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9697 Capcom

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  • 3765.0
  • -37.0-0.97%
20min DelayNot Open Mar 4 15:30 JST
2.01TMarket Cap36.30P/E (Static)

Capcom Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
266.20%7.82B
-67.52%4.63B
-42.58%13.84B
73.46%55.94B
24.03%15.46B
26,600.00%2.14B
-29.29%14.25B
6,685.52%24.1B
-44.48%32.25B
127.13%12.47B
Net profit before non-cash adjustment
-21.00%10.61B
-29.92%7.22B
-47.31%13.63B
15.91%59.28B
-44.95%9.68B
27.29%13.43B
1.04%10.3B
102.00%25.87B
15.39%51.14B
115.06%17.59B
Total adjustment of non-cash items
309.02%6.77B
-116.41%-1.25B
105.49%66M
-86.30%673M
175.51%5.69B
-260.77%-3.24B
-140.15%-579M
-97.70%-1.2B
11,268.18%4.91B
206.71%2.07B
-Depreciation and amortization
10.04%1.25B
8.46%1.09B
18.89%1.07B
22.77%4.22B
23.79%1.18B
26.96%1.14B
23.16%1.01B
16.28%900M
1.57%3.44B
10.16%954M
-Reversal of impairment losses recognized in profit and loss
----
----
----
--0
----
----
----
----
--190M
----
-Disposal profit
124.33%100M
--0
-14,000.00%-141M
-1,131.43%-361M
121.74%51M
-3,261.54%-411M
--0
0.00%-1M
337.50%35M
1,050.00%23M
-Net exchange gains and losses
-47.27%116M
126.94%59M
55.64%-295M
-137.74%-1.13B
-1,075.00%-470M
-59.33%220M
14.79%-219M
7.77%-665M
-80.00%-477M
84.50%-40M
-Other non-cash items
226.81%5.3B
-75.97%-2.4B
60.45%-568M
-218.81%-2.05B
425.03%4.93B
-838.87%-4.18B
-254.59%-1.37B
-117.58%-1.44B
154.48%1.73B
136.88%939M
Changes in working capital
-18.62%-9.56B
-129.53%-1.34B
126.02%146M
83.16%-4.01B
101.18%85M
35.80%-8.06B
-46.78%4.53B
95.53%-561M
-272.28%-23.81B
-852.85%-7.19B
-Change in receivables
-82.90%-1.21B
-109.19%-461M
40.06%11.81B
99.59%-71M
21.40%-12.86B
-124.47%-661M
-24.93%5.02B
182.86%8.43B
-199.69%-17.16B
-936.73%-16.36B
-Change in inventory
9.23%-5.32B
-197.27%-5.67B
-376.40%-6.4B
79.37%-1.61B
202.50%7.5B
-496.95%-5.86B
60.23%-1.91B
70.30%-1.34B
-45.87%-7.82B
147.58%2.48B
-Change in payables
-195.24%-821M
1,051.88%2.75B
70.93%-532M
-176.94%-1.44B
-165.23%-709M
169.68%862M
-92.36%239M
-64.86%-1.83B
1,138.33%1.87B
629.53%1.09B
-Provision for loans, leases and other losses
-0.99%-2.35B
18.26%1.98B
-144.25%-4.61B
32.22%4.01B
64.81%6.54B
-4.35%-2.33B
-10.95%1.68B
-218.21%-1.89B
2,018.18%3.03B
104.85%3.97B
-Changes in other current assets
290.41%139M
111.72%58M
96.80%-126M
-31.19%-4.89B
-123.96%-390M
99.32%-73M
-130.71%-495M
-202.45%-3.93B
-285.71%-3.73B
294.19%1.63B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-91.67%-23M
-11.11%-20M
-25.00%-15M
-43.90%-59M
-21.43%-17M
-100.00%-12M
-20.00%-18M
-100.00%-12M
16.33%-41M
12.50%-14M
Interest received (cash flow from operating activities)
35.37%444M
-9.20%227M
38.08%359M
307.94%1.13B
172.90%292M
154.26%328M
1,823.08%250M
