(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 | 6.51%58.04B | -51.00%54.49B | -3.29%111.2B | -2.34%114.98B | 701.08%117.74B | -107.68%-19.59B | 1.16%254.94B | 102.44%252.02B | 294.75%124.49B | -78.86%31.54B |
Net profit before non-cash adjustment | -16.16%57.09B | -34.21%68.09B | -23.57%103.5B | -22.52%135.42B | 8.71%174.79B | -11.80%160.78B | 34.85%182.3B | 14.77%135.19B | 75.87%117.8B | 43.76%66.98B |
Total adjustment of non-cash items | -1,078.68%-24.84B | -75.58%2.54B | 181.47%10.39B | -54.64%3.69B | 350.69%8.14B | -124.91%-3.25B | -3.55%13.03B | 278.22%13.51B | -140.86%-7.58B | -52.10%18.55B |
-Depreciation and amortization | 14.22%13.11B | 5.24%11.48B | 4.28%10.91B | 5.81%10.46B | 25.84%9.89B | 11.43%7.86B | 12.48%7.05B | 4.61%6.27B | -27.71%5.99B | 11.89%8.29B |
-Reversal of impairment losses recognized in profit and loss | 98.64%586M | -65.01%295M | 160.99%843M | -75.84%323M | 294.40%1.34B | -90.66%339M | 430.85%3.63B | -77.34%684M | -54.87%3.02B | 45.40%6.69B |
-Share of associates | -104.24%-4.2B | -130.01%-2.05B | -221.22%-893M | 73.99%-278M | 4.21%-1.07B | -11.27%-1.12B | 27.21%-1B | 69.02%-1.38B | -157.86%-4.45B | -11.36%-1.73B |
-Disposal profit | -225.26%-17.73B | -300.00%-5.45B | -1,117.16%-1.36B | 335.09%134M | 96.16%-57M | -188.35%-1.49B | 70.55%-515M | -177.36%-1.75B | 290.50%2.26B | -98.02%579M |
-Net exchange gains and losses | -152.05%-2.58B | -139.25%-1.02B | 48.99%-428M | -864.37%-839M | ---87M | ---- | ---- | -147.68%-2.28B | 226.65%4.77B | -5.58%-3.77B |
-Other non-cash items | -1,889.50%-14.03B | -153.17%-705M | 121.71%1.33B | -226.75%-6.11B | 78.86%-1.87B | -328.36%-8.84B | -67.64%3.87B | 162.39%11.96B | -325.80%-19.18B | 217.46%8.49B |
Changes in working capital | 259.74%25.79B | -498.96%-16.14B | 88.83%-2.7B | 62.99%-24.13B | 63.20%-65.19B | -397.11%-177.12B | -42.30%59.61B | 623.57%103.31B | 126.44%14.28B | -184.61%-54B |
-Change in receivables | 6.92%-105.11B | -106.10%-112.92B | -166.77%-54.79B | 233.70%82.06B | 30.39%-61.37B | -405.16%-88.16B | -174.48%-17.45B | -50.24%23.43B | 203.10%47.09B | -241.61%-45.67B |
-Change in inventory | 15.65%-29.17B | -686.81%-34.58B | 152.71%5.89B | 41.96%-11.18B | -428.71%-19.26B | -127.94%-3.64B | -36.65%13.04B | 197.30%20.58B | -583.12%-21.15B | -81.49%4.38B |
-Change in prepaid assets | 66.28%24.34B | 1.29%14.64B | 409.22%14.45B | 45.70%-4.67B | 68.25%-8.61B | -346.21%-27.11B | -78.38%11.01B | 333.59%50.94B | -214.00%-21.81B | -38.64%19.13B |
-Change in payables | 34.95%84.93B | 34.66%62.94B | 140.53%46.74B | -1,878.29%-115.3B | 219.28%6.48B | -106.38%-5.44B | 569.41%85.14B | 61.24%-18.14B | -303.79%-46.8B | 225.55%22.97B |
-Provision for loans, leases and other losses | 338.92%92.69B | 125.75%21.12B | 132.97%9.35B | -1,045.80%-28.37B | -23.92%-2.48B | 84.54%-2B | -1,309.07%-12.93B | 103.22%1.07B | -306.22%-33.17B | -117.99%-8.17B |
-Changes in other current assets | -228.26%-41.9B | 234.19%32.67B | -145.63%-24.34B | 166.10%53.35B | 139.49%20.05B | -164.44%-50.77B | -193.85%-19.2B | -75.22%20.46B | 277.05%82.57B | -886.11%-46.63B |
-Changes in other current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -34.11%4.98B | --7.55B | ---- |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -16.04%-1.02B | 3.93%-879M | 6.63%-915M | 11.39%-980M | 13.80%-1.11B | 23.81%-1.28B | 27.97%-1.68B | 21.36%-2.34B | 29.72%-2.97B | 18.70%-4.23B |
Interest received (cash flow from operating activities) | 6.92%8.69B | 12.07%8.12B | 18.01%7.25B | 2.95%6.14B | 20.02%5.97B | 3.74%4.97B | -41.12%4.79B | 83.56%8.14B | 32.48%4.43B | -2.02%3.35B |
