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TSGMF TSUGAMI CORP

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15min DelayTrading Mar 11 09:30 ET
0Market Cap0.00P/E (TTM)

TSUGAMI CORP 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 flow from continuing operating activities
Net income from continuing operations
73.34%6.31B
54.31%3.79B
51.58%6.06B
-16.23%13.8B
1.57%3.7B
-9.92%3.64B
-26.63%2.46B
-26.42%4B
-12.30%16.47B
6.22%3.64B
Other non cash items
-2,614.81%-679M
234.02%650M
20.82%-540M
-50.19%-1.98B
-88.74%-838M
-86.15%27M
-31.44%-485M
2.43%-682M
5.18%-1.32B
42.34%-444M
Change In working capital
-169.45%-1.25B
-320.66%-2.15B
-100,720.00%-5.03B
112.99%649M
-322.15%-2.13B
96.18%1.8B
113.67%973M
-97.96%5M
50.79%-5B
124.30%957M
-Change in receivables
145.08%412M
105.89%1.36B
-227.17%-3.11B
-149.26%-2.37B
-2,953.75%-4.57B
-125.65%-914M
140.22%662M
-10.46%2.45B
213.09%4.81B
-89.25%160M
-Change in inventory
-186.52%-1.13B
-144.40%-1.26B
-222.82%-2.56B
224.14%7.3B
266.05%1.08B
185.78%1.31B
220.59%2.83B
162.42%2.09B
48.87%-5.88B
78.04%-651M
-Change in other current assets
118.35%127M
-300.00%-668M
117.28%118M
75.76%-421M
285.09%620M
-68.78%-692M
882.35%334M
55.12%-683M
-288.60%-1.74B
-92.55%161M
Cash from discontinued investing activities
Operating cash flow
-21.74%4.32B
-49.92%1.5B
-90.53%313M
43.17%11.88B
-97.77%74M
13.44%5.52B
160.19%2.99B
-34.89%3.31B
31.83%8.3B
209.76%3.32B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
55.96%-410M
-5.58%-757M
25.42%-440M
-103.46%-2.41B
63.88%-173M
-241.03%-931M
-180.08%-717M
-233.33%-590M
49.70%-1.19B
-43.84%-479M
Net intangibles purchase and sale
8.70%-21M
-416.67%-31M
37.50%-10M
-92.86%-54M
-125.00%-9M
-53.33%-23M
14.29%-6M
-700.00%-16M
74.31%-28M
91.84%-4M
Net investment purchase and sale
90.00%-11M
----
----
-125.86%-131M
0.00%-1M
---110M
----
----
-5,700.00%-58M
---1M
Net other investing changes
-37.50%-11M
--6M
---4M
-28.57%-9M
150.00%1M
---8M
----
----
-40.00%-7M
-200.00%-2M
Cash from discontinued investing activities
Investing cash flow
57.74%-453M
-5.10%-783M
25.08%-454M
-103.83%-2.61B
62.55%-182M
-272.22%-1.07B
-132.81%-745M
-229.35%-606M
57.53%-1.28B
-27.89%-486M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-190.59%-154M
-596.68%-2.69B
19.50%-900M
-120.31%-917M
-221.09%-511M
-92.52%170M
-79.00%542M
-46.91%-1.12B
22.60%4.51B
-70.16%422M
Net common stock issuance
22.76%-224M
---281M
12.62%-270M
-1.63%-935M
---336M
3.01%-290M
--0
50.24%-309M
78.68%-920M
--0
Cash dividends paid
-11.53%-1.29B
--0
1.30%-1.14B
-8.45%-2.31B
--0
-8.26%-1.15B
--0
-8.65%-1.16B
-33.21%-2.13B
--0
Net other financing activities
-852.08%-457M
--3.48B
50.00%-1M
---583M
---533M
---48M
--0
-100.00%-2M
----
----
Cash from discontinued financing activities
Financing cash flow
-59.71%-2.2B
-53.22%-547M
10.18%-2.38B
-1,664.38%-6.69B
-394.19%-2.3B
-263.51%-1.38B
-120.18%-357M
-4.95%-2.65B
89.21%-379M
-336.04%-465M
Net cash flow
Beginning cash position
-5.79%27.59B
10.55%29.42B
18.29%30.5B
36.80%25.78B
37.73%31.64B
56.79%29.28B
20.03%26.61B
36.80%25.78B
9.51%18.84B
8.98%22.98B
Current changes in cash
-45.81%1.66B
-91.24%165M
-5,468.09%-2.52B
-61.00%2.59B
-201.65%-2.41B
-43.42%3.07B
153.65%1.88B
-98.01%47M
3,026.43%6.64B
173.83%2.37B
Effect of exchange rate changes
291.49%1.35B
-352.41%-1.99B
84.44%1.45B
627.74%2.13B
188.74%1.26B
37.11%-705M
4,057.89%790M
-18.25%784M
-84.33%292M
-55.02%435M
End cash Position
-3.30%30.6B
-5.79%27.59B
10.55%29.42B
18.29%30.5B
18.29%30.5B
37.73%31.64B
56.79%29.28B
20.03%26.61B