828.57%260M
377.59%277M
723.08%107M
Tax refund paid
59.54%-3.38B
36.09%-147M
58.00%-4.78B
-87.83%-20.09B
34.08%-147M
-60.78%-8.35B
-114.95%-230M
-119.64%-11.37B
4.10%-10.7B
-11,250.00%-223M
Other operating cash inflow (outflow)
0.00%1M
0
0.00%-1M
0
0
1M
0
0.00%-1M
0.00%-1M
0.00%-1M
Operating cash flow
182.59%4.87B
-67.10%4.69B
-27.52%9.41B
69.45%36.92B
26.38%15.59B
-16.46%-5.89B
-28.90%14.25B
335.04%12.98B
-53.59%21.79B
124.83%12.33B
Investing cash flow
Net PPE purchase and sale
-116.53%-2.04B
73.18%-331M
69.02%-509M
31.86%-4.84B
78.03%-1.02B
-18.30%-944M
-208.50%-1.23B
-28.66%-1.64B
-140.81%-7.1B
-1,228.74%-4.62B
Net intangibles purchase and sale
-71.43%-120M
-143.18%-107M
7.36%-151M
4.81%-297M
62.26%-20M
46.97%-70M
-12.82%-44M
-85.23%-163M
72.07%-312M
78.19%-53M
Net business purchase and sale
---9M
----
----
---122M
--0
--0
----
----
--0
--0
Net investment product transactions
80.62%-151M
--0
--0
-546.72%-545M
1,476.47%234M
-660.43%-779M
--0
--0
103.66%122M
-6.25%-17M
Net changes in other investments
172.22%39M
-494.12%-101M
-418.52%-140M
58.72%-161M
68.34%-63M
15.63%-54M
86.82%-17M
-1,450.00%-27M
-1,292.86%-390M
-109.47%-199M
Investing cash flow
-23.71%-2.29B
51.09%-693M
56.36%-800M
22.36%-5.96B
82.32%-865M
-116.02%-1.85B
-149.47%-1.42B
-34.48%-1.83B
-3.41%-7.68B
-597.01%-4.89B
Financing cash flow
Net issuance payments of debt
94.83%-3M
----
----
-123.10%-685M
-110.69%-314M
-117.06%-58M
----
----
507.84%2.97B
1,038.66%2.94B
Net common stock issuance
--0
---1M
---1M
99.99%-1M
---1M
--0
--0
--0
-682,150.00%-13.65B
--0
Increase or decrease of lease financing
----
----
----
-8.77%-1.02B
----
----
----
----
-85.52%-935M
----
Cash dividends paid
-33.33%-7.67B
0.00%8M
-7.51%-9.16B
-31.27%-14.27B
0.00%5M
-17.40%-5.76B
14.29%8M
-42.59%-8.52B
-24.28%-10.87B
25.00%5M
Net other fund-raising expenses
-33.98%-276M
-11.78%-332M
-16.54%-296M
----
----
14.17%-206M
-16.93%-297M
-2.42%-254M
0.00%-2M
99.46%740M
Financing cash flow
-32.11%-7.95B
-5.98%-638M
-7.78%-9.46B
28.98%-15.97B
-120.74%-570M
-25.34%-6.02B
95.76%-602M
-40.99%-8.78B
-125.30%-22.49B
720.32%2.75B
Net cash flow
Beginning cash position
2.58%110.63B
16.37%110.25B
21.93%109.09B
-6.45%89.47B
17.64%92.9B
17.94%107.85B
11.31%94.74B
-6.45%89.47B
49.33%95.64B
-12.11%78.97B
Current changes in cash
60.97%-5.37B
-72.55%3.36B
-136.06%-854M
278.99%14.99B
38.90%14.15B
-28.38%-13.76B
132.29%12.23B
118.06%2.37B
-128.35%-8.38B
134.72%10.19B
Effect of exchange rate changes
270.69%2.04B
-436.69%-2.97B
-30.57%2.02B
109.64%4.63B
549.68%2.04B
32.20%-1.19B
-17.09%883M
12.00%2.9B
7.76%2.21B
-78.27%314M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
200.00%1M
0.00%1M
----
End cash Position
15.51%107.3B
2.58%110.63B
16.37%110.25B
21.93%109.09B
21.93%109.09B
