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6250 Yamabiko

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  • 2468
  • -101-3.93%
20min DelayMarket Closed Dec 4 15:30 JST
108.86BMarket Cap11.27P/E (Static)

Yamabiko Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-53.56%5.4B
-111.98%-334M
1,231.26%24.18B
-36.68%2.23B
325.18%7.53B
1,197.92%11.63B
143.79%2.79B
-125.58%-2.14B
1,196.57%3.52B
-68.90%1.77B
Net profit before non-cash adjustment
42.02%5.95B
14.64%6.8B
52.66%13.37B
116.12%367M
-16.32%2.89B
3.97%4.19B
66.73%5.93B
-10.96%8.76B
-427.08%-2.28B
14.56%3.46B
Total adjustment of non-cash items
-19.55%1.97B
-253.68%-418M
14.95%5.62B
-52.04%1.14B
353.47%1.76B
60.12%2.45B
-54.36%272M
25.70%4.89B
63.73%2.38B
-61.97%389M
-Depreciation and amortization
-5.52%1.06B
5.47%1.02B
7.85%4.51B
-2.32%1.22B
12.25%1.19B
13.08%1.12B
11.12%969M
26.06%4.18B
37.13%1.25B
25.71%1.06B
-Share of associates
-25.00%-5M
--0
--0
--0
71.43%-2M
80.95%-4M
131.58%6M
-193.33%-28M
-55.81%19M
-75.00%-7M
-Disposal profit
--0
--0
51.64%693M
-127.35%-125M
--295M
--523M
--0
509.33%457M
509.33%457M
--0
-Net exchange gains and losses
----
----
35.96%-73M
----
----
----
----
-126.45%-114M
----
----
-Other non-cash items
13.47%910M
-104.84%-1.44B
24.69%495M
-84.84%116M
142.11%280M
44.77%802M
-173.54%-703M
892.50%397M
8,600.00%765M
-463.39%-665M
Changes in working capital
-150.36%-2.52B
-96.57%-6.71B
132.81%5.18B
-78.91%721M
238.75%2.88B
175.59%5B
67.55%-3.41B
-193.44%-15.78B
354.88%3.42B
-225.50%-2.07B
-Change in receivables
-191.78%-1.08B
-105.01%-8.72B
234.38%2.24B
-69.95%2.15B
28.14%3.16B
124.57%1.18B
34.35%-4.25B
-1,123.53%-1.66B
52.79%7.15B
-58.04%2.47B
-Change in inventory
27.93%4.02B
-447.06%-1B
276.13%7.43B
344.55%1.3B
11.24%2.7B
1,465.22%3.14B
104.91%289M
48.73%-4.22B
88.80%-532M
189.99%2.43B
-Change in payables
-8,811.27%-6.33B
974.00%2.19B
57.66%-3.75B
6.86%-1.29B
64.09%-2.14B
97.26%-71M
-123.15%-250M
-393.34%-8.86B
-266.40%-1.39B
-807.15%-5.96B
-Provision for loans, leases and other losses
31.77%958M
8.98%874M
-4.60%-591M
5.04%-1.28B
15.95%-838M
-28.59%727M
4.97%802M
-45.62%-565M
-13.16%-1.35B
-8.61%-997M
-Changes in other current assets
-505.00%-81M
-1,566.67%-50M
69.18%-147M
66.38%-156M
11.11%-8M
2,100.00%20M
0.00%-3M
-234.75%-477M
-253.64%-464M
-119.15%-9M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
49M
0
0
Interest paid (cash flow from operating activities)
33.72%-171M
58.41%-94M
-33.13%-655M
67.50%-65M
20.90%-106M
-113.22%-258M
-510.81%-226M
-310.00%-492M
-440.54%-200M
-306.06%-134M
Interest received (cash flow from operating activities)
1.96%52M
-57.14%3M
43.82%128M
40.91%62M
166.67%8M
37.84%51M
40.00%7M
21.92%89M
37.50%44M
0.00%3M
Tax refund paid
-262.58%-1.15B
68.86%-559M
-65.17%-4.39B
-302.95%-688M
-37.39%-1.59B
13.82%-318M
-22.03%-1.8B
-11.26%-2.66B
291.53%339M
-24.38%-1.16B
Other operating cash inflow (outflow)
0
0
-1M
-1M
0
-50.00%1M
-1M
0
0
-100.00%-2M
Operating cash flow
-62.83%4.13B
-227.13%-984M
473.88%19.26B
-58.49%1.54B
1,116.88%5.84B
859.96%11.1B
109.83%774M
-187.05%-5.15B
837.65%3.7B
-89.86%480M
Investing cash flow
Net PPE purchase and sale
7.91%-1.09B
22.44%-840M
-4.53%-3.97B
34.45%-664M
-26.01%-1.03B
-15.45%-1.19B
-15.95%-1.08B
7.05%-3.8B
17.51%-1.01B
47.33%-819M
Net business purchase and sale
----
----
--0
----
----
----
----
--49M
----
----
Net investment product transactions
----
----
5,466.67%322M
574.14%391M
0.00%-2M
----
----
98.87%-6M
112.16%58M
---2M
Net changes in other investments
----
----
0.00%-1M
