(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 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | ||||||||||
Net income from continuing operations | 68.75%15.94B | -50.61%27.31B | 2,404.48%39.15B | -63.90%10.58B | -270.92%-31.86B | 63.05%9.45B | 272.67%55.29B | -15.92%1.56B | 518.54%29.29B | 609.12%18.64B |
Deferred tax | 80.14%9.94B | -68.99%4.67B | 422.21%10.77B | -13.36%5.97B | -362.27%-17.58B | 14.74%5.52B | 17.33%15.06B | -420.94%-3.34B | 30.91%6.89B | 388.20%6.7B |
Other non cash items | 370.41%8.59B | -29.47%13.28B | -43.76%20.84B | 59.28%-3.47B | -59.63%-5.92B | 130.44%1.83B | 416.34%18.82B | 124.81%37.06B | -66.91%-8.53B | 60.53%-3.71B |
Change In working capital | 52.39%-19.39B | 55.45%-55.64B | -36.69%48.77B | -36.55%-110.8B | 209.06%47.12B | 47.51%-40.73B | -317.42%-124.9B | -69.62%77.03B | -3.93%-81.14B | 34.26%-43.2B |
-Change in receivables | 42.34%50.52B | -49.38%-163.76B | -597.15%-130.78B | 17.41%-61.98B | 79.59%-6.5B | 121.62%35.49B | -9,243.04%-109.63B | -133.93%-18.76B | -49.68%-75.04B | -176.05%-31.84B |
-Change in inventory | -156.64%-49.9B | 115.42%9.9B | 122.29%93.06B | 26.70%-34.32B | 6.77%-29.4B | 29.88%-19.45B | -69.06%-64.22B | -13.64%41.87B | -24.91%-46.82B | 4.01%-31.53B |
-Change in prepaid assets | -964.01%-33.23B | 130.28%8.63B | 681.61%7.1B | 225.97%2.04B | 356.62%2.62B | 88.99%-3.12B | 10.09%-28.51B | 126.64%908M | ---1.62B | --574M |
-Change in other current assets | 1,247.02%33.84B | 15.60%-5.82B | 1,168.60%39.28B | -455.19%-34.14B | -658.16%-8B | 44.11%-2.95B | -107.49%-6.9B | -95.86%3.1B | -119.14%-6.15B | 114.40%1.43B |
-Change in other current liabilities | 86.15%-4.69B | -6.56%41.93B | -80.78%7.57B | -129.58%-3.12B | 4,860.25%71.38B | -421.97%-33.89B | 9.62%44.88B | --39.37B | --10.56B | --1.44B |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 205.30%23.62B | 34.06%31.66B | -5.23%129.58B | -91.43%-82.48B | 187.02%6.99B | 63.81%-22.43B | -84.95%23.62B | -53.26%136.74B | 16.29%-43.09B | 85.28%-8.04B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | ||||||||||
Net PPE purchase and sale | -18.68%-21.28B | -36.35%-77.39B | 42.81%-11.44B | -81.31%-26.36B | -113.96%-21.67B | -48.16%-17.93B | -1.34%-56.76B | -25.02%-20B | -8.27%-14.54B | 32.47%-10.13B |
Net intangibles purchase and sale | ---2.92B | -49.47%-16.4B | 10.61%-4.24B | -158.00%-4.52B | ---- | ---- | -26.11%-10.97B | ---4.75B | ---1.75B | ---- |
Net business purchase and sale | 487.95%644M | 100.60%63M | 115.97%69M | 118.01%179M | 87.58%-19M | 98.12%-166M | -317.23%-10.41B | -111.07%-432M | -811.93%-994M | -118.68%-153M |
Net other investing changes | 34.05%-2.57B | 466.04%3.92B | 601.73%6.91B | -333.64%-2.32B | -3.50%3.22B | -25.64%-3.89B | -54.59%692M | -88.88%984M | 76.31%-535M | 215.05%3.34B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -18.80%-26.12B | -15.95%-89.81B | 64.02%-8.71B | -85.30%-33.02B | -128.71%-26.11B | 8.51%-21.99B | -32.64%-77.46B | -102.52%-24.19B | -12.81%-17.82B | 33.17%-11.41B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | ||||||||||
Net issuance payments of debt | 0.50%69.62B | 165.00%58.77B | -31.40%-182.2B | 121.80%131.41B | 88.40%40.29B | -13.64%69.27B | 123.16%22.18B | 40.08%-138.66B | -24.23%59.25B | 205.78%21.39B |
Cash dividends paid | 48.91%-4.77B | -60.03%-13.42B | 45.39%-219M | 31.87%-3.16B | -164.68%-712M | -202.69%-9.33B | -147.72%-8.38B | -57.25%-401M | -49.29%-4.63B | -13,350.00%-269M |
Net other financing activities | 37.69%-33.61B | -117.12%-14.9B | -30.64%53.24B | -37.62%5.9B | -277.25%-20.09B | -412.29%-53.94B | 1,801.25%87.02B | 1,790.84%76.76B | -15.57%9.45B | 57.34%11.34B |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 1,308.52%27.11B | -84.86%12.91B | -102.00%-133.84B | 114.00%129.14B | -44.88%15.68B | -96.93%1.93B | 178.33%85.31B | 72.24%-66.26B | -26.84%60.35B | 197.38%28.44B |
Net cash flow | ||||||||||
Beginning cash position | -39.20%84.15B | 27.56%138.42B | 15.93%102.02B | 2.86%85.41B | 17.05%91.88B | 27.56%138.42B | -11.18%108.51B | 28.17%88B | 51.62%83.04B | -32.95%78.5B |
Current changes in cash | 157.92%24.62B | -243.78%-45.24B | -128.00%-12.96B | 2,559.10%13.65B | -138.16%-3.43B | -82.70%-42.5B | 402.26%31.47B | 10.42%46.29B | -103.64%-555M | 114.48%8.99B |
Effect of exchange rate changes | -46.19%-5.91B | -480.14%-9.03B | -218.65%-4.91B | -46.40%2.95B | 31.77%-3.03B | 40.15%-4.04B | 52.03%-1.56B | 300.00%4.13B | 511.73%5.51B | -2,264.36%-4.45B |
End cash Position | 11.95%102.86B | -39.20%84.15B | -39.20%84.15B | 15.93%102.02B | 2.86%85.41B | 17.05%91.88B | 27.56%138.42B | 27.56%138.42B | 28.17%88B | 51.62%83.04B |
Free cash flow | 95.28%-1.96B | -40.05%-64.88B | 1.63%113.6B | -92.39%-114.59B | 3.42%-22.44B | 44.96%-41.45B | -151.91%-46.33B | -58.18%111.78B | 7.85%-59.56B | 66.71%-23.24B |
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