(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 | -32.67%386.89B | -25.89%574.65B | -1.85%775.35B | 31.75%789.99B | 3.02%599.62B | 5.95%582.02B | 6.66%549.36B | 25.88%515.06B | 155.14%409.16B | 116.85%160.37B |
Net profit before non-cash adjustment | 58.15%821.86B | -6.24%519.66B | 127.93%554.27B | -31.33%243.17B | -8.19%354.13B | 14.27%385.73B | -12.77%337.55B | 3.79%386.96B | 10.31%372.85B | 24.87%337.99B |
Total adjustment of non-cash items | -158.99%-973.37B | 32.20%-375.83B | -21.50%-554.35B | 6.37%-456.24B | -11.79%-487.26B | 8.76%-435.88B | -18.82%-477.71B | -3.12%-402.04B | 40.69%-389.87B | -6.99%-657.39B |
-Depreciation and amortization | 9.89%212.32B | 19.33%193.21B | 13.46%161.91B | 24.30%142.7B | 4.98%114.8B | -8.92%109.35B | -23.58%120.06B | 120.52%157.1B | -2.08%71.24B | 1.55%72.75B |
-Assets reserve and write-off | 132.67%8.7B | 389.53%3.74B | 2.41%764M | -88.32%746M | 96.61%6.39B | 1,154.05%3.25B | -72.30%259M | -57.79%935M | -84.34%2.22B | 1,343.27%14.14B |
-Other restructuring costs | 0.00%-1.81B | 82.33%-1.81B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B | 0.00%-10.23B |
-Share of associates | -108.81%-9.24B | 3,357.05%104.89B | -69.88%3.03B | 126.64%10.07B | 34.29%4.45B | 85.43%3.31B | 126.24%1.79B | -67.41%789M | 896.38%2.42B | -128.15%-304M |
-Disposal profit | -899.31%-258.33B | 78.25%-25.85B | -57.13%-118.86B | 41.09%-75.64B | -54.23%-128.4B | 14.44%-83.25B | 9.11%-97.3B | 14.23%-107.04B | -17.42%-124.81B | -13.54%-106.3B |
-Net exchange gains and losses | -101.43%-45.22B | 14.25%-22.45B | -350.88%-26.18B | -204.07%-5.81B | -42.61%5.58B | 140.62%9.72B | -124.46%-23.93B | -173.78%-10.66B | 1,020.32%14.45B | 84.66%-1.57B |
-Other non-cash items | -40.19%-879.8B | -11.11%-627.55B | -9.02%-564.79B | -7.97%-518.08B | -2.53%-479.85B | 0.07%-468.03B | -8.18%-468.36B | -25.43%-432.92B | 44.85%-345.16B | -9.03%-625.88B |
Changes in working capital | 24.97%538.39B | -44.44%430.81B | -22.69%775.42B | 36.89%1T | 15.91%732.75B | -8.32%632.16B | 30.06%689.51B | 24.39%530.13B | -11.17%426.19B | 14.85%479.76B |
-Changes in insurance contract liabilities | 22.04%809.96B | -13.91%663.66B | -23.30%770.88B | 32.68%1.01T | 22.34%757.49B | -15.13%619.15B | 28.51%729.57B | 11.31%567.7B | 10.38%510.01B | -4.91%462.06B |
-Provision for loans, leases and other losses | 217.73%5.15B | -189.44%-4.37B | 38.90%4.89B | 189.91%3.52B | -140.56%-3.91B | 21.26%9.65B | 400.72%7.96B | -10.20%-2.65B | -128.11%-2.4B | 154.15%8.54B |
-Changes in other current assets | -246.94%-306.67B | -28.53%-88.39B | -165.82%-68.77B | 79.94%-25.87B | -65.50%-128.94B | -6.10%-77.91B | 2.32%-73.43B | 12.56%-75.17B | 55.98%-85.97B | -2,573.83%-195.28B |
-Changes in other current liabilities | 121.38%29.95B | -304.73%-140.09B | 235.89%68.43B | -81.16%20.37B | 33.03%108.12B | 219.74%81.27B | -36.85%25.42B | 785.20%40.25B | -97.78%4.55B | 438.88%204.45B |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -113.25%-27.36B | -45.98%-12.83B | 30.66%-8.79B | 30.02%-12.67B | -2.28%-18.11B | -21.02%-17.71B | -13.57%-14.63B | -53.99%-12.88B | -9.96%-8.37B | 0.65%-7.61B |
Interest received (cash flow from operating activities) | 27.43%847.89B | 20.54%665.38B | 11.35%552.02B | -4.52%495.77B | 7.18%519.24B | 6.86%484.47B | 5.57%453.38B | 11.10%429.47B | 7.24%386.57B | 13.24%360.47B |
Tax refund paid | 36.34%-143.51B | -0.97%-225.45B | -119.91%-223.28B | 7.24%-101.53B | 13.42%-109.46B | 21.04%-126.42B | -33.80%-160.11B | -72.84%-119.66B | -29.71%-69.23B | 17.19%-53.37B |
Other operating cash inflow (outflow) | 37.97%8.22B | -14.13%5.95B | 9.70%6.93B | -0.25%6.32B | -72.53%6.34B | -73.79%23.07B | -32.10%88.02B | -16.96%129.63B | -30.57%156.1B | 115.03%224.84B |
