JP Stock MarketDetailed Quotes

2304 CSS HOLDINGS

Watchlist
  • 803
  • -113-12.34%
20min DelayMarket Closed Nov 13 15:30 JST
4.24BMarket Cap17.59P/E (Static)

CSS HOLDINGS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(FY)Sep 30, 2018
(FY)Sep 30, 2017
(FY)Sep 30, 2016
(FY)Sep 30, 2015
(FY)Sep 30, 2014
Operating cash flow (Indirect Method)
Cash from operating activities
3,381.80%523.38M
98.22%-15.95M
-30.73%-893.54M
-195.84%-683.49M
87.04%713.17M
-23.41%381.29M
-8.29%497.86M
102.52%542.89M
-39.92%268.07M
62.04%446.19M
Net profit before non-cash adjustment
284.92%313.11M
144.91%81.34M
-230.09%-181.11M
6,121.76%139.22M
-100.69%-2.31M
19.45%334.86M
-43.44%280.33M
40.82%495.63M
60.58%351.97M
37.45%219.18M
Total adjustment of non-cash items
169.68%109.24M
64.72%-156.77M
59.29%-444.31M
-280.90%-1.09B
623.02%603.33M
-52.76%83.45M
54.91%176.64M
-25.52%114.03M
30.78%153.09M
18.86%117.06M
-Depreciation and amortization
-15.44%69.09M
-4.18%81.7M
2.18%85.26M
-21.15%83.44M
6.57%105.83M
19.36%99.31M
5.37%83.2M
-18.95%78.96M
6.60%97.42M
-38.48%91.39M
-Reversal of impairment losses recognized in profit and loss
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----
--252.9M
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-Assets reserve and write-off
----
----
----
----
----
----
----
-98.27%374K
123.95%21.58M
131.85%9.64M
-Share of associates
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----
----
----
71.50%-1.26M
66.72%-4.42M
-110.76%-13.28M
-15.59%-6.3M
-51.39%-5.45M
28.30%-3.6M
-Disposal profit
287.11%751K
240.35%194K
-99.94%57K
-54.89%92.99M
393.13%206.16M
-702.14%-70.33M
-588.47%-8.77M
103.47%1.8M
-480.48%-51.66M
78.24%-8.9M
-Net exchange gains and losses
47.64%-1.43M
---2.73M
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----
----
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-Remuneration paid in stock
--5.9M
--0
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----
----
----
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-Pension and employee benefit expenses
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----
--215.59M
----
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----
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422.39%21.18M
-2,267.99%-6.57M
--303K
-Other non-cash items
114.81%34.94M
68.34%-235.93M
41.22%-745.22M
-3,293.62%-1.27B
-32.59%39.7M
-49.01%58.89M
540.58%115.5M
-81.56%18.03M
246.33%97.77M
8.14%28.23M
Changes in working capital
69.87%101.03M
122.18%59.48M
-199.78%-268.12M
139.61%268.72M
402.99%112.15M
-190.53%-37.01M
161.24%40.89M
71.83%-66.77M
-315.54%-237M
531.80%109.95M
-Change in receivables
-42.58%-437.01M
-3,554.95%-306.5M
-101.36%-8.39M
523.84%617.96M
161.60%99.06M
-1,067.85%-160.81M
-106.89%-13.77M
175.34%199.98M
-972.66%-265.43M
-60.06%30.42M
-Change in inventory
62.90%-49.44M
-704.94%-133.24M
51.88%22.03M
487.65%14.5M
83.50%-3.74M
-70.12%-22.68M
-108.18%-13.33M
190.53%162.9M
-3,872.20%-179.93M
109.28%4.77M
-Change in payables
36.09%308.07M
206.44%226.37M
15.96%-212.67M
-315.81%-253.06M
-168.09%-60.86M
891.24%89.38M
103.53%9.02M
