(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 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | |
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Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | -344.78%-18.29B | 45.71%199.79B | -113.45%-4.76B | 180.61%105.63B | 81.29%91.46B | -45.20%7.47B | -18.28%137.11B | -39.94%35.39B | -34.73%37.64B | 62.22%50.45B |
Net profit before non-cash adjustment | 13.10%30.69B | -58.33%95.8B | -25.21%8.44B | -32.19%33.58B | -59.05%26.65B | -73.92%27.13B | -35.68%229.91B | -93.04%11.28B | -32.81%49.52B | 5.41%65.07B |
Total adjustment of non-cash items | 242.09%8.46B | 372.02%55.66B | 34,627.54%23.82B | -42.22%15.83B | 117.10%21.96B | 76.79%-5.96B | 111.83%11.79B | 99.92%-69M | 1,398.63%27.4B | 193.38%10.12B |
-Depreciation and amortization | 27.36%16.71B | 5.47%56.22B | 7.49%15.4B | 6.89%14.13B | 0.11%13.58B | 7.51%13.12B | 14.76%53.31B | 16.41%14.32B | 13.48%13.22B | 18.88%13.57B |
-Reversal of impairment losses recognized in profit and loss | ---- | 26.08%7.18B | ---- | ---- | ---- | ---- | 2,016.36%5.69B | ---- | ---- | ---- |
-Share of associates | 116.21%2.26B | 9.36%-33.12B | 86.10%-1.63B | -198.40%-15.3B | 69.73%-2.24B | -13.72%-13.94B | 36.50%-36.54B | 29.10%-11.74B | 69.00%-5.13B | 47.33%-7.4B |
-Disposal profit | --0 | 18.63%-1.16B | -35.16%-1.16B | 99.13%-5M | --0 | --0 | 98.11%-1.43B | 98.85%-856M | 58.03%-572M | --0 |
-Other non-cash items | -104.78%-10.51B | 386.99%26.54B | 153.97%4.04B | -14.46%17.01B | 168.79%10.62B | 79.96%-5.13B | 29.56%-9.25B | 31.54%-7.49B | 379.69%19.88B | 148.24%3.95B |
Changes in working capital | -319.12%-57.44B | 146.22%48.34B | -253.10%-37.02B | 243.10%56.22B | 273.22%42.85B | 78.83%-13.71B | -16.25%-104.59B | 274.81%24.18B | -182.13%-39.28B | -24.94%-24.74B |
-Change in receivables | -567.04%-13.86B | -3,372.57%-3.7B | -156.97%-17.12B | 90.42%-2.19B | 377.70%17.68B | -174.87%-2.08B | 100.40%113M | 293.36%30.05B | 13.56%-22.81B | -91.12%-6.37B |
-Change in inventory | -224.61%-39.43B | 132.80%43.85B | -539.58%-36.6B | 126.69%18.29B | 257.21%30.52B | 179.02%31.65B | -44.22%-133.71B | 88.95%-5.72B | -662.38%-68.53B | -3,001.79%-19.41B |
-Change in prepaid assets | -279.93%-4.24B | 30.74%2.43B | 181.92%3.07B | -125.44%-5.15B | 116.01%2.16B | 302.14%2.36B | 119.80%1.86B | 57.51%-3.74B | 4,488.29%20.23B | -650.92%-13.46B |
-Change in payables | 103.57%1.57B | -42.85%15.74B | 1,092.29%21.66B | 39.21%47.6B | -177.10%-9.44B | -112.80%-44.09B | -39.57%27.54B | -95.73%1.82B | 46.07%34.19B | 157.12%12.24B |
-Provision for loans, leases and other losses | 3.77%-1.48B | -55.91%1.88B | -40.35%3.83B | 0.93%-2.34B | -14.81%1.93B | 25.45%-1.54B | 7,701.79%4.26B | 142.78%6.42B | 2.99%-2.37B | 21.74%2.26B |
-Changes in other current assets | ---- | -155.51%-11.86B | ---- | ---- | ---- | ---- | 8.98%-4.64B | ---- | ---- | ---- |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | -19.23%11.09B | 27.18%36.45B | -66.15%3.41B | 360.36%9.85B | 42.53%9.46B | 40.03%13.73B | -13.81%28.66B | -38.64%10.08B | -43.92%2.14B | -22.10%6.64B |
Interest paid (cash flow from operating activities) | -32.72%-1.44B | -213.83%-18.6B | -142.59%-8.18B | -478.80%-2.02B | -422.57%-7.32B | -34.62%-1.09B | -145.02%-5.93B | -291.18%-3.37B | -14.05%-349M | -51.84%-1.4B |
Interest received (cash flow from operating activities) | 0.87%1.04B | 188.78%31.93B | 154.34%17.55B | 119.26%1.13B | 267.64%12.21B | 224.45%1.04B | 217.43%11.06B | 273.84%6.9B | 424.49%514M | 128.79%3.32B |
Tax refund paid | 53.43%-12.16B | 23.02%-38.89B | 33.33%-2.3B | 55.87%-6.99B | 62.12%-3.48B | -18.54%-26.12B | -18.56%-50.52B | -20.44%-3.45B | -29.81%-15.84B | -36.23%-9.19B |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | -298.01%-19.76B | 75.01%210.68B | -87.44%5.72B | 346.31%107.59B | 105.43%102.33B | -638.98%-4.96B | -24.52%120.38B | -38.01%45.54B | -50.88%24.11B | 49.15%49.81B |
