JP Stock MarketDetailed Quotes

3979 ULURU

Watchlist
  • 1499
  • +26+1.77%
20min DelayMarket Closed Dec 27 15:30 JST
10.38BMarket Cap14.40P/E (Static)

ULURU Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating cash flow (Indirect Method)
Cash from operating activities
369.68%1.58B
188.39%336.42M
-81.85%116.66M
426.61%642.71M
-74.44%122.05M
14.84%477.53M
1.57%415.83M
436.97%409.39M
-121.49M
Net profit before non-cash adjustment
19,210.21%1.15B
102.37%5.98M
-269.82%-251.79M
177.66%148.27M
-144.55%-190.92M
9.97%428.52M
88.00%389.66M
171.47%207.26M
---290M
Total adjustment of non-cash items
328.00%394.21M
-51.88%92.11M
-18.78%191.4M
40.41%235.64M
280.92%167.82M
210.54%44.06M
-148.94%-39.86M
-4.94%81.44M
--85.67M
-Depreciation and amortization
99.14%193.26M
25.76%97.05M
52.76%77.17M
37.51%50.52M
67.09%36.74M
26.31%21.99M
2.49%17.41M
-4.13%16.98M
--17.71M
-Reversal of impairment losses recognized in profit and loss
--135.03M
--0
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----
--7.5M
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-Assets reserve and write-off
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--1.3M
-Disposal profit
323.76%48.02M
-61.83%11.33M
103.91%29.68M
--14.56M
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----
----
-Remuneration paid in stock
-10.40%26.98M
-23.49%30.11M
1.33%39.36M
38.87%38.84M
--27.97M
----
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-Other non-cash items
80.43%-9.08M
-202.64%-46.38M
-65.70%45.19M
27.75%131.73M
367.20%103.12M
138.54%22.07M
-200.53%-57.26M
-14.55%56.96M
--66.66M
Changes in working capital
-86.61%31.91M
34.62%238.34M
-31.59%177.05M
78.31%258.8M
2,833.33%145.14M
-92.51%4.95M
-45.29%66.03M
45.69%120.69M
--82.84M
-Change in receivables
-209.54%-269.95M
-427.06%-87.21M
57.97%-16.55M
-30.09%-39.37M
40.07%-30.26M
-197.05%-50.5M
-582.27%-17M
-85.40%3.53M
--24.15M
-Change in inventory
218.19%19.36M
126.45%6.09M
-66.74%-23M
-190.20%-13.8M
200.78%15.29M
-615.80%-15.18M
-121.51%-2.12M
218.49%9.85M
---8.32M
-Change in payables
6.22%37.08M
3,853.34%34.91M
-97.11%883K
216.47%30.53M
222.61%9.65M
-82.57%2.99M
-43.61%17.15M
511.93%30.42M
---7.39M
-Change in accrued expense
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---4.12M
-Provision for loans, leases and other losses
7,327.82%130.28M
68.01%1.75M
224.73%1.04M
-516.42%-837K
-57.14%201K
263.41%469K
55.43%-287K
---644K
----
-Changes in other current assets
-59.29%115.13M
31.74%282.81M
-23.95%214.67M
87.85%282.27M
123.73%150.26M
-1.64%67.16M
-11.93%68.28M
-1.24%77.53M
--78.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-72.20%-539K
40.83%-313K
25.70%-529K
3.78%-712K
-90.23%-740K
-78.44%-389K
52.09%-218K
59.70%-455K
-1.13M
Interest received (cash flow from operating activities)
87.62%379K
80.36%202K
-55.20%112K
257.14%250K
9.38%70K
48.84%64K
-25.86%43K
-80.41%58K
296K
Tax refund paid
-678.78%-115.63M
91.06%-14.85M
-606.21%-166.02M
118.91%32.8M
-283.27%-173.47M
36.24%-45.26M
-238.75%-70.99M
27.96%-20.96M
-29.09M
Other operating cash inflow (outflow)
43.78%10.64M
-61.22%7.4M
-28.78%19.08M
26.79M
0
-1K
0
200.00%1K
-1K
Operating cash flow
348.50%1.47B
1,171.35%328.86M
-104.37%-30.7M
1,447.14%701.83M
-112.06%-52.1M
25.32%431.94M
-11.18%344.67M
356.28%388.04M
---151.41M
Investing cash flow
Net PPE purchase and sale
-18.30%-95.98M
-106.25%-81.13M
20.21%-39.34M
33.89%-49.3M
-40.03%-74.58M
-222.21%-53.26M
-68.17%-16.53M
9.18%-9.83M
---10.82M
Net intangibles purchase and sale
-34.55%-276.92M
-480.43%-205.81M
-315.10%-35.46M
-30.25%-8.54M
74.95%-6.56M
-2,176.26%-26.18M
84.67%-1.15M
-18.11%-7.5M
---6.35M
Net business purchase and sale
--0
---260.63M
--0
---163.61M
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Net investment product transactions