-247.90%-255.63M
689.83%172.84M
-23.05%-29.3M
-Change in accrued expense
1,850.94%136.76M
--7.01M
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-Provision for loans, leases and other losses
122.74%13.72M
-85.71%6.16M
257.63%43.13M
-351.21%-27.36M
-47.63%10.89M
177.54%20.8M
---26.82M
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-Changes in other current assets
-50.35%128.93M
331.41%259.69M
-13.27%-112.22M
-248.31%-99.07M
84.02%66.8M
-57.69%36.3M
149.30%85.79M
-589.79%-174.02M
-65.86%35.53M
533.29%104.07M
-Changes in other current liabilities
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----
--15.75M
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Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-14.20%-8.19M
24.05%-7.18M
22.50%-9.45M
48.38%-12.19M
17.33%-23.61M
11.49%-28.56M
22.20%-32.27M
20.93%-41.47M
-9.16%-52.45M
25.54%-48.05M
Interest received (cash flow from operating activities)
-10.84%10.81M
62.21%12.12M
-48.68%7.47M
-19.89%14.56M
33.31%18.17M
23.07%13.63M
-11.18%11.08M
19.90%12.47M
14.69%10.4M
6.63%9.07M
Tax refund paid
-339.18%-64.11M
116.58%26.8M
-143.08%-161.65M
74.89%-66.5M
-1,179.33%-264.85M
92.21%-20.7M
-102.75%-265.8M
-145.14%-131.1M
-3.98%-53.48M
-1.47%-51.43M
Other operating cash inflow (outflow)
-96.53%9.26M
-61.74%266.75M
-36.25%697.14M
7,259.67%1.09B
-1,527,200.00%-15.27M
-1K
0
72.95%-5.91M
-2,186,300.00%-21.86M
1K
Operating cash flow
66.75%471.14M
178.48%282.55M
-204.09%-360.02M
-19.11%345.88M
23.71%427.61M
63.92%345.66M
-44.05%210.87M
150.12%376.88M
-57.65%150.68M
110.97%355.78M
Investing cash flow
Net PPE purchase and sale
-133.39%-21.7M
-7.16%-9.3M
54.11%-8.68M
48.19%-18.91M
73.24%-36.49M
-125.88%-136.39M
-166.16%-60.38M
-48.21%-22.69M
-41.60%-15.31M
75.01%-10.81M
Net intangibles purchase and sale
75.19%-5.97M
-310.69%-24.05M
33.66%-5.86M
29.60%-8.83M
17.92%-12.54M
75.64%-15.28M
-1,081.04%-62.71M
45.79%-5.31M
---9.8M
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Net business purchase and sale
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67.25%-47.75M
---145.81M
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Net investment property transactions
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0.14%8.29M
0.00%8.28M
--8.28M
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Net investment product transactions
-105.41%-1.53M
4,568.25%28.28M
-107.09%-633K
-58.59%8.93M
-80.24%21.58M
2,105.46%109.18M
80.16%-5.44M
93.43%-27.44M
-747.69%-417.69M
-140.63%-49.27M
Advance cash and loans provided to other parties
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25.00%-30M
---40M
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Repayment of advance payments to other parties and cash income from loans
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--70M
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Net changes in other investments
-101.76%-6.41M
79.94%-3.18M
-24.88%-15.85M
-69.52%-12.69M
62.64%-7.49M
-214.98%-20.04M
-102.55%-6.36M
-10.99%249.77M
28.22%280.61M
71.35%218.85M
Investing cash flow
-332.04%-35.61M
-191.70%-8.24M
