B | -3,803.83%-26.51B | -100.52%-679M | 62.74%131.16B | -35.94%80.59B | 1,886.70%125.82B | -97.70%6.33B | --275.73B | ---- |
Net common stock issuance | 45.51%-30.38B | -36.47%-55.75B | -16.59%-40.85B | 32.65%-35.04B | -73.23%-52.02B | -42,798.57%-30.03B | 99.82%-70M | -32.89%-39.99B | -49.87%-30.09B | -295.06%-20.08B |
Cash dividends paid | -9.72%-117.13B | -18.27%-106.75B | -6.28%-90.26B | -1.27%-84.93B | -5.77%-83.86B | 0.75%-79.29B | -26.50%-79.89B | -46.04%-63.15B | -22.88%-43.24B | -3.05%-35.19B |
Cash dividends for minorities | -54.77%-3.54B | 38.40%-2.28B | -102.73%-3.71B | -48.34%-1.83B | -34.75%-1.23B | 0.22%-915M | 16.48%-917M | 14.29%-1.1B | 3.32%-1.28B | -19.91%-1.33B |
Net other fund-raising expenses | -5.65%19.49B | -90.60%20.66B | 8.98%219.87B | 183.06%201.75B | 2,026.32%71.27B | -41.49%-3.7B | -13.84%-2.62B | -12.21%-2.3B | 12.89%-2.05B | -18.15%-2.35B |
Financing cash flow | 26.38%-231.55B | -637.20%-314.5B | -26.15%58.55B | 21.37%79.28B | 295.94%65.32B | -178.76%-33.34B | 142.25%42.33B | -150.33%-100.2B | 437.75%199.08B | -2.82%-58.94B |
Net cash flow | ||||||||||
Beginning cash position | 17.30%2.65T | 13.13%2.26T | -9.29%1.99T | 22.25%2.2T | 35.89%1.8T | -6.53%1.32T | 34.03%1.42T | 31.16%1.06T | 28.86%805.46B | -12.72%625.08B |
Current changes in cash | -88.60%41.09B | 61.51%360.6B | 211.24%223.28B | -149.82%-200.71B | -17.95%402.85B | 600.30%490.97B | -126.39%-98.14B | 36.65%371.85B | 71.60%272.11B | 236.10%158.57B |
Effect of exchange rate changes | 56.15%46.24B | -23.10%29.61B | 1,188.61%38.5B | -30.95%-3.54B | 83.06%-2.7B | -377.95%-15.95B | 150.11%5.74B | 44.16%-11.45B | -201.52%-20.51B | -15.04%20.2B |
Cash adjustments other than cash changes | 0.00%1M | 0.00%1M | --1M | ---- | 200.00%1M | -200.00%-1M | 100.11%1M | -38.65%-904M | -140.80%-652M | 0.13%1.6B |
End cash Position | 3.30%2.73T | 17.30%2.65T | 13.13%2.26T | -9.29%1.99T | 22.25%2.2T | 35.89%1.8T | -6.53%1.32T | 34.03%1.42T | 31.16%1.06T | 28.86%805.46B |
Free cash flow | 312.83%464.53B | -27.67%112.52B | 137.48%155.56B | -174.46%-415.02B | -16.66%557.36B | -11.39%668.74B | -27.38%754.7B | -16.88%1.04T | 112.01%1.25T | 35.44%589.67B |
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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