47.81%-72.5M
59.79%-138.91M
-1,480.81%-345.51M
--25.02M
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----
----
----
----
Dividends received (cash flow from investment activities)
----
----
--2.94M
--0
----
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----
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Net changes in other investments
148.03%4.11M
-1,553.99%-8.56M
59,000.00%589K
99.43%-1K
98.99%-176K
-270.92%-17.42M
-204.15%-4.7M
1,763.64%4.51M
--242K
Investing cash flow
36.51%-441.29M
-66.77%-695.05M
-112.17%-416.77M
-141.58%-196.43M
16.05%-81.31M
-332.86%-96.86M
-74.55%-22.38M
24.29%-12.82M
---16.93M
Financing cash flow
Net issuance payments of debt
481.38%159.45M
1.21%-41.81M
46.84%-42.32M
-87.22%-79.61M
-122.18%-42.52M
1,289.80%191.71M
58.42%-16.11M
-86.97%-38.75M
---20.72M
Net common stock issuance
322.43%2.26M
-88.31%535K
84.10%4.58M
914.29%2.49M
-95.37%245K
179.79%5.29M
-99.84%1.89M
13,899.86%1.22B
--8.7M
Increase or decrease of lease financing
-2.41%-1.53M
-2.40%-1.5M
-2.46%-1.46M
---1.43M
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Net other fund-raising expenses
5.06%-75K
---79K
----
---47K
----
---229K
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----
Financing cash flow
473.65%160.11M
-9.29%-42.85M
50.12%-39.21M
-85.91%-78.59M
-121.48%-42.28M
1,483.47%196.77M
-101.21%-14.22M
9,907.39%1.18B
---12.02M
Net cash flow
Beginning cash position
-14.58%2.4B
-14.78%2.81B
14.90%3.29B
-5.76%2.87B
21.15%3.04B
13.97%2.51B
240.15%2.2B
-21.86%647.29M
--828.32M
Current changes in cash
391.85%1.19B
15.95%-409.03M
-214.03%-486.67M
342.94%426.81M
-133.03%-175.68M
72.64%531.86M
-80.18%308.07M
961.83%1.55B
---180.37M
Effect of exchange rate changes
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147.07%498K
-127.53%-1.06M
-1,391.67%-465K
105.44%36K
---662K
Cash adjustments other than cash changes
--1K
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---1K
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---1K
End cash Position
49.82%3.59B
-14.58%2.4B
-14.78%2.81B
14.90%3.29B
-5.76%2.87B
21.15%3.04B
13.97%2.51B
240.15%2.2B
--647.29M
Free cash flow
2,528.85%1.1B
139.74%41.92M
-116.38%-105.49M
583.36%643.99M
-137.80%-133.23M
7.80%352.51M
-11.79%326.99M
319.89%370.71M
---168.59M
Currency Unit
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
(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
Operating cash flow (Indirect Method)
Cash from operating activities 369.68%1.58B188.39%336.42M-81.85%116.66M426.61%642.71M-74.44%122.05M14.84%477.53M1.57%415.83M436.97%409.39M-121.49M
Net profit before non-cash adjustment 19,210.21%1.15B102.37%5.98M-269.82%-251.79M177.66%148.27M-144.55%-190.92M9.97%428.52M88.00%389.66M171.47%207.26M---290M
Total adjustment of non-cash items 328.00%394.21M-51.88%92.11M-18.78%191.4M40.41%235.64M280.92%167.82M210.54%44.06M-148.94%-39.86M-4.94%81.44M--85.67M
-Depreciation and amortization 99.14%193.26M25.76%97.05M52.76%77.17M37.51%50.52M67.09%36.74M26.31%21.99M2.49%17.41M-4.13%16.98M--17.71M
-Reversal of impairment losses recognized in profit and loss --135.03M--0----------------------7.5M----
-Assets reserve and write-off ----------------------------------1.3M
-Disposal profit 323.76%48.02M-61.83%11.33M103.91%29.68M--14.56M--------------------
-Remuneration paid in stock -10.40%26.98M-23.49%30.11M1.33%39.36M38.87%38.84M--27.97M----------------
-Other non-cash items 80.43%-9.08M-202.64%-46.38M-65.70%45.19M27.75%131.73M367.20%103.12M138.54%22.07M-200.53%-57.26M-14.55%56.96M--66.66M
Changes in working capital -86.61%31.91M34.62%238.34M-31.59%177.05M78.31%258.8M2,833.33%145.14M-92.51%4.95M-45.29%66.03M45.69%120.69M--82.84M