112.57%8.99M
3.91%-71.49M
62.81%-74.4M
-58.00%-200.06M
-165.16%-126.62M
219.82%194.34M
-202.15%-162.19M
-20.14%158.77M
Financing cash flow
Net issuance payments of debt
-64.03%-239.18M
-32.56%-145.82M
-178.57%-110M
125.93%140M
-345.21%-540M
52.30%-121.29M
50.70%-254.29M
-295.67%-515.84M
186.08%263.63M
76.82%-306.27M
Net common stock issuance
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--0
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Increase or decrease of lease financing
-539.08%-22.03M
88.55%-3.45M
---30.11M
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16.19%30.5M
--26.25M
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Cash dividends paid
-336.68%-112.31M
1.58%-25.72M
49.67%-26.13M
0.73%-51.92M
-0.33%-52.3M
-0.48%-52.13M
-13.64%-51.88M
-14.49%-45.65M
-57.88%-39.87M
-1.38%-25.26M
Net other fund-raising expenses
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---22.73M
----
14.02%-20.78M
-21.09%-24.16M
-37.24%-19.96M
-3.69%-14.54M
-67.71%-14.02M
20.84%-8.36M
79.86%-10.56M
Financing cash flow
-88.92%-373.52M
-18.93%-197.71M
-347.01%-166.24M
110.92%67.3M
-278.49%-616.47M
44.69%-162.88M
48.84%-294.46M
-367.19%-575.52M
162.96%215.39M
75.54%-342.09M
Net cash flow
Beginning cash position
12.97%713.92M
-45.01%631.93M
42.31%1.15B
-24.59%807.51M
-1.59%1.07B
-16.19%1.09B
-0.33%1.3B
19.53%1.3B
18.80%1.09B
-52.92%917.27M
Current changes in cash
-19.04%62.01M
114.81%76.6M
-251.39%-517.28M
229.80%341.69M
-1,424.35%-263.26M
91.78%-17.27M
-4,784.06%-210.21M
-102.11%-4.3M
18.22%203.89M
116.73%172.46M
Effect of exchange rate changes
-47.64%1.43M
--2.73M
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Cash adjustments other than cash changes
-100.04%-1K
265,500.00%2.65M
-200.00%-1K
--1K
----
0.00%-1K
---1K
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--8.94M
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End cash Position
8.89%777.36M
12.97%713.92M
-45.01%631.93M
42.31%1.15B
-24.59%807.51M
-1.59%1.07B
-16.19%1.09B
-0.33%1.3B
19.53%1.3B
18.80%1.09B
Free cash flow
78.03%443.46M
166.50%249.09M
-217.74%-374.55M
-15.94%318.11M
95.16%378.45M
136.01%193.92M
-76.45%82.17M
177.83%348.88M
-63.60%125.57M
220.67%344.97M
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
(FY)Sep 30, 2023(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(FY)Sep 30, 2018(FY)Sep 30, 2017(FY)Sep 30, 2016(FY)Sep 30, 2015(FY)Sep 30, 2014
Operating cash flow (Indirect Method)
Cash from operating activities 3,381.80%523.38M98.22%-15.95M-30.73%-893.54M-195.84%-683.49M87.04%713.17M-23.41%381.29M-8.29%497.86M102.52%542.89M-39.92%268.07M62.04%446.19M
Net profit before non-cash adjustment 284.92%313.11M144.91%81.34M-230.09%-181.11M6,121.76%139.22M-100.69%-2.31M19.45%334.86M-43.44%280.33M40.82%495.63M60.58%351.97M37.45%219.18M
Total adjustment of non-cash items 169.68%109.24M64.72%-156.77M59.29%-444.31M-280.90%-1.09B623.02%603.33M-52.76%83.45M54.91%176.64M-25.52%114.03M30.78%153.09M18.86%117.06M
-Depreciation and amortization -15.44%69.09M-4.18%81.7M2.18%85.26M-21.15%83.44M6.57%105.83M19.36%99.31M5.37%83.2M-18.95%78.96M6.60%97.42M-38.48%91.39M