78.26%-20M
-101.82%-1M
-126.32%-5M
47.06%25M
97.06%-1M
-318.18%-92M
885.71%55M
Investing cash flow
30.56%-875M
20.60%-840M
2.85%-3.65B
70.64%-293M
-35.12%-1.04B
-17.54%-1.26B
-15.38%-1.06B
19.24%-3.75B
42.21%-998M
50.96%-766M
Financing cash flow
Net issuance payments of debt
70.87%-2.94B
278.05%4.22B
-204.06%-14.66B
60.97%-1.29B
-235.76%-4.4B
-335.76%-10.09B
-88.70%1.12B
8,745.40%14.09B
-380.80%-3.31B
844.04%3.24B
Net common stock issuance
---368M
---226M
---485M
--0
---485M
--0
--0
--0
--0
----
Increase or decrease of lease financing
----
----
-8.77%-645M
----
----
----
----
-170.78%-593M
----
----
Cash dividends paid
-12.63%-107M
-12.06%-1.11B
26.74%-2.16B
1.15%-86M
-0.10%-994M
41.36%-95M
42.25%-987M
-77.34%-2.95B
-8,600.00%-87M
-99,200.00%-993M
Net other fund-raising expenses
23.37%-141M
-0.65%-154M
0.00%-2M
15.38%495M
-3.90%-160M
-26.90%-184M
-15.91%-153M
99.57%-2M
153.85%429M
-175.00%-154M
Financing cash flow
65.71%-3.55B
11,487.50%2.73B
-270.28%-17.96B
57.09%-1.53B
-388.17%-6.04B
-361.02%-10.37B
-100.30%-24M
520.66%10.55B
-416.09%-3.56B
525.35%2.1B
Net cash flow
Beginning cash position
-4.19%13.41B
-14.60%12.19B
17.84%14.27B
-18.20%12.67B
2.26%13.76B
22.25%14B
17.84%14.27B
-8.56%12.11B
16.99%15.49B
26.98%13.46B
Current changes in cash
42.15%-302M
395.13%909M
-242.97%-2.35B
66.86%-282M
-168.30%-1.24B
-136.30%-522M
59.21%-308M
232.71%1.64B
22.92%-851M
-32.35%1.81B
Effect of exchange rate changes
13.33%323M
780.56%317M
-48.75%266M
45.11%-202M
-34.08%147M
-49.91%285M
-62.11%36M
394.29%519M
-1,315.38%-368M
737.14%223M
Cash adjustments other than cash changes
----
----
0.00%-1M
----
----
----
----
---1M
----
----
End cash Position
-2.37%13.44B
-4.19%13.41B
-14.60%12.19B
-14.60%12.19B
-18.20%12.67B
2.26%13.76B
22.25%14B
17.84%14.27B
17.84%14.27B
16.99%15.49B
Free cash flow
-70.27%2.95B
-498.06%-1.85B
270.01%15.24B
-68.13%855M
1,502.35%4.78B
496.28%9.92B
96.49%-309M
-672.54%-8.97B
255.09%2.68B
-110.74%-341M
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
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -53.56%5.4B-111.98%-334M1,231.26%24.18B-36.68%2.23B325.18%7.53B1,197.92%11.63B143.79%2.79B-125.58%-2.14B1,196.57%3.52B-68.90%1.77B
Net profit before non-cash adjustment 42.02%5.95B14.64%6.8B52.66%13.37B116.12%367M-16.32%2.89B3.97%4.19B66.73%5.93B-10.96%8.76B-427.08%-2.28B14.56%3.46B
Total adjustment of non-cash items -19.55%1.97B-253.68%-418M14.95%5.62B-52.04%1.14B353.47%1.76B60.12%2.45B-54.36%272M25.70%4.89B63.73%2.38B-61.97%389M
-Depreciation and amortization -5.52%1.06B5.47%1.02B7.85%4.51B-2.32%1.22B12.25%1.19B13.08%1.12B11.12%969M26.06%4.18B37.13%1.25B25.71%1.06B
-Share of associates -25.00%-5M--0--0--071.43%-2M80.95%-4M131.58%6M-193.33%-28M-55.81%19M-75.00%-7M
-Disposal profit --0--051.64%693M-127.35%-125M--295M--523M--0509.33%457M509.33%457M--0
-Net exchange gains and losses --------35.96%-73M-----------------126.45%-114M--------
-Other non-cash items 13.47%910M-104.84%-1.44B24.69%495M-84.84%116M142.11%280M44.77%802M-173.54%-703M892.50%397M8,600.00%765M-463.39%-665M
Changes in working capital -150.36%-2.52B-96.57%-6.71B132.81%5.18B-78.91%721M238.75%2.88B175.59%5B67.55%-3.41B-193.44%-15.78B354.88%3.42B-225.50%-2.07B
-Change in receivables -191.78%-1.08B-105.01%-8.72B234.38%2.24B-69.95%2.15B28.14%3.16B124.57%1.18B34.35%-4.25B-1,123.53%-1.66B52.79%7.15B-58.04%2.47B
-Change in inventory 27.93%4.02B-447.06%-1B276.13%7.43B344.55%1.3B11.24%2.7B1,465.22%3.14B104.91%289M48.73%-4.22B88.80%-532M189.99%2.43B