17.64%92.9B
17.94%107.85B
11.31%94.74B
-6.45%89.47B
-6.45%89.47B
Free cash flow
139.13%2.7B
-67.24%4.25B
-24.73%8.41B
121.14%31.79B
90.05%14.55B
-15.31%-6.91B
-33.82%12.97B
262.12%11.17B
-66.48%14.37B
56.42%7.66B
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
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities 266.20%7.82B-67.52%4.63B-42.58%13.84B73.46%55.94B24.03%15.46B26,600.00%2.14B-29.29%14.25B6,685.52%24.1B-44.48%32.25B127.13%12.47B
Net profit before non-cash adjustment -21.00%10.61B-29.92%7.22B-47.31%13.63B15.91%59.28B-44.95%9.68B27.29%13.43B1.04%10.3B102.00%25.87B15.39%51.14B115.06%17.59B
Total adjustment of non-cash items 309.02%6.77B-116.41%-1.25B105.49%66M-86.30%673M175.51%5.69B-260.77%-3.24B-140.15%-579M-97.70%-1.2B11,268.18%4.91B206.71%2.07B
-Depreciation and amortization 10.04%1.25B8.46%1.09B18.89%1.07B22.77%4.22B23.79%1.18B26.96%1.14B23.16%1.01B16.28%900M1.57%3.44B10.16%954M
-Reversal of impairment losses recognized in profit and loss --------------0------------------190M----
-Disposal profit 124.33%100M--0-14,000.00%-141M-1,131.43%-361M121.74%51M-3,261.54%-411M--00.00%-1M337.50%35M1,050.00%23M
-Net exchange gains and losses -47.27%116M126.94%59M55.64%-295M-137.74%-1.13B-1,075.00%-470M-59.33%220M14.79%-219M7.77%-665M-80.00%-477M84.50%-40M
-Other non-cash items 226.81%5.3B-75.97%-2.4B60.45%-568M-218.81%-2.05B425.03%4.93B-838.87%-4.18B-254.59%-1.37B-117.58%-1.44B154.48%1.73B136.88%939M
Changes in working capital -18.62%-9.56B-129.53%-1.34B126.02%146M83.16%-4.01B101.18%85M35.80%-8.06B-46.78%4.53B95.53%-561M-272.28%-23.81B-852.85%-7.19B
-Change in receivables -82.90%-1.21B-109.19%-461M40.06%11.81B99.59%-71M21.40%-12.86B-124.47%-661M-24.93%5.02B182.86%8.43B-199.69%-17.16B-936.73%-16.36B
-Change in inventory 9.23%-5.32B-197.27%-5.67B-376.40%-6.4B79.37%-1.61B202.50%7.5B-496.95%-5.86B60.23%-1.91B70.30%-1.34B-45.87%-7.82B147.58%2.48B
-Change in payables -195.24%-821M1,051.88%2.75B70.93%-532M-176.94%-1.44B-165.23%-709M169.68%862M-92.36%239M-64.86%-1.83B1,138.33%1.87B629.53%1.09B
-Provision for loans, leases and other losses -0.99%-2.35B18.26%1.98B-144.25%-4.61B32.22%4.01B64.81%6.54B-4.35%-2.33B-10.95%1.68B-218.21%-1.89B2,018.18%3.03B104.85%3.97B
-Changes in other current assets 290.41%139M111.72%58M96.80%-126M-31.19%-4.89B-123.96%-390M99.32%-73M-130.71%-495M-202.45%-3.93B-285.71%-3.73B294.19%1.63B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -91.67%-23M-11.11%-20M-25.00%-15M-43.90%-59M-21.43%-17M-100.00%-12M-20.00%-18M-100.00%-12M16.33%-41M12.50%-14M
Interest received (cash flow from operating activities) 35.37%444M-9.20%227M38.08%359M307.94%1.13B172.90%292M154.26%328M1,823.08%250M828.57%260M377.59%277M723.08%107M
Tax refund paid 59.54%-3.38B36.09%-147M58.00%-4.78B-87.83%-20.09B34.08%-147M-60.78%-8.35B-114.95%-230M-119.64%-11.37B4.10%-10.7B-11,250.00%-223M
Other operating cash inflow (outflow) 0.00%1M00.00%-1M001M00.00%-1M0.00%-1M0.00%-1M
Operating cash flow 182.59%4.87B-67.10%4.69B-27.52%9.41B69.45%36.92B26.38%15.59B-16.46%-5.89B-28.90%14.25B335.04%12.98B-53.59%21.79B124.83%12.33B
Investing cash flow
Net PPE purchase and sale -116.53%-2.04B73.18%-331M69.02%-509M31.86%-4.84B78.03%-1.02B-18.30%-944M-208.50%-1.23B-28.66%-1.64B-140.81%-7.1B-1,228.74%-4.62B
Net intangibles purchase and sale -71.43%-120M-143.18%-107M7.36%-151M4.81%-297M62.26%-20M46.97%-70M-12.82%-44M-85.23%-163M72.07%-312M78.19%-53M
Net business purchase and sale ---9M-----------122M--0--0----------0--0
Net investment product transactions 80.62%-151M--0--0-546.72%-545M1,476.47%234M-660.43%-779M--0--0103.66%122M-6.25%-17M
Net changes in other investments 172.22%39M-494.12%-101M-418.52%-140M58.72%-161M68.34%-63M15.63%-54M86.82%-17M-1,450.00%-27M-1,292.86%-390M-109.47%-199M
Investing cash flow -23.71%-2.29B51.09%-693M56.36%-800M22.36%-5.96B82.32%-865M-116.02%-1.85B-149.47%-1.42B-34.48%-1.83B-3.41%-7.68B-597.01%-4.89B
Financing cash flow
Net issuance payments of debt 94.83%-3M---------123.10%-685M-110.69%-314M-117.06%-58M--------507.84%2.97B1,038.66%2.94B
Net common stock issuance --0---1M---1M99.99%-1M---1M--0--0--0-682,150.00%-13.65B--0
Increase or decrease of lease financing -------------8.77%-1.02B-----------------85.52%-935M----
Cash dividends paid -33.33%-7.67B0.00%8M-7.51%-9.16B-31.27%-14.27B0.00%5M-17.40%-5.76B14.29%8M-42.59%-8.52B-24.28%-10.87B25.00%5M
Net other fund-raising expenses -33.98%-276M-11.78%-332M-16.54%-296M--------14.17%-206M-16.93%-297M-2.42%-254M0.00%-2M99.46%740M
Financing cash flow -32.11%-7.95B-5.98%-638M-7.78%-9.46B28.98%-15.97B-120.74%-570M-25.34%-6.02B95.76%-602M-40.99%-8.78B-125.30%-22.49B720.32%2.75B
Net cash flow
Beginning cash position 2.58%110.63B16.37%110.25B21.93%109.09B-6.45%89.47B17.64%92.9B17.94%107.85B11.31%94.74B-6.45%89.47B49.33%95.64B-12.11%78.97B
Current changes in cash 60.97%-5.37B-72.55%3.36B-136.06%-854M278.99%14.99B38.90%14.15B-28.38%-13.76B132.29%12.23B118.06%2.37B-128.35%-8.38B134.72%10.19B
Effect of exchange rate changes 270.69%2.04B-436.69%-2.97B-30.57%2.02B109.64%4.63B549.68%2.04B32.20%-1.19B-17.09%883M12.00%2.9B7.76%2.21B-78.27%314M
Cash adjustments other than cash changes ----------------------------200.00%1M0.00%1M----
End cash Position 15.51%107.3B2.58%110.63B16.37%110.25B21.93%109.09B21.93%109.09B17.64%92.9B17.94%107.85B11.31%94.74B-6.45%89.47B-6.45%89.47B
Free cash flow 139.13%2.7B-67.24%4.25B-24.73%8.41B121.14%31.79B90.05%14.55B-15.31%-6.91B-33.82%12.97B262.12%11.17B-66.48%14.37B56.42%7.66B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP