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Kyushu Financial Group (7180)

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  • 1165.5
  • +4.5+0.39%
20min DelayMarket Closed Jan 16 15:30 JST
540.06BMarket Cap16.60P/E (Static)

Kyushu Financial Group (7180) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2025
(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
-101.00%-481.29B
86.11%-239.44B
-198.33%-1.72T
145.49%1.75T
510.19%714.16B
201.75%117.04B
21.73%-115.02B
-168.77%-146.95B
252.28%213.67B
-140.31B
Net profit before non-cash adjustment
12.72%42.78B
7.21%37.95B
49.73%35.4B
10.48%23.64B
-20.18%21.4B
-19.65%26.81B
14.20%33.37B
39.26%29.22B
-82.22%20.98B
--117.98B
Total adjustment of non-cash items
9.10%-104.94B
-30.64%-115.44B
-42.11%-88.37B
29.81%-62.18B
-18.22%-88.59B
25.24%-74.94B
47.02%-100.24B
-138.91%-189.21B
54.41%-79.2B
---173.73B
-Depreciation and amortization
4.05%9.71B
5.22%9.33B
4.84%8.86B
4.36%8.46B
-3.04%8.1B
15.86%8.36B
-6.08%7.21B
-4.18%7.68B
7.21%8.01B
--7.48B
-Assets reserve and write-off
-93.55%28M
1,300.00%434M
-97.20%31M
358.26%1.11B
105.08%242M
28.26%118M
46.03%92M
-87.06%63M
22.06%487M
--399M
-Other restructuring costs
----
----
----
----
----
----
----
----
----
---92.71B
-Disposal profit
64.17%-3B
-184.07%-8.37B
2,317.59%9.96B
93.23%-449M
-3,484.69%-6.63B
104.85%196M
-284.49%-4.04B
57.77%-1.05B
56.68%-2.49B
---5.75B
-Net exchange gains and losses
-32.63%3.87B
95.11%5.75B
1,755.62%2.95B
86.70%-178M
-208.29%-1.34B
-161.91%-434M
92.58%701M
-79.73%364M
76.25%1.8B
--1.02B
-Other non-cash items
5.74%-115.55B
-11.27%-122.58B
-54.91%-110.17B
20.06%-71.12B
-6.96%-88.96B
20.18%-83.17B
46.91%-104.2B
-125.58%-196.27B
-3.36%-87.01B
---84.17B
Changes in working capital
-158.80%-419.13B
90.31%-161.95B
-193.26%-1.67T
129.32%1.79T
373.07%781.35B
443.00%165.17B
-469.11%-48.15B
-95.20%13.05B
421.55%271.89B
---84.56B
-Change in receivables
-901.83%-3.84B
54.78%-383M
-197.58%-847M
-50.54%868M
139.84%1.76B
-247.40%-4.41B
40.36%-1.27B
33.69%-2.13B
-4,063.64%-3.21B
---77M
-Change in loans
-154.19%-538.61B
89.21%-211.89B
-244.25%-1.96T
663.02%1.36T
-4,444.22%-241.89B
131.01%5.57B
95.76%-17.96B
-105.43%-423.15B
3.18%-205.99B
---212.75B
-Change in financial assets
-166.67%-8M
-102.54%-3M
203.51%118M
-113.30%-114M
180.07%857M
-86.36%306M
257.85%2.24B
-271.99%-1.42B
-135.80%-382M
---162M
-Provision for loans, leases and other losses
-220.00%-4.34B
147.33%3.62B
-239.38%-7.65B
-22.98%5.49B
845.97%7.12B
-143.95%-955M
129.03%2.17B
-226.56%-7.49B
77.89%5.92B
--3.33B
-Change in deposits by banks and customers
123.06%125.76B
-81.55%56.38B
-26.48%305.64B
-56.22%415.73B
288.87%949.62B
897.46%244.2B
-106.92%-30.62B
-8.87%442.56B
285.74%485.61B
--125.89B
-Changes in other current assets
120.34%1.96B
-159.24%-9.65B
-147.31%-3.72B
-87.66%7.87B
180.26%63.77B
-2,766.38%-79.46B
-159.64%-2.77B
146.63%4.65B
-1,150.69%-9.97B