-Reversal of impairment losses recognized in profit and loss ------------------252.9M--------------------
-Assets reserve and write-off -----------------------------98.27%374K123.95%21.58M131.85%9.64M
-Share of associates ----------------71.50%-1.26M66.72%-4.42M-110.76%-13.28M-15.59%-6.3M-51.39%-5.45M28.30%-3.6M
-Disposal profit 287.11%751K240.35%194K-99.94%57K-54.89%92.99M393.13%206.16M-702.14%-70.33M-588.47%-8.77M103.47%1.8M-480.48%-51.66M78.24%-8.9M
-Net exchange gains and losses 47.64%-1.43M---2.73M--------------------------------
-Remuneration paid in stock --5.9M--0--------------------------------
-Pension and employee benefit expenses ----------215.59M----------------422.39%21.18M-2,267.99%-6.57M--303K
-Other non-cash items 114.81%34.94M68.34%-235.93M41.22%-745.22M-3,293.62%-1.27B-32.59%39.7M-49.01%58.89M540.58%115.5M-81.56%18.03M246.33%97.77M8.14%28.23M
Changes in working capital 69.87%101.03M122.18%59.48M-199.78%-268.12M139.61%268.72M402.99%112.15M-190.53%-37.01M161.24%40.89M71.83%-66.77M-315.54%-237M531.80%109.95M
-Change in receivables -42.58%-437.01M-3,554.95%-306.5M-101.36%-8.39M523.84%617.96M161.60%99.06M-1,067.85%-160.81M-106.89%-13.77M175.34%199.98M-972.66%-265.43M-60.06%30.42M
-Change in inventory 62.90%-49.44M-704.94%-133.24M51.88%22.03M487.65%14.5M83.50%-3.74M-70.12%-22.68M-108.18%-13.33M190.53%162.9M-3,872.20%-179.93M109.28%4.77M
-Change in payables 36.09%308.07M206.44%226.37M15.96%-212.67M-315.81%-253.06M-168.09%-60.86M891.24%89.38M103.53%9.02M-247.90%-255.63M689.83%172.84M-23.05%-29.3M
-Change in accrued expense 1,850.94%136.76M--7.01M--------------------------------
-Provision for loans, leases and other losses 122.74%13.72M-85.71%6.16M257.63%43.13M-351.21%-27.36M-47.63%10.89M177.54%20.8M---26.82M------------
-Changes in other current assets -50.35%128.93M331.41%259.69M-13.27%-112.22M-248.31%-99.07M84.02%66.8M-57.69%36.3M149.30%85.79M-589.79%-174.02M-65.86%35.53M533.29%104.07M
-Changes in other current liabilities --------------15.75M------------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -14.20%-8.19M24.05%-7.18M22.50%-9.45M48.38%-12.19M17.33%-23.61M11.49%-28.56M22.20%-32.27M20.93%-41.47M-9.16%-52.45M25.54%-48.05M
Interest received (cash flow from operating activities) -10.84%10.81M62.21%12.12M-48.68%7.47M-19.89%14.56M33.31%18.17M23.07%13.63M-11.18%11.08M19.90%12.47M14.69%10.4M6.63%9.07M
Tax refund paid -339.18%-64.11M116.58%26.8M-143.08%-161.65M74.89%-66.5M-1,179.33%-264.85M92.21%-20.7M-102.75%-265.8M-145.14%-131.1M-3.98%-53.48M-1.47%-51.43M
Other operating cash inflow (outflow) -96.53%9.26M-61.74%266.75M-36.25%697.14M7,259.67%1.09B-1,527,200.00%-15.27M-1K072.95%-5.91M-2,186,300.00%-21.86M1K
Operating cash flow 66.75%471.14M178.48%282.55M-204.09%-360.02M-19.11%345.88M23.71%427.61M63.92%345.66M-44.05%210.87M150.12%376.88M-57.65%150.68M110.97%355.78M
Investing cash flow
Net PPE purchase and sale -133.39%-21.7M-7.16%-9.3M54.11%-8.68M48.19%-18.91M73.24%-36.49M-125.88%-136.39M-166.16%-60.38M-48.21%-22.69M-41.60%-15.31M75.01%-10.81M
Net intangibles purchase and sale 75.19%-5.97M-310.69%-24.05M33.66%-5.86M29.60%-8.83M17.92%-12.54M75.64%-15.28M-1,081.04%-62.71M45.79%-5.31M---9.8M----
Net business purchase and sale ----------------67.25%-47.75M---145.81M----------------
Net investment property transactions ----------------0.14%8.29M0.00%8.28M--8.28M------------
Net investment product transactions -105.41%-1.53M4,568.25%28.28M-107.09%-633K-58.59%8.93M-80.24%21.58M2,105.46%109.18M80.16%-5.44M93.43%-27.44M-747.69%-417.69M-140.63%-49.27M
Advance cash and loans provided to other parties --------25.00%-30M---40M------------------------
Repayment of advance payments to other parties and cash income from loans ----------70M----------------------------
Net changes in other investments -101.76%-6.41M79.94%-3.18M-24.88%-15.85M-69.52%-12.69M62.64%-7.49M-214.98%-20.04M-102.55%-6.36M-10.99%249.77M28.22%280.61M71.35%218.85M
Investing cash flow -332.04%-35.61M-191.70%-8.24M112.57%8.99M3.91%-71.49M62.81%-74.4M-58.00%-200.06M-165.16%-126.62M219.82%194.34M-202.15%-162.19M-20.14%158.77M
Financing cash flow
Net issuance payments of debt -64.03%-239.18M-32.56%-145.82M-178.57%-110M125.93%140M-345.21%-540M52.30%-121.29M50.70%-254.29M-295.67%-515.84M186.08%263.63M76.82%-306.27M
Net common stock issuance ------------------------------0--------
Increase or decrease of lease financing -539.08%-22.03M88.55%-3.45M---30.11M--------16.19%30.5M--26.25M------------
Cash dividends paid -336.68%-112.31M1.58%-25.72M49.67%-26.13M0.73%-51.92M-0.33%-52.3M-0.48%-52.13M-13.64%-51.88M-14.49%-45.65M-57.88%-39.87M-1.38%-25.26M
Net other fund-raising expenses -------22.73M----14.02%-20.78M-21.09%-24.16M-37.24%-19.96M-3.69%-14.54M-67.71%-14.02M20.84%-8.36M79.86%-10.56M
Financing cash flow -88.92%-373.52M-18.93%-197.71M-347.01%-166.24M110.92%67.3M-278.49%-616.47M44.69%-162.88M48.84%-294.46M-367.19%-575.52M162.96%215.39M75.54%-342.09M
Net cash flow
Beginning cash position 12.97%713.92M-45.01%631.93M42.31%1.15B-24.59%807.51M-1.59%1.07B-16.19%1.09B-0.33%1.3B19.53%1.3B18.80%1.09B-52.92%917.27M
Current changes in cash -19.04%62.01M114.81%76.6M-251.39%-517.28M229.80%341.69M-1,424.35%-263.26M91.78%-17.27M-4,784.06%-210.21M-102.11%-4.3M18.22%203.89M116.73%172.46M
Effect of exchange rate changes -47.64%1.43M--2.73M--------------------------------
Cash adjustments other than cash changes -100.04%-1K265,500.00%2.65M-200.00%-1K--1K----0.00%-1K---1K------8.94M----
End cash Position 8.89%777.36M12.97%713.92M-45.01%631.93M42.31%1.15B-24.59%807.51M-1.59%1.07B-16.19%1.09B-0.33%1.3B19.53%1.3B18.80%1.09B
Free cash flow 78.03%443.46M166.50%249.09M-217.74%-374.55M-15.94%318.11M95.16%378.45M136.01%193.92M-76.45%82.17M177.83%348.88M-63.60%125.57M220.67%344.97M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

Analyst Rating

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Price Target

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Heat List
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Symbol
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% Chg

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