Tax refund paid | 20.68%-25.09B | 14.58%-31.63B | 29.67%-37.03B | -34.87%-52.65B | 29.19%-39.04B | -8.03%-55.13B | -28.67%-51.03B | -29.64%-39.66B | -365.38%-30.59B | 23.67%-6.57B |
Other operating cash inflow (outflow) | 50.00%-1M | -300.00%-2M | 1M | 0 | -6.09B | 0 | 1M | 0 | 0 | -100.00%-2M |
Operating cash flow | 34.92%40.61B | -62.61%30.1B | 19.28%80.51B | -12.88%67.49B | 209.08%77.48B | -134.31%-71.03B | -5.11%207.02B | 128.77%218.16B | 296.05%95.36B | -82.65%24.08B |
Investing cash flow | ||||||||||
Net PPE purchase and sale | -684.76%-120.88B | -18.79%-15.4B | -2.53%-12.97B | -221.09%-12.65B | 128.10%10.44B | -324.14%-37.17B | -185.35%-8.76B | 68.45%-3.07B | -117.01%-9.74B | -294.20%-4.49B |
Net business purchase and sale | ---27.37B | --0 | ---- | ---- | ---7.11B | ---- | ---- | ---- | ---- | ---- |
Net investment product transactions | 1,139.91%13.45B | 94.23%-1.29B | -225.71%-22.41B | -3,100.00%-6.88B | 98.59%-215M | -269.06%-15.25B | -152.86%-4.13B | 154.10%7.82B | -49.80%-14.45B | -166.97%-9.64B |
Net changes in other investments | -249.45%-3.94B | 214.54%2.64B | -372.99%-2.3B | -97.20%844M | 200.90%30.14B | -2,967.08%-29.88B | -32.86%1.04B | 274.38%1.55B | -677.92%-890M | 122.65%154M |
Investing cash flow | -886.96%-138.75B | 62.69%-14.06B | -101.68%-37.68B | -156.17%-18.68B | 140.42%33.26B | -594.30%-82.29B | -288.25%-11.85B | 125.11%6.3B | -79.39%-25.07B | -187.19%-13.98B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 782.30%154.36B | -531.08%-22.62B | -51.20%5.25B | 215.92%10.75B | 69.03%-9.28B | -425.24%-29.96B | 155.65%9.21B | 31.01%-16.55B | 44.48%-23.99B | 31.06%-43.2B |
Net common stock issuance | 59.99%-20.01B | -149.95%-50.01B | 1.93%-20.01B | 27.18%-20.4B | 22.21%-28.01B | -43.78%-36.01B | -25.04%-25.05B | -51,261.54%-20.03B | -100.19%-39M | --20.48B |
Cash dividends paid | 5.20%-24.38B | 3.29%-25.72B | 2.56%-26.6B | 5.89%-27.3B | 3.02%-29B | -19.83%-29.91B | -13.28%-24.96B | -88.32%-22.03B | -58.03%-11.7B | -29.99%-7.4B |
Net other fund-raising expenses | -80.38%-570M | 37.55%-316M | -26.50%-506M | -12.99%-400M | -9.60%-354M | 63.67%-323M | 38.65%-889M | -361.08%-1.45B | 263.24%555M | 26.41%-340M |
Financing cash flow | 210.87%109.39B | -135.69%-98.67B | -12.11%-41.86B | 43.97%-37.34B | 30.72%-66.65B | -130.79%-96.2B | 30.60%-41.68B | -70.77%-60.06B | -15.43%-35.17B | 55.73%-30.47B |
Net cash flow | ||||||||||
Beginning cash position | -16.28%415.86B | 0.50%496.76B | 2.41%494.27B | 10.30%482.66B | -36.34%437.58B | 28.53%687.35B | 43.86%534.79B | 10.25%371.73B | -4.86%337.17B | 33.34%354.37B |
Current changes in cash | 113.62%11.26B | -8,671.06%-82.63B | -91.59%964M | -73.99%11.47B | 117.67%44.09B | -262.56%-249.51B | -6.63%153.49B | 368.10%164.39B | 272.43%35.12B | -123.70%-20.37B |
Effect of exchange rate changes | 110.24%3.63B | 13.46%1.73B | 915.33%1.52B | -38.27%150M | 198.78%243M | 73.43%-246M | 33.00%-926M | 40.17%-1.38B | -173.08%-2.31B | 19.37%3.16B |
Cash adjustments other than cash changes | --2M | ---- | ---1M | ---- | 24,766.67%740M | -200.00%-3M | -102.17%-1M | -97.38%46M | --1.76B | ---- |
End cash Position | 3.58%430.75B | -16.28%415.86B | 0.50%496.76B | 2.41%494.27B | 10.30%482.66B | -36.34%437.58B | 28.53%687.35B | 43.86%534.79B | 10.25%371.73B | -4.86%337.17B |
Free cash flow | -686.15%-81.7B | -79.28%13.94B | 22.84%67.28B | -15.07%54.77B | 154.80%64.48B | -159.53%-117.67B | -6.29%197.67B | 147.75%210.93B | 399.44%85.14B | -86.53%17.05B |
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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