---797M
-Changes in other current liabilities
-142.86%-51M
-187.50%-21M
-44.19%24M
-61.26%43M
223.33%111M
-283.67%-90M
104.17%49M
125.53%24M
-726.67%-94M
--15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-84.48%-13.69B
6.64%-7.42B
27.41%-7.95B
-15.50%-10.95B
24.77%-9.48B
-25.54%-12.6B
12.92%-10.04B
21.69%-11.53B
-34.45%-14.72B
-10.95B
Other operating cash inflow (outflow)
9.80%102.85B
-5.71%93.68B
8.05%99.35B
2.07%91.95B
-0.87%90.09B
-1.93%90.87B
-0.24%92.66B
-3.74%92.88B
30.49%96.48B
73.94B
Operating cash flow
-155.98%-392.13B
90.62%-153.19B
-189.00%-1.63T
130.79%1.83T
306.93%794.76B
702.65%195.31B
50.60%-32.41B
-122.21%-65.6B
482.07%295.43B
---77.32B
Investing cash flow
Net PPE purchase and sale
-31.75%-4.81B
-216.03%-3.65B
84.78%-1.15B
-11.86%-7.58B
51.81%-6.78B
-46.09%-14.07B
-47.52%-9.63B
-69.03%-6.53B
19.71%-3.86B
---4.81B
Net intangibles purchase and sale
-3.73%-6.22B
2.44%-6B
-11.62%-6.15B
-67.67%-5.51B
36.37%-3.29B
-83.48%-5.16B
16.50%-2.81B
-3.69%-3.37B
-24.19%-3.25B
---2.62B
Net business purchase and sale
----
----
----
----
----
---1.4B
----
----
----
----
Net investment property transactions
-44.43%91.82B
-35.93%165.24B
264.89%257.92B
-3,391.02%-156.42B
102.36%4.75B
-159.47%-201.76B
29.09%339.27B
91.42%262.82B
202.58%137.3B
--45.38B
Net changes in other investments
70.61%-3.12B
-797.11%-10.62B
205.40%1.52B
-183.96%-1.45B
594.54%1.72B
62.86%-348M
-219.36%-937M
164.31%785M
29,800.00%297M
---1M
Investing cash flow
-46.42%77.68B
-42.50%144.98B
247.49%252.14B
-4,662.06%-170.96B
98.39%-3.59B
-168.35%-222.74B
28.45%325.89B
94.43%253.71B
243.84%130.49B
--37.95B
Financing cash flow
Net common stock issuance
2,400.00%23M
---1M
--0
---3.57B
--0
-229.74%-5.5B
---1.67B
--0
--0
---16M
Cash dividends paid
-20.09%-7.8B
-25.14%-6.5B
1.54%-5.19B
0.11%-5.27B
2.58%-5.28B
0.33%-5.42B
0.33%-5.44B
-0.24%-5.45B
-51.98%-5.44B
---3.58B
Cash dividends for minorities
--0
54.55%-5M
73.81%-11M
2.33%-42M
---43M
--0
0.00%-4M
55.56%-4M
---9M
--0
Net other fund-raising expenses
---337M
----
0.00%-1M
0.00%-1M
99.89%-1M
21.85%-887M
---1.14B
----
-2,860.00%-148M
---5M
Financing cash flow
-24.81%-8.12B
-24.97%-6.5B
41.44%-5.2B
-66.95%-8.89B
54.92%-5.32B
-43.21%-11.81B
-51.03%-8.24B
2.50%-5.46B
-55.46%-5.6B
---3.6B
Net cash flow
Beginning cash position
-0.66%2.21T
-38.38%2.22T
84.60%3.61T
67.18%1.96T
-3.25%1.17T
30.88%1.21T
24.65%923.71B
131.06%741.05B
15.75%320.71B
--277.08B
Current changes in cash
-2,092.22%-322.56B
98.94%-14.71B
-183.75%-1.39T
110.52%1.65T
2,102.68%785.85B
-113.76%-39.24B
56.17%285.24B
-56.54%182.65B
1,078.06%420.32B
---42.98B
Effect of exchange rate changes
-133.33%-3M
-43.75%9M
-20.00%16M
33.33%20M
87.50%15M
-20.00%8M
900.00%10M
-94.74%1M
26.67%19M
--15M
Cash adjustments other than cash changes
----
--1M
----
----
----
----
--1M
----
-100.00%1M
--86.6B
End cash Position
-14.60%1.89T
-0.66%2.21T
-38.38%2.22T
84.60%3.61T
67.18%1.96T
-3.25%1.17T
30.88%1.21T
24.65%923.71B
131.06%741.05B
--320.71B
Free cash flow
-147.17%-403.43B
90.05%-163.22B
-190.13%-1.64T
131.96%1.82T
346.90%784.53B
486.52%175.55B
39.87%-45.42B
-126.21%-75.54B
439.08%288.24B
---85.01B
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)Mar 31, 2025(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 -101.00%-481.29B86.11%-239.44B-198.33%-1.72T145.49%1.75T510.19%714.16B201.75%117.04B21.73%-115.02B-168.77%-146.95B252.28%213.67B-140.31B
Net profit before non-cash adjustment 12.72%42.78B7.21%37.95B49.73%35.4B10.48%23.64B-20.18%21.4B-19.65%26.81B14.20%33.37B39.26%29.22B-82.22%20.98B--117.98B
Total adjustment of non-cash items 9.10%-104.94B-30.64%-115.44B-42.11%-88.37B29.81%-62.18B-18.22%-88.59B25.24%-74.94B47.02%-100.24B-138.91%-189.21B54.41%-79.2B---173.73B
-Depreciation and amortization 4.05%9.71B5.22%9.33B4.84%8.86B4.36%8.46B-3.04%8.1B15.86%8.36B-6.08%7.21B-4.18%7.68B7.21%8.01B--7.48B
-Assets reserve and write-off -93.55%28M1,300.00%434M-97.20%31M358.26%1.11B105.08%242M28.26%118M46.03%92M-87.06%63M22.06%487M--399M
-Other restructuring costs ---------------------------------------92.71B
-Disposal profit 64.17%-3B-184.07%-8.37B2,317.59%9.96B93.23%-449M-3,484.69%-6.63B104.85%196M-284.49%-4.04B57.77%-1.05B56.68%-2.49B---5.75B
-Net exchange gains and losses -32.63%3.87B95.11%5.75B1,755.62%2.95B86.70%-178M-208.29%-1.34B-161.91%-434M92.58%701M-79.73%364M76.25%1.8B--1.02B
-Other non-cash items 5.74%-115.55B-11.27%-122.58B-54.91%-110.17B20.06%-71.12B-6.96%-88.96B20.18%-83.17B46.91%-104.2B-125.58%-196.27B-3.36%-87.01B---84.17B
Changes in working capital -158.80%-419.13B90.31%-161.95B-193.26%-1.67T129.32%1.79T373.07%781.35B443.00%165.17B-469.11%-48.15B-95.20%13.05B421.55%271.89B---84.56B
-Change in receivables -901.83%-3.84B54.78%-383M-197.58%-847M-50.54%868M139.84%1.76B-247.40%-4.41B40.36%-1.27B33.69%-2.13B-4,063.64%-3.21B---77M
-Change in loans -154.19%-538.61B89.21%-211.89B-244.25%-1.96T663.02%1.36T-4,444.22%-241.89B131.01%5.57B95.76%-17.96B-105.43%-423.15B3.18%-205.99B---212.75B
-Change in financial assets -166.67%-8M-102.54%-3M203.51%118M-113.30%-114M180.07%857M-86.36%306M257.85%2.24B-271.99%-1.42B-135.80%-382M---162M
-Provision for loans, leases and other losses -220.00%-4.34B147.33%3.62B-239.38%-7.65B-22.98%5.49B845.97%7.12B-143.95%-955M129.03%2.17B-226.56%-7.49B77.89%5.92B--3.33B
-Change in deposits by banks and customers 123.06%125.76B-81.55%56.38B-26.48%305.64B-56.22%415.73B288.87%949.62B897.46%244.2B-106.92%-30.62B-8.87%442.56B285.74%485.61B--125.89B
-Changes in other current assets 120.34%1.96B-159.24%-9.65B-147.31%-3.72B-87.66%7.87B180.26%63.77B-2,766.38%-79.46B-159.64%-2.77B146.63%4.65B-1,150.69%-9.97B---797M
-Changes in other current liabilities -142.86%-51M-187.50%-21M-44.19%24M-61.26%43M223.33%111M-283.67%-90M104.17%49M125.53%24M-726.67%-94M--15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -84.48%-13.69B6.64%-7.42B27.41%-7.95B-15.50%-10.95B24.77%-9.48B-25.54%-12.6B12.92%-10.04B21.69%-11.53B-34.45%-14.72B-10.95B
Other operating cash inflow (outflow) 9.80%102.85B-5.71%93.68B8.05%99.35B2.07%91.95B-0.87%90.09B-1.93%90.87B-0.24%92.66B-3.74%92.88B30.49%96.48B73.94B
Operating cash flow -155.98%-392.13B90.62%-153.19B-189.00%-1.63T130.79%1.83T306.93%794.76B702.65%195.31B50.60%-32.41B-122.21%-65.6B482.07%295.43B---77.32B
Investing cash flow
Net PPE purchase and sale -31.75%-4.81B-216.03%-3.65B84.78%-1.15B-11.86%-7.58B51.81%-6.78B-46.09%-14.07B-47.52%-9.63B-69.03%-6.53B19.71%-3.86B---4.81B
Net intangibles purchase and sale -3.73%-6.22B2.44%-6B-11.62%-6.15B-67.67%-5.51B36.37%-3.29B-83.48%-5.16B16.50%-2.81B-3.69%-3.37B-24.19%-3.25B---2.62B
Net business purchase and sale -----------------------1.4B----------------
Net investment property transactions -44.43%91.82B-35.93%165.24B264.89%257.92B-3,391.02%-156.42B102.36%4.75B-159.47%-201.76B29.09%339.27B91.42%262.82B202.58%137.3B--45.38B
Net changes in other investments 70.61%-3.12B-797.11%-10.62B205.40%1.52B-183.96%-1.45B594.54%1.72B62.86%-348M-219.36%-937M164.31%785M29,800.00%297M---1M
Investing cash flow -46.42%77.68B-42.50%144.98B247.49%252.14B-4,662.06%-170.96B98.39%-3.59B-168.35%-222.74B28.45%325.89B94.43%253.71B243.84%130.49B--37.95B
Financing cash flow
Net common stock issuance 2,400.00%23M---1M--0---3.57B--0-229.74%-5.5B---1.67B--0--0---16M
Cash dividends paid -20.09%-7.8B-25.14%-6.5B1.54%-5.19B0.11%-5.27B2.58%-5.28B0.33%-5.42B0.33%-5.44B-0.24%-5.45B-51.98%-5.44B---3.58B
Cash dividends for minorities --054.55%-5M73.81%-11M2.33%-42M---43M--00.00%-4M55.56%-4M---9M--0
Net other fund-raising expenses ---337M----0.00%-1M0.00%-1M99.89%-1M21.85%-887M---1.14B-----2,860.00%-148M---5M
Financing cash flow -24.81%-8.12B-24.97%-6.5B41.44%-5.2B-66.95%-8.89B54.92%-5.32B-43.21%-11.81B-51.03%-8.24B2.50%-5.46B-55.46%-5.6B---3.6B
Net cash flow
Beginning cash position -0.66%2.21T-38.38%2.22T84.60%3.61T67.18%1.96T-3.25%1.17T30.88%1.21T24.65%923.71B131.06%741.05B15.75%320.71B--277.08B
Current changes in cash -2,092.22%-322.56B98.94%-14.71B-183.75%-1.39T110.52%1.65T2,102.68%785.85B-113.76%-39.24B56.17%285.24B-56.54%182.65B1,078.06%420.32B---42.98B
Effect of exchange rate changes -133.33%-3M-43.75%9M-20.00%16M33.33%20M87.50%15M-20.00%8M900.00%10M-94.74%1M26.67%19M--15M
Cash adjustments other than cash changes ------1M------------------1M-----100.00%1M--86.6B
End cash Position -14.60%1.89T-0.66%2.21T-38.38%2.22T84.60%3.61T67.18%1.96T-3.25%1.17T30.88%1.21T24.65%923.71B131.06%741.05B--320.71B
Free cash flow -147.17%-403.43B90.05%-163.22B-190.13%-1.64T131.96%1.82T346.90%784.53B486.52%175.55B39.87%-45.42B-126.21%-75.54B439.08%288.24B---85.01B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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