36.80%25.78B
36.80%25.78B
Free cash flow
-14.81%3.89B
-68.93%701M
-105.08%-137M
32.91%9.41B
-103.81%-108M
-0.20%4.56B
143.18%2.26B
-44.91%2.7B
117.71%7.08B
183.19%2.84B
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 flow from continuing operating activities
Net income from continuing operations 73.34%6.31B54.31%3.79B51.58%6.06B-16.23%13.8B1.57%3.7B-9.92%3.64B-26.63%2.46B-26.42%4B-12.30%16.47B6.22%3.64B
Other non cash items -2,614.81%-679M234.02%650M20.82%-540M-50.19%-1.98B-88.74%-838M-86.15%27M-31.44%-485M2.43%-682M5.18%-1.32B42.34%-444M
Change In working capital -169.45%-1.25B-320.66%-2.15B-100,720.00%-5.03B112.99%649M-322.15%-2.13B96.18%1.8B113.67%973M-97.96%5M50.79%-5B124.30%957M
-Change in receivables 145.08%412M105.89%1.36B-227.17%-3.11B-149.26%-2.37B-2,953.75%-4.57B-125.65%-914M140.22%662M-10.46%2.45B213.09%4.81B-89.25%160M
-Change in inventory -186.52%-1.13B-144.40%-1.26B-222.82%-2.56B224.14%7.3B266.05%1.08B185.78%1.31B220.59%2.83B162.42%2.09B48.87%-5.88B78.04%-651M
-Change in other current assets 118.35%127M-300.00%-668M117.28%118M75.76%-421M285.09%620M-68.78%-692M882.35%334M55.12%-683M-288.60%-1.74B-92.55%161M
Cash from discontinued investing activities
Operating cash flow -21.74%4.32B-49.92%1.5B-90.53%313M43.17%11.88B-97.77%74M13.44%5.52B160.19%2.99B-34.89%3.31B31.83%8.3B209.76%3.32B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 55.96%-410M-5.58%-757M25.42%-440M-103.46%-2.41B63.88%-173M-241.03%-931M-180.08%-717M-233.33%-590M49.70%-1.19B-43.84%-479M
Net intangibles purchase and sale 8.70%-21M-416.67%-31M37.50%-10M-92.86%-54M-125.00%-9M-53.33%-23M14.29%-6M-700.00%-16M74.31%-28M91.84%-4M
Net investment purchase and sale 90.00%-11M---------125.86%-131M0.00%-1M---110M---------5,700.00%-58M---1M
Net other investing changes -37.50%-11M--6M---4M-28.57%-9M150.00%1M---8M---------40.00%-7M-200.00%-2M
Cash from discontinued investing activities
Investing cash flow 57.74%-453M-5.10%-783M25.08%-454M-103.83%-2.61B62.55%-182M-272.22%-1.07B-132.81%-745M-229.35%-606M57.53%-1.28B-27.89%-486M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -190.59%-154M-596.68%-2.69B19.50%-900M-120.31%-917M-221.09%-511M-92.52%170M-79.00%542M-46.91%-1.12B22.60%4.51B-70.16%422M
Net common stock issuance 22.76%-224M---281M12.62%-270M-1.63%-935M---336M3.01%-290M--050.24%-309M78.68%-920M--0
Cash dividends paid -11.53%-1.29B--01.30%-1.14B-8.45%-2.31B--0-8.26%-1.15B--0-8.65%-1.16B-33.21%-2.13B--0
Net other financing activities -852.08%-457M--3.48B50.00%-1M---583M---533M---48M--0-100.00%-2M--------
Cash from discontinued financing activities
Financing cash flow -59.71%-2.2B-53.22%-547M10.18%-2.38B-1,664.38%-6.69B-394.19%-2.3B-263.51%-1.38B-120.18%-357M-4.95%-2.65B89.21%-379M-336.04%-465M
Net cash flow
Beginning cash position -5.79%27.59B10.55%29.42B18.29%30.5B36.80%25.78B37.73%31.64B56.79%29.28B20.03%26.61B36.80%25.78B9.51%18.84B8.98%22.98B
Current changes in cash -45.81%1.66B-91.24%165M-5,468.09%-2.52B-61.00%2.59B-201.65%-2.41B-43.42%3.07B153.65%1.88B-98.01%47M3,026.43%6.64B173.83%2.37B
Effect of exchange rate changes 291.49%1.35B-352.41%-1.99B84.44%1.45B627.74%2.13B188.74%1.26B37.11%-705M4,057.89%790M-18.25%784M-84.33%292M-55.02%435M
End cash Position -3.30%30.6B-5.79%27.59B10.55%29.42B18.29%30.5B18.29%30.5B37.73%31.64B56.79%29.28B20.03%26.61B36.80%25.78B36.80%25.78B
Free cash flow -14.81%3.89B-68.93%701M-105.08%-137M32.91%9.41B-103.81%-108M-0.20%4.56B143.18%2.26B-44.91%2.7B117.71%7.08B183.19%2.84B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP