Wintest
6721
Showcase
3909
Beauty Kadan Holdings
3041
Cybozu
4776
KODAMA CHEMICAL INDUSTRY
4222
(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 | 7.16%196.64B | -7.57%183.49B | -8.70%198.53B | 4.97%217.45B | 7.81%207.16B | 10.79%192.15B | -15.35%173.44B | 21.65%204.89B | -3.70%168.43B | 7.34%174.9B |
Net profit before non-cash adjustment | 6.78%163.77B | 0.89%153.37B | 17.98%152.01B | -12.86%128.84B | 2.71%147.86B | -0.20%143.96B | 1.69%144.25B | 16.84%141.85B | -4.60%121.41B | 1.95%127.27B |
Total adjustment of non-cash items | -10.73%49.37B | -8.06%55.31B | -14.17%60.16B | 36.38%70.09B | 9.23%51.39B | -0.63%47.05B | -8.68%47.34B | -0.06%51.84B | 27.85%51.88B | -0.98%40.57B |
-Depreciation and amortization | 4.12%71.78B | 2.19%68.94B | -6.32%67.46B | 10.55%72.01B | 2.41%65.14B | 3.72%63.61B | 2.11%61.32B | 15.21%60.06B | 6.08%52.13B | 1.53%49.14B |
-Reversal of impairment losses recognized in profit and loss | -6.57%2.97B | 2,715.93%3.18B | 18.95%113M | -94.31%95M | 181.31%1.67B | -29.37%594M | -69.38%841M | -76.29%2.75B | 134.83%11.58B | 60.11%4.93B |
-Share of associates | -24.75%-9.83B | -16.80%-7.88B | -9.16%-6.75B | -3.29%-6.18B | 10.70%-5.98B | -4.70%-6.7B | -71.34%-6.4B | 38.47%-3.73B | -26.12%-6.07B | -24.53%-4.81B |
-Disposal profit | -41.79%-12.35B | -696.16%-8.71B | -113.86%-1.09B | 1,198.19%7.89B | 107.81%608M | -147.69%-7.78B | 77.00%-3.14B | -3,601.08%-13.66B | 92.42%-369M | -66.30%-4.87B |
-Net exchange gains and losses | -75.00%-609M | -448.00%-348M | -58.85%100M | -49.69%243M | 185.80%483M | -20.66%169M | -52.98%213M | -18.53%453M | 196.86%556M | -41.38%-574M |
-Other non-cash items | -2,245.45%-2.6B | -62.42%121M | 108.10%322M | 62.25%-3.97B | -270.15%-10.53B | 48.23%-2.84B | -191.90%-5.49B | 200.37%5.98B | -83.60%-5.96B | 1.99%-3.24B |
Changes in working capital | 34.47%-16.5B | -84.60%-25.18B | -173.66%-13.64B | 134.05%18.52B | 594.04%7.91B | 106.28%1.14B | -262.29%-18.15B | 330.40%11.19B | -168.80%-4.86B | 346.49%7.06B |
-Change in receivables | 28.81%-7.82B | -81.51%-10.99B | -159.44%-6.05B | 219.34%10.18B | -48.54%-8.53B | 38.05%-5.74B | -117.40%-9.27B | 50.91%-4.27B | -251.60%-8.69B | 81.77%-2.47B |
-Change in inventory | 22.20%-7.15B | -72.27%-9.19B | -222.41%-5.34B | -56.65%4.36B | 188.77%10.06B | 118.63%3.48B | -5,549.27%-18.69B | 114.00%343M | 78.22%-2.45B | -206.42%-11.25B |
-Change in prepaid assets | 167.67%3.54B | -80.33%1.32B | -28.84%6.73B | 2,382.94%9.46B | -69.52%381M | -82.02%1.25B | -35.27%6.95B | -32.90%10.74B | -2.43%16B | 868.96%16.4B |
-Change in payables | 110.84%3.09B | 191.86%1.47B | 49.03%-1.6B | -147.91%-3.13B | 139.74%6.54B | 23.83%2.73B | 5.56%2.2B | 127.61%2.09B | -250.64%-7.56B | 31.40%5.02B |
-Provision for loans, leases and other losses | 73.65%-341M | -23.36%-1.29B | -191.86%-1.05B | 373.21%1.14B | -284.14%-418M | 528.30%227M | -105.79%-53M | 227.14%916M | 79.49%280M | 204.70%156M |
-Changes in other current assets | -20.40%-7.83B | -2.54%-6.5B | -81.45%-6.34B | -2,885.47%-3.49B | 85.45%-117M | -213.56%-804M | -48.21%708M | 155.98%1.37B | -205.25%-2.44B | 43.30%-800M |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -22.96%-1.09B | -5.11%-884M | -9.65%-841M | -13.97%-767M | 6.27%-673M | 11.14%-718M | 17.89%-808M | -7.54%-984M | 4.19%-915M | 7.73%-955M |
Interest received (cash flow from operating activities) | 12.40%12.72B | 14.10%11.32B | 9.63%9.92B | -3.98%9.05B | 0.63%9.42B | 23.65%9.36B | 4.47%7.57B | -10.51%7.25B | 14.47%8.1B | 32.86%7.08B |
Tax refund paid | 7.08%-44.14B | -11.26%-47.5B | 2.53%-42.69B | -8.55%-43.8B | 22.21%-40.35B | 8.32%-51.87B | -41.33%-56.58B | -2.97%-40.03B | 22.51%-38.88B | -0.03%-50.17B |
Other operating cash inflow (outflow) | 162,600.00%1.63B | 0.00%-1M | 0.00%-1M | 0.00%-1M | -1M | 0 | 0 | 0 | -1M | 0 |
Operating cash flow | 13.20%165.76B | -11.21%146.43B | -9.36%164.91B | 3.63%181.93B | 17.88%175.56B | 20.47%148.93B | -27.76%123.63B | 25.15%171.12B | 4.50%136.73B | 11.77%130.85B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -79.20%-77.55B | 12.72%-43.27B | -5.26%-49.58B | 17.63%-47.1B | -13.39%-57.18B | -14.32%-50.43B | 1.05%-44.11B | 7.93%-44.58B | -11.08%-48.42B | 7.54%-43.59B |
Net intangibles purchase and sale | -13.61%-13.13B | -9.49%-11.56B | -3.01%-10.56B | 10.34%-10.25B | -3.34%-11.43B | -47.51%-11.06B | -6.46%-7.5B | 13.30%-7.04B | -5.26%-8.13B | -21.46%-7.72B |
Net business purchase and sale | -76.67%-33.76B | -190,990.00%-19.11B | 99.86%-10M | -830.24%-7.11B | 78.63%-764M | 84.71%-3.58B | -2,086.62%-23.38B | 98.54%-1.07B | -33,064.25%-73.29B | 94.60%-221M |
Net investment product transactions | -1,284.30%-23.38B | 25.81%1.97B | -90.06%1.57B | 150.98%15.78B | 102.94%6.29B | -81.98%3.1B | 84.93%17.2B | 70.70%9.3B | 148.92%5.45B | 65.15%-11.13B |
Advance cash and loans provided to other parties | -73.20%-1.64B | -18.30%-944M | 85.97%-798M | -14.47%-5.69B | -8.78%-4.97B | 3.89%-4.57B | -18.38%-4.75B | 39.24%-4.02B | 14.06%-6.61B | -13.11%-7.69B |
Repayment of advance payments to other parties and cash income from loans | -31.70%3.49B | 2.46%5.11B | -33.88%4.99B | 26.48%7.55B | 12.37%5.97B | 16.14%5.31B | 5.15%4.57B | 40.76%4.35B | -29.59%3.09B | -6.50%4.39B |
Net changes in other investments | -516.17%-16.31B | -174.30%-2.65B | 43.76%-965M | -230.99%-1.72B | 870.59%1.31B | 26.41%-170M | -343.16%-231M | 107.09%95M | -271.23%-1.34B | -63.73%782M |
Investing cash flow | -130.35%-162.27B | -27.27%-70.45B | -14.04%-55.35B | 20.14%-48.54B | 1.00%-60.78B | -5.48%-61.39B | -35.47%-58.2B | 66.76%-42.96B | -98.28%-129.25B | 27.16%-65.18B |
Financing cash flow | ||||||||||
Net issuance payments of debt | -17.74%-4.03B | -302.94%-3.42B | 82.56%-849M | -138.28%-4.87B | 65.92%-2.04B | 22.70%-5.99B | 58.10%-7.75B | -443.76%-18.51B | 182.87%5.38B | -208.96%-6.5B |
Net common stock issuance | -47.72%-44B | -164.99%-29.79B | -124,800.00%-11.24B | 43.75%-9M | -60.00%-16M | 41.18%-10M | -30.77%-17M | 18.75%-13M | 11.11%-16M | -5.88%-18M |
Increase or decrease of lease financing | -30.01%-6.43B | 12.34%-4.95B | -13.62%-5.64B | 3.63%-4.97B | -1.28%-5.15B | -1.96%-5.09B | -1.82%-4.99B | -201.54%-4.9B | -170.38%-1.63B | 18.01%-601M |
Cash dividends paid | -3.64%-40.48B | -2.26%-39.06B | -2.94%-38.2B | 0.00%-37.1B | -6.25%-37.1B | -6.66%-34.92B | -7.14%-32.74B | -7.69%-30.56B | 25.71%-28.37B | -66.66%-38.2B |
Cash dividends for minorities | 16.40%-2.86B | -15.59%-3.43B | -14.00%-2.96B | 24.07%-2.6B | 45.32%-3.42B | -15.43%-6.26B | -52.60%-5.43B | -61.08%-3.56B | 41.33%-2.21B | 9.87%-3.76B |
Net other fund-raising expenses | -17.37%2.32B | 109.84%2.8B | -12,228.94%-28.5B | 150.00%235M | 82.61%-470M | -10,296.15%-2.7B | -101.64%-26M | 14,554.55%1.59B | 98.46%-11M | -655.04%-716M |
Financing cash flow | -22.68%-95.49B | 10.94%-77.84B | -77.23%-87.39B | -2.29%-49.31B | 12.31%-48.21B | -7.90%-54.98B | 8.92%-50.95B | -108.36%-55.94B | 46.08%-26.85B | -128.92%-49.79B |
Net cash flow | ||||||||||
Beginning cash position | -0.06%513.59B | 4.87%513.9B | 20.56%490.04B | 19.62%406.48B | 10.38%339.82B | 5.07%307.85B | 32.12%292.99B | -8.26%221.76B | 7.70%241.72B | 3.63%224.44B |
Current changes in cash | -4,856.73%-92B | -108.37%-1.86B | -73.64%22.17B | 26.31%84.09B | 104.46%66.57B | 124.96%32.56B | -79.96%14.47B | 472.97%72.22B | -221.99%-19.36B | 172.15%15.87B |
Effect of exchange rate changes | 66.82%2.58B | -8.79%1.55B | 423.47%1.7B | -663.44%-524M | 115.66%93M | -260.54%-594M | 137.79%370M | -21.61%-979M | -157.46%-805M | -30.99%1.4B |
Cash adjustments other than cash changes | ---1M | ---- | 200.00%1M | 0.00%-1M | 0.00%-1M | -106.25%-1M | 900.00%16M | -100.95%-2M | --211M | ---- |
End cash Position | -17.41%424.17B | -0.06%513.59B | 4.87%513.9B | 20.56%490.04B | 19.62%406.48B | 10.38%339.82B | 5.07%307.85B | 32.12%292.99B | -8.26%221.76B | 7.70%241.72B |
Free cash flow | -16.16%71.34B | -15.95%85.09B | -18.24%101.24B | 17.07%123.82B | 25.82%105.77B | 27.66%84.06B | -44.21%65.85B | 52.97%118.04B | 1.58%77.16B | 21.59%75.96B |
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 |