(FY)Mar 31, 2024 | (FY)Mar 31, 2023 | (FY)Mar 31, 2022 | |
---|---|---|---|
Operating cash flow (Indirect Method) | |||
Cash from operating activities | 57.90%655.29M | 106.15%415M | 201.31M |
Net profit before non-cash adjustment | 34.13%622.86M | 99.42%464.36M | --232.86M |
Total adjustment of non-cash items | -176.06%-18.36M | -61.83%24.14M | --63.24M |
-Depreciation and amortization | -10.58%16.77M | 16.32%18.75M | --16.12M |
-Disposal profit | ---79.91M | --0 | --0 |
-Net exchange gains and losses | ---- | ---- | ---494K |
-Other non-cash items | 730.68%44.78M | -88.68%5.39M | --47.62M |
Changes in working capital | 169.11%50.79M | 22.46%-73.5M | ---94.79M |
-Change in receivables | 140.57%45.94M | -47.68%-113.24M | ---76.68M |
-Change in payables | -67.67%12.92M | --39.97M | ---- |
-Change in accrued expense | 191.25%6.3M | -208.35%-6.9M | --6.37M |
-Provision for loans, leases and other losses | -80.50%12.91M | 1,017.91%66.23M | --5.92M |
-Changes in other current assets | 54.20%-27.28M | -95.87%-59.55M | ---30.41M |
Dividends paid (cash flow from operating activities) | |||
Dividends received (cash flow from operating activities) | |||
Interest paid (cash flow from operating activities) | 0 | 45.18%-8.03M | -14.64M |
Interest received (cash flow from operating activities) | 1K | ||
Tax refund paid | -1,122.22%-245.42M | 173.80%24.01M | -32.53M |
Other operating cash inflow (outflow) | -100.08%-1K | 281.16%1.25M | -690K |
Operating cash flow | -5.18%409.87M | 181.68%432.23M | --153.45M |
Investing cash flow | |||
Net PPE purchase and sale | 1,546.53%214.41M | -23.74%-14.82M | ---11.98M |
Net changes in other investments | ---- | 100.07%15K | ---21.98M |
Investing cash flow | 1,548.00%214.41M | 56.39%-14.81M | ---33.96M |
Financing cash flow | |||
Net issuance payments of debt | --0 | -719.59%-795M | ---97M |
Net common stock issuance | --81.23M | --0 | --300M |
Issuance fees | ---21.61M | --0 | ---- |
Net other fund-raising expenses | ---1K | ---- | ---- |
Financing cash flow | 107.50%59.61M | -491.63%-795M | --203M |
Net cash flow | |||
Beginning cash position | -54.09%320.45M | 278.36%698.02M | --184.49M |
Current changes in cash | 281.13%683.88M | -217.08%-377.57M | --322.49M |
Effect of exchange rate changes | ---- | ---- | --494K |
Cash adjustments other than cash changes | --1K | ---- | --190.55M |
End cash Position | 213.41%1B | -54.09%320.45M | --698.02M |
Free cash flow | -4.98%396.64M | 195.06%417.41M | --141.47M |
Currency Unit | JPY | JPY | JPY |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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