Investing cash flow | ||||||||||
Capital expenditures | ---32.79B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Net PPE purchase and sale | 100.87%134M | 0.88%-122.18B | 29.76%-34.88B | -59.77%-32.43B | -23.23%-39.48B | 27.64%-15.38B | -129.27%-123.26B | -190.69%-49.66B | -60.86%-20.3B | -172.81%-32.04B |
Net intangibles purchase and sale | -110.34%-183M | 60.45%-2.8B | 81.96%-1.22B | -11.63%-192M | -2,456.86%-1.3B | 14.71%-87M | -509.90%-7.09B | -2,231.72%-6.76B | 37.45%-172M | 65.54%-51M |
Net business purchase and sale | 68.89%-3.16B | -57.56%-45.4B | -10.22%-12.22B | -58.69%-10.03B | -69.24%-13B | -172.63%-10.15B | -127.90%-28.81B | -110.15%-11.09B | -139.23%-6.32B | -133.97%-7.68B |
Net investment product transactions | 3,293.59%7.47B | -88.76%6.86B | 78.90%1.43B | -210.97%-536M | -74.08%6.2B | -100.65%-234M | 271.44%61.07B | 102.08%801M | 4,290.91%483M | 1,546.69%23.91B |
Advance cash and loans provided to other parties | 68.35%-9.65B | -49.83%-136.32B | -10.36%-36.72B | -26.39%-30.12B | -71.97%-39B | -171.99%-30.49B | -212.18%-90.98B | -196.13%-33.27B | -196.44%-23.83B | -131.02%-22.68B |
Repayment of advance payments to other parties and cash income from loans | ---- | -86.98%395M | 1,200.00%11M | ---- | ---- | 19.64%201M | -88.64%3.03B | -100.01%-1M | -85.19%2.86B | -55.56%8M |
Net changes in other investments | -26.13%82M | 2.42%551M | 438.03%382M | -87.18%71M | -104.18%-13M | 127.89%111M | 215.70%538M | 115.50%71M | 55,500.00%554M | 6,320.00%311M |
Investing cash flow | 32.02%-38.09B | -61.12%-298.89B | 16.71%-83.22B | -55.91%-72.85B | -127.12%-86.79B | -8,493.87%-56.03B | -1,993.66%-185.5B | -304.14%-99.91B | -993.94%-46.72B | -62.45%-38.22B |
Financing cash flow | ||||||||||
Net issuance payments of debt | 5.92%74.44B | -67.85%34.38B | -172.59%-46.25B | -63.29%16.84B | 69.93%-6.49B | 271.53%70.29B | 327.97%106.91B | 229.26%63.72B | 247.41%45.87B | -159.46%-21.6B |
Cash dividends paid | 45.22%-17.31B | 46.04%-41.22B | --0 | 61.11%-9.62B | --0 | 38.83%-31.6B | -31.13%-76.39B | --0 | 20.35%-24.73B | --0 |
Cash dividends for minorities | 52.32%-1.08B | 12.68%-6.25B | 85.34%-325M | -92.91%-2.26B | -632.46%-1.4B | 36.66%-2.27B | 40.64%-7.16B | 63.17%-2.22B | 43.92%-1.17B | 94.63%-191M |
Net other fund-raising expenses | -20.43%6.63B | -22.29%20.18B | -107.91%-468M | 9.58%7.93B | -45.86%4.39B | 76.70%8.33B | 309.12%25.96B | 133.52%5.91B | 191.70%7.24B | 778.63%8.1B |
Financing cash flow | 40.07%62.68B | -85.63%7.09B | -169.78%-47.05B | -52.62%12.89B | 74.38%-3.51B | 241.61%44.75B | 138.06%49.34B | 192.41%67.42B | 255.88%27.21B | -24.86%-13.69B |
Net cash flow | ||||||||||
Beginning cash position | -29.76%151.02B | 0.48%215.01B | 30.78%274.48B | 10.26%227.76B | 4.31%205.77B | 0.48%215.01B | 35.11%213.98B | 36.23%209.88B | 65.55%206.56B | 57.74%197.27B |
Current changes in cash | 129.76%4.84B | -413.92%-81.12B | -1,054.55%-124.54B | 937.60%47.64B | 675.45%12.03B | 48.15%-16.25B | -139.79%-15.79B | -73.62%13.05B | -83.22%4.59B | -92.27%-2.09B |
Effect of exchange rate changes | -8.64%6.4B | 1.91%17.14B | 113.61%1.08B | 62.48%-908M | -20.49%9.96B | -52.10%7B | 5.51%16.82B | -179.94%-7.92B | -197.03%-2.42B | 1,470.43%12.53B |
End cash Position | -21.15%162.26B | -29.76%151.02B | -29.76%151.02B | 30.78%274.48B | 10.26%227.76B | 4.31%205.77B | 0.48%215.01B | 0.48%215.01B | 36.23%209.88B | 65.55%206.56B |
Free cash flow | -149.69%-52.73B | 884.55%82.6B | -186.45%-32.39B | 1,995.74%74.76B | 247.01%61.35B | -3.18%-21.12B | -110.23%-10.53B | -120.18%-11.31B | -89.99%3.57B | -17.77%17.68B |
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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