Operating cash flow | 6.39%1.07T | -8.58%1.01T | -6.42%1.1T | 18.07%1.18T | 5.52%997.62B | 3.21%945.44B | -2.72%916.03B | 7.71%941.62B | 27.68%874.24B | 61.21%684.69B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 11.42%-5.39B | 74.47%-6.08B | -1.13%-23.81B | -1.28%-23.54B | -9.34%-23.25B | -47.84%-21.26B | 43.29%-14.38B | -104.52%-25.36B | -34.74%-12.4B | -42.95%-9.2B |
Net business purchase and sale | -851.74%-2.38B | --317M | --0 | 87.43%-42.72B | -690.11%-339.9B | -94.13%-43.02B | -294.45%-22.16B | 99.31%-5.62B | ---817.71B | ---- |
Net investment property transactions | -101.10%-6.92B | 402.50%631.46B | 33.12%-208.75B | 81.78%-312.11B | -804.51%-1.71T | -14.59%-189.42B | 79.23%-165.31B | -3,678.02%-795.89B | -95.71%22.24B | 311.57%519.03B |
Net outward loans | 37.51%-189.36B | -41.75%-303.02B | -12.88%-213.78B | 58.66%-189.39B | -933.78%-458.12B | -76.25%54.95B | 161.04%231.3B | -102.02%-378.91B | 40.45%-187.56B | -2,526.10%-314.96B |
Net changes in other investments | -39.06%-423.6B | -39.02%-304.61B | -34.22%-219.11B | -1,277.13%-163.25B | 96.78%-11.85B | 5.43%-368B | -55.75%-389.12B | -349.85%-249.83B | 84.20%100B | -23.08%54.29B |
Investing cash flow | -3,574.38%-627.65B | 102.71%18.07B | 8.97%-665.44B | 71.29%-731.01B | -349.30%-2.55T | -57.58%-566.76B | 75.29%-359.67B | -62.56%-1.46T | -459.39%-895.44B | 248.12%249.16B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -6,412.72%-136.92B | 110.55%2.17B | 92.53%-20.55B | -247.93%-275.26B | 5,360.70%186.07B | 97.55%-3.54B | -242.08%-144.3B | -61.76%101.56B | 310.81%265.6B | -43.95%-125.99B |
Net common stock issuance | 48.61%-51.7B | -15.71%-100.6B | -324.67%-86.94B | 59.81%-20.47B | 50.21%-50.94B | 18.21%-102.32B | -398.75%-125.09B | -19,342.64%-25.08B | 99.74%-129M | -29,405.85%-50.11B |
Cash dividends paid | -14.13%-219.14B | -26.68%-192.01B | 5.52%-151.57B | -3.63%-160.42B | 10.21%-154.8B | -51.42%-172.4B | -20.81%-113.86B | -16.29%-94.24B | -32.13%-81.04B | -39.20%-61.33B |
Cash dividends for minorities | -26.59%-895M | -3.82%-707M | 37.47%-681M | -84.58%-1.09B | 14.49%-590M | 31.07%-690M | -15.59%-1B | 51.32%-866M | -375.67%-1.78B | 32.00%-374M |
Net other fund-raising expenses | 100.34%2.46B | -193.23%-718.08B | -339.42%-244.89B | -103.56%-55.73B | 1,661.41%1.56T | 59.53%-100.13B | -164.43%-247.42B | 228.61%384.02B | -47.50%-298.59B | 5.63%-202.43B |
Financing cash flow | 59.75%-406.2B | -99.99%-1.01T | 1.63%-504.63B | -133.24%-512.97B | 507.08%1.54T | 39.99%-379.07B | -272.87%-631.66B | 415.18%365.4B | 73.67%-115.93B | -27.06%-440.24B |
Net cash flow | ||||||||||
Beginning cash position | 8.02%985.38B | -1.35%912.22B | -9.45%924.69B | -0.21%1.02T | -0.53%1.02T | -7.23%1.03T | -13.67%1.11T | -10.21%1.28T | 54.73%1.43T | -5.60%924.5B |
Current changes in cash | 131.27%38.27B | 124.40%16.55B | -2.62%-67.83B | -1,063.19%-66.1B | -1,368.48%-5.68B | 99.49%-387M | 49.32%-75.31B | -8.37%-148.6B | -127.78%-137.13B | 648.68%493.61B |
Effect of exchange rate changes | 11.85%63.33B | -5.10%56.62B | 280.11%59.66B | -1,196.10%-33.12B | 160.24%3.02B | -3.38%-5.02B | 73.28%-4.85B | -102.04%-18.16B | -162.34%-8.99B | -57.32%14.42B |
Cash adjustments other than cash changes | ---- | 100.05%2M | -256.37%-4.3B | 465.43%2.75B | 48,700.00%486M | 0.00%-1M | 99.99%-1M | -13,826.56%-8.79B | 103.18%64M | -257.31%-2.01B |
End cash Position | 10.31%1.09T | 8.02%985.38B | -1.35%912.22B | -9.45%924.69B | -0.21%1.02T | -0.53%1.02T | -7.23%1.03T | -13.67%1.11T | -10.21%1.28T | 54.73%1.43T |
Free cash flow | 6.98%1.05T | -8.42%982.83B | -6.81%1.07T | 18.37%1.15T | 5.58%972.91B | 2.32%921.53B | -1.70%900.65B | 6.46%916.25B | 28.40%860.62B | 63.46%670.25B |
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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