-Change in payables -8,811.27%-6.33B974.00%2.19B57.66%-3.75B6.86%-1.29B64.09%-2.14B97.26%-71M-123.15%-250M-393.34%-8.86B-266.40%-1.39B-807.15%-5.96B
-Provision for loans, leases and other losses 31.77%958M8.98%874M-4.60%-591M5.04%-1.28B15.95%-838M-28.59%727M4.97%802M-45.62%-565M-13.16%-1.35B-8.61%-997M
-Changes in other current assets -505.00%-81M-1,566.67%-50M69.18%-147M66.38%-156M11.11%-8M2,100.00%20M0.00%-3M-234.75%-477M-253.64%-464M-119.15%-9M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) 49M00
Interest paid (cash flow from operating activities) 33.72%-171M58.41%-94M-33.13%-655M67.50%-65M20.90%-106M-113.22%-258M-510.81%-226M-310.00%-492M-440.54%-200M-306.06%-134M
Interest received (cash flow from operating activities) 1.96%52M-57.14%3M43.82%128M40.91%62M166.67%8M37.84%51M40.00%7M21.92%89M37.50%44M0.00%3M
Tax refund paid -262.58%-1.15B68.86%-559M-65.17%-4.39B-302.95%-688M-37.39%-1.59B13.82%-318M-22.03%-1.8B-11.26%-2.66B291.53%339M-24.38%-1.16B
Other operating cash inflow (outflow) 00-1M-1M0-50.00%1M-1M00-100.00%-2M
Operating cash flow -62.83%4.13B-227.13%-984M473.88%19.26B-58.49%1.54B1,116.88%5.84B859.96%11.1B109.83%774M-187.05%-5.15B837.65%3.7B-89.86%480M
Investing cash flow
Net PPE purchase and sale 7.91%-1.09B22.44%-840M-4.53%-3.97B34.45%-664M-26.01%-1.03B-15.45%-1.19B-15.95%-1.08B7.05%-3.8B17.51%-1.01B47.33%-819M
Net business purchase and sale ----------0------------------49M--------
Net investment product transactions --------5,466.67%322M574.14%391M0.00%-2M--------98.87%-6M112.16%58M---2M
Net changes in other investments --------0.00%-1M78.26%-20M-101.82%-1M-126.32%-5M47.06%25M97.06%-1M-318.18%-92M885.71%55M
Investing cash flow 30.56%-875M20.60%-840M2.85%-3.65B70.64%-293M-35.12%-1.04B-17.54%-1.26B-15.38%-1.06B19.24%-3.75B42.21%-998M50.96%-766M
Financing cash flow
Net issuance payments of debt 70.87%-2.94B278.05%4.22B-204.06%-14.66B60.97%-1.29B-235.76%-4.4B-335.76%-10.09B-88.70%1.12B8,745.40%14.09B-380.80%-3.31B844.04%3.24B
Net common stock issuance ---368M---226M---485M--0---485M--0--0--0--0----
Increase or decrease of lease financing ---------8.77%-645M-----------------170.78%-593M--------
Cash dividends paid -12.63%-107M-12.06%-1.11B26.74%-2.16B1.15%-86M-0.10%-994M41.36%-95M42.25%-987M-77.34%-2.95B-8,600.00%-87M-99,200.00%-993M
Net other fund-raising expenses 23.37%-141M-0.65%-154M0.00%-2M15.38%495M-3.90%-160M-26.90%-184M-15.91%-153M99.57%-2M153.85%429M-175.00%-154M
Financing cash flow 65.71%-3.55B11,487.50%2.73B-270.28%-17.96B57.09%-1.53B-388.17%-6.04B-361.02%-10.37B-100.30%-24M520.66%10.55B-416.09%-3.56B525.35%2.1B
Net cash flow
Beginning cash position -4.19%13.41B-14.60%12.19B17.84%14.27B-18.20%12.67B2.26%13.76B22.25%14B17.84%14.27B-8.56%12.11B16.99%15.49B26.98%13.46B
Current changes in cash 42.15%-302M395.13%909M-242.97%-2.35B66.86%-282M-168.30%-1.24B-136.30%-522M59.21%-308M232.71%1.64B22.92%-851M-32.35%1.81B
Effect of exchange rate changes 13.33%323M780.56%317M-48.75%266M45.11%-202M-34.08%147M-49.91%285M-62.11%36M394.29%519M-1,315.38%-368M737.14%223M
Cash adjustments other than cash changes --------0.00%-1M-------------------1M--------
End cash Position -2.37%13.44B-4.19%13.41B-14.60%12.19B-14.60%12.19B-18.20%12.67B2.26%13.76B22.25%14B17.84%14.27B17.84%14.27B16.99%15.49B
Free cash flow -70.27%2.95B-498.06%-1.85B270.01%15.24B-68.13%855M1,502.35%4.78B496.28%9.92B96.49%-309M-672.54%-8.97B255.09%2.68B-110.74%-341M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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