-Change in receivables -209.54%-269.95M-427.06%-87.21M57.97%-16.55M-30.09%-39.37M40.07%-30.26M-197.05%-50.5M-582.27%-17M-85.40%3.53M--24.15M
-Change in inventory 218.19%19.36M126.45%6.09M-66.74%-23M-190.20%-13.8M200.78%15.29M-615.80%-15.18M-121.51%-2.12M218.49%9.85M---8.32M
-Change in payables 6.22%37.08M3,853.34%34.91M-97.11%883K216.47%30.53M222.61%9.65M-82.57%2.99M-43.61%17.15M511.93%30.42M---7.39M
-Change in accrued expense -----------------------------------4.12M
-Provision for loans, leases and other losses 7,327.82%130.28M68.01%1.75M224.73%1.04M-516.42%-837K-57.14%201K263.41%469K55.43%-287K---644K----
-Changes in other current assets -59.29%115.13M31.74%282.81M-23.95%214.67M87.85%282.27M123.73%150.26M-1.64%67.16M-11.93%68.28M-1.24%77.53M--78.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -72.20%-539K40.83%-313K25.70%-529K3.78%-712K-90.23%-740K-78.44%-389K52.09%-218K59.70%-455K-1.13M
Interest received (cash flow from operating activities) 87.62%379K80.36%202K-55.20%112K257.14%250K9.38%70K48.84%64K-25.86%43K-80.41%58K296K
Tax refund paid -678.78%-115.63M91.06%-14.85M-606.21%-166.02M118.91%32.8M-283.27%-173.47M36.24%-45.26M-238.75%-70.99M27.96%-20.96M-29.09M
Other operating cash inflow (outflow) 43.78%10.64M-61.22%7.4M-28.78%19.08M26.79M0-1K0200.00%1K-1K
Operating cash flow 348.50%1.47B1,171.35%328.86M-104.37%-30.7M1,447.14%701.83M-112.06%-52.1M25.32%431.94M-11.18%344.67M356.28%388.04M---151.41M
Investing cash flow
Net PPE purchase and sale -18.30%-95.98M-106.25%-81.13M20.21%-39.34M33.89%-49.3M-40.03%-74.58M-222.21%-53.26M-68.17%-16.53M9.18%-9.83M---10.82M
Net intangibles purchase and sale -34.55%-276.92M-480.43%-205.81M-315.10%-35.46M-30.25%-8.54M74.95%-6.56M-2,176.26%-26.18M84.67%-1.15M-18.11%-7.5M---6.35M
Net business purchase and sale --0---260.63M--0---163.61M--------------------
Net investment product transactions 47.81%-72.5M59.79%-138.91M-1,480.81%-345.51M--25.02M--------------------
Dividends received (cash flow from investment activities) ----------2.94M--0--------------------
Net changes in other investments 148.03%4.11M-1,553.99%-8.56M59,000.00%589K99.43%-1K98.99%-176K-270.92%-17.42M-204.15%-4.7M1,763.64%4.51M--242K
Investing cash flow 36.51%-441.29M-66.77%-695.05M-112.17%-416.77M-141.58%-196.43M16.05%-81.31M-332.86%-96.86M-74.55%-22.38M24.29%-12.82M---16.93M
Financing cash flow
Net issuance payments of debt 481.38%159.45M1.21%-41.81M46.84%-42.32M-87.22%-79.61M-122.18%-42.52M1,289.80%191.71M58.42%-16.11M-86.97%-38.75M---20.72M
Net common stock issuance 322.43%2.26M-88.31%535K84.10%4.58M914.29%2.49M-95.37%245K179.79%5.29M-99.84%1.89M13,899.86%1.22B--8.7M
Increase or decrease of lease financing -2.41%-1.53M-2.40%-1.5M-2.46%-1.46M---1.43M--------------------
Net other fund-raising expenses 5.06%-75K---79K-------47K-------229K------------
Financing cash flow 473.65%160.11M-9.29%-42.85M50.12%-39.21M-85.91%-78.59M-121.48%-42.28M1,483.47%196.77M-101.21%-14.22M9,907.39%1.18B---12.02M
Net cash flow
Beginning cash position -14.58%2.4B-14.78%2.81B14.90%3.29B-5.76%2.87B21.15%3.04B13.97%2.51B240.15%2.2B-21.86%647.29M--828.32M
Current changes in cash 391.85%1.19B15.95%-409.03M-214.03%-486.67M342.94%426.81M-133.03%-175.68M72.64%531.86M-80.18%308.07M961.83%1.55B---180.37M
Effect of exchange rate changes ----------------147.07%498K-127.53%-1.06M-1,391.67%-465K105.44%36K---662K
Cash adjustments other than cash changes --1K-------1K-----------------------1K
End cash Position 49.82%3.59B-14.58%2.4B-14.78%2.81B14.90%3.29B-5.76%2.87B21.15%3.04B13.97%2.51B240.15%2.2B--647.29M
Free cash flow 2,528.85%1.1B139.74%41.92M-116.38%-105.49M583.36%643.99M-137.80%-133.23M7.80%352.51M-11.79%326.99M319.89%370.71M---168.59M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Heat List
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