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7467 Hagiwara Electric Holdings

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  • 3255
  • -15-0.46%
20min DelayTrading Nov 18 11:30 JST
32.93BMarket Cap7.09P/E (Static)

Hagiwara Electric Holdings 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
(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
172.00%7.94B
-193.01%-11.03B
-264.12%-3.77B
-19.85%2.29B
109.52%2.86B
294.31%1.37B
-134.89%-703M
13.01%2.02B
49.58%1.78B
4.84%1.19B
Net profit before non-cash adjustment
1.73%7.23B
61.50%7.11B
22.54%4.4B
-12.09%3.59B
-3.97%4.09B
18.52%4.26B
13.42%3.59B
8.20%3.17B
2.09%2.93B
16.74%2.87B
Total adjustment of non-cash items
-67.28%373M
228.52%1.14B
-574.33%-887M
349.33%187M
-109.34%-75M
1,000.00%803M
-86.61%73M
1,803.13%545M
-108.63%-32M
-23.98%371M
-Depreciation and amortization
19.73%352M
4.26%294M
14.17%282M
14.88%247M
15.59%215M
8.14%186M
-10.88%172M
-1.03%193M
-6.70%195M
-42.58%209M
-Reversal of impairment losses recognized in profit and loss
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----
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--5M
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-Assets reserve and write-off
----
----
----
----
----
----
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-131.58%-6M
105.57%19M
-Disposal profit
111.11%19M
113.24%9M
23.60%-68M
-523.81%-89M
290.91%21M
50.00%-11M
83.82%-22M
-2,166.67%-136M
-300.00%-6M
-72.73%3M
-Pension and employee benefit expenses
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----
----
----
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49.60%-63M
---125M
-Other non-cash items
-99.76%2M
176.02%837M
-3,896.55%-1.1B
109.32%29M
-149.52%-311M
915.58%628M
-115.94%-77M
417.76%483M
-157.36%-152M
-41.63%265M
Changes in working capital
101.75%338M
-164.82%-19.29B
-390.77%-7.28B
-29.04%-1.48B
68.86%-1.15B
15.36%-3.69B
-157.40%-4.36B
-52.57%-1.7B
45.67%-1.11B
-13.23%-2.05B
-Change in receivables
96.51%-410M
-378.67%-11.76B
172.13%4.22B
-1,956.83%-5.85B
112.23%315M
-15.93%-2.58B
35.11%-2.22B
-1,004.52%-3.42B
80.96%-310M
13.86%-1.63B
-Change in inventory
7.61%-7.26B
34.90%-7.86B
-2,945.99%-12.07B
116.90%424M
-70.10%-2.51B
25.32%-1.48B
-588.15%-1.98B
79.25%-287M
-48.07%-1.38B
-30.81%-934M
-Change in payables
2,081.40%8.09B
-31.80%371M
-86.29%544M
259.33%3.97B
186.01%1.1B
435.65%386M
-105.47%-115M
261.51%2.1B
12.57%582M
-35.21%517M
-Provision for loans, leases and other losses
-163.46%-33M
-43.48%52M
453.85%92M
56.67%-26M
-114.29%-60M
45.10%-28M
-264.29%-51M
---14M
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----
-Changes in other current assets
44.33%-54M
-36.62%-97M
---71M
--0
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----
----
---74M
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Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-79.17%-258M
-251.22%-144M
-41.38%-41M
42.00%-29M
-19.05%-50M
-10.53%-42M
0.00%-38M
22.45%-38M
2.00%-49M
7.41%-50M
Interest received (cash flow from operating activities)
-21.88%25M
-8.57%32M
29.63%35M
28.57%27M
-27.59%21M
26.09%29M
9.52%23M
-8.70%21M
43.75%23M
6.67%16M
Tax refund paid
-37.26%-2.58B
-65.43%-1.88B
19.29%-1.13B
19.25%-1.41B
-86.50%-1.74B
15.95%-933M
-11.67%-1.11B
-3.22%-994M
17.20%-963M
-27.80%-1.16B
Other operating cash inflow (outflow)
-1M
0
0
0
0.00%-1M
0.00%-1M
0.00%-1M
0.00%-1M
-1M
0
Operating cash flow
139.43%5.13B
-165.44%-13.02B
-652.99%-4.91B
-18.77%887M
160.62%1.09B
122.91%419M
-282.35%-1.83B
26.48%1B
15,960.00%793M
-102.67%-5M
Investing cash flow
Net PPE purchase and sale
-185.27%-368M
-67.53%-129M
31.86%-77M
7.38%-113M
22.29%-122M
-118.06%-157M
-197.30%-72M
221.31%74M
-8.93%-61M
23.29%-56M
Net intangibles purchase and sale
-35.58%-141M
-15.56%-104M
-66.67%-90M
-28.57%-54M
71.43%-42M
-267.50%-147M
2.44%-40M
-64.00%-41M
69.88%-25M
-88.64%-83M
Net business purchase and sale
--0
---1.21B
--0
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Net investment product transactions
-71.17%32M
2,675.00%111M
-96.30%4M
289.47%108M
51.28%-57M
-144.83%-117M
209.66%261M
-72.46%-238M
-50.00%-138M
-170.77%-92M
Net changes in other investments
-5,150.00%-202M
150.00%4M
20.00%-8M
81.13%-10M
-488.89%-53M
62.50%-9M
-108.05%-24M
519.72%298M
-914.29%-71M
36.36%-7M
Investing cash flow
48.83%-679M
-676.02%-1.33B
-147.83%-171M
74.82%-69M
36.28%-274M
-444.00%-430M
34.41%125M
131.53%93M
-23.95%-295M
-12,000.00%-238M
Financing cash flow
Net issuance payments of debt
-115.38%-2.71B
292.88%17.6B
124.00%4.48B
357.67%2B
146.54%437M
-139.72%-939M
1,027.06%2.36B
-151.00%-255M
220.51%500M
134.98%156M
Net common stock issuance
--3.46B
--0
--0
-12.50%14M
-98.22%16M
-26.33%898M
457.48%1.22B
---341M
--0
--0
Cash dividends paid
-67.48%-1.78B
-33.29%-1.06B
-6.28%-796M
19.38%-749M
-2.43%-929M
-31.26%-907M
-20.17%-691M
1.20%-575M
-21.25%-582M
-56.86%-480M
Cash dividends for minorities
0.00%-34M
0.00%-34M
---34M
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Net other fund-raising expenses
-54.12%-131M
1.16%-85M
14.00%-86M
-132.56%-100M
-102.17%-43M
9,552.38%1.99B
27.59%-21M
3.33%-29M
9.09%-30M
-22.22%-33M
Financing cash flow
-107.22%-1.19B
360.75%16.42B
205.92%3.56B
324.47%1.17B
-150.05%-519M
-63.88%1.04B
339.25%2.87B
-971.43%-1.2B
68.63%-112M
-130.43%-357M
Net cash flow
Beginning cash position
28.38%10.92B
-12.43%8.51B
25.28%9.71B
3.26%7.75B
14.80%7.51B
21.67%6.54B
-3.03%5.38B
6.74%5.54B
-7.86%5.19B
39.19%5.64B
Current changes in cash
57.67%3.27B
237.17%2.07B
-176.25%-1.51B
563.21%1.98B
-70.86%299M
-12.08%1.03B
1,222.12%1.17B
-126.94%-104M
164.33%386M
-144.05%-600M
Effect of exchange rate changes
-2.65%331M
11.84%340M
1,421.74%304M
55.77%-23M
8.77%-52M
-2,750.00%-57M
96.88%-2M
-77.78%-64M
-122.93%-36M
-29.91%157M
Cash adjustments other than cash changes
--1M
----
--1M
----
-100.00%-2M
---1M
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End cash Position
32.99%14.52B
28.38%10.92B
-12.43%8.51B
25.28%9.71B
3.26%7.75B
14.80%7.51B
21.67%6.54B
-3.03%5.38B
6.74%5.54B
-7.86%5.19B
Free cash flow
134.90%4.63B
-160.78%-13.25B
-815.77%-5.08B
-23.41%710M
706.09%927M
105.92%115M
-341.12%-1.94B
13.86%805M
590.97%707M
-305.71%-144M
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, 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(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 172.00%7.94B-193.01%-11.03B-264.12%-3.77B-19.85%2.29B109.52%2.86B294.31%1.37B-134.89%-703M13.01%2.02B49.58%1.78B4.84%1.19B
Net profit before non-cash adjustment 1.73%7.23B61.50%7.11B22.54%4.4B-12.09%3.59B-3.97%4.09B18.52%4.26B13.42%3.59B8.20%3.17B2.09%2.93B16.74%2.87B
Total adjustment of non-cash items -67.28%373M228.52%1.14B-574.33%-887M349.33%187M-109.34%-75M1,000.00%803M-86.61%73M1,803.13%545M-108.63%-32M-23.98%371M
-Depreciation and amortization 19.73%352M4.26%294M14.17%282M14.88%247M15.59%215M8.14%186M-10.88%172M-1.03%193M-6.70%195M-42.58%209M
-Reversal of impairment losses recognized in profit and loss ------------------------------5M--------
-Assets reserve and write-off ---------------------------------131.58%-6M105.57%19M
-Disposal profit 111.11%19M113.24%9M23.60%-68M-523.81%-89M290.91%21M50.00%-11M83.82%-22M-2,166.67%-136M-300.00%-6M-72.73%3M
-Pension and employee benefit expenses --------------------------------49.60%-63M---125M
-Other non-cash items -99.76%2M176.02%837M-3,896.55%-1.1B109.32%29M-149.52%-311M915.58%628M-115.94%-77M417.76%483M-157.36%-152M-41.63%265M
Changes in working capital 101.75%338M-164.82%-19.29B-390.77%-7.28B-29.04%-1.48B68.86%-1.15B15.36%-3.69B-157.40%-4.36B-52.57%-1.7B45.67%-1.11B-13.23%-2.05B
-Change in receivables 96.51%-410M-378.67%-11.76B172.13%4.22B-1,956.83%-5.85B112.23%315M-15.93%-2.58B35.11%-2.22B-1,004.52%-3.42B80.96%-310M13.86%-1.63B
-Change in inventory 7.61%-7.26B34.90%-7.86B-2,945.99%-12.07B116.90%424M-70.10%-2.51B25.32%-1.48B-588.15%-1.98B79.25%-287M-48.07%-1.38B-30.81%-934M
-Change in payables 2,081.40%8.09B-31.80%371M-86.29%544M259.33%3.97B186.01%1.1B435.65%386M-105.47%-115M261.51%2.1B12.57%582M-35.21%517M
-Provision for loans, leases and other losses -163.46%-33M-43.48%52M453.85%92M56.67%-26M-114.29%-60M45.10%-28M-264.29%-51M---14M--------
-Changes in other current assets 44.33%-54M-36.62%-97M---71M--0---------------74M--------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -79.17%-258M-251.22%-144M-41.38%-41M42.00%-29M-19.05%-50M-10.53%-42M0.00%-38M22.45%-38M2.00%-49M7.41%-50M
Interest received (cash flow from operating activities) -21.88%25M-8.57%32M29.63%35M28.57%27M-27.59%21M26.09%29M9.52%23M-8.70%21M43.75%23M6.67%16M
Tax refund paid -37.26%-2.58B-65.43%-1.88B19.29%-1.13B19.25%-1.41B-86.50%-1.74B15.95%-933M-11.67%-1.11B-3.22%-994M17.20%-963M-27.80%-1.16B
Other operating cash inflow (outflow) -1M0000.00%-1M0.00%-1M0.00%-1M0.00%-1M-1M0
Operating cash flow 139.43%5.13B-165.44%-13.02B-652.99%-4.91B-18.77%887M160.62%1.09B122.91%419M-282.35%-1.83B26.48%1B15,960.00%793M-102.67%-5M
Investing cash flow
Net PPE purchase and sale -185.27%-368M-67.53%-129M31.86%-77M7.38%-113M22.29%-122M-118.06%-157M-197.30%-72M221.31%74M-8.93%-61M23.29%-56M
Net intangibles purchase and sale -35.58%-141M-15.56%-104M-66.67%-90M-28.57%-54M71.43%-42M-267.50%-147M2.44%-40M-64.00%-41M69.88%-25M-88.64%-83M
Net business purchase and sale --0---1.21B--0----------------------------
Net investment product transactions -71.17%32M2,675.00%111M-96.30%4M289.47%108M51.28%-57M-144.83%-117M209.66%261M-72.46%-238M-50.00%-138M-170.77%-92M
Net changes in other investments -5,150.00%-202M150.00%4M20.00%-8M81.13%-10M-488.89%-53M62.50%-9M-108.05%-24M519.72%298M-914.29%-71M36.36%-7M
Investing cash flow 48.83%-679M-676.02%-1.33B-147.83%-171M74.82%-69M36.28%-274M-444.00%-430M34.41%125M131.53%93M-23.95%-295M-12,000.00%-238M
Financing cash flow
Net issuance payments of debt -115.38%-2.71B292.88%17.6B124.00%4.48B357.67%2B146.54%437M-139.72%-939M1,027.06%2.36B-151.00%-255M220.51%500M134.98%156M
Net common stock issuance --3.46B--0--0-12.50%14M-98.22%16M-26.33%898M457.48%1.22B---341M--0--0
Cash dividends paid -67.48%-1.78B-33.29%-1.06B-6.28%-796M19.38%-749M-2.43%-929M-31.26%-907M-20.17%-691M1.20%-575M-21.25%-582M-56.86%-480M
Cash dividends for minorities 0.00%-34M0.00%-34M---34M----------------------------
Net other fund-raising expenses -54.12%-131M1.16%-85M14.00%-86M-132.56%-100M-102.17%-43M9,552.38%1.99B27.59%-21M3.33%-29M9.09%-30M-22.22%-33M
Financing cash flow -107.22%-1.19B360.75%16.42B205.92%3.56B324.47%1.17B-150.05%-519M-63.88%1.04B339.25%2.87B-971.43%-1.2B68.63%-112M-130.43%-357M
Net cash flow
Beginning cash position 28.38%10.92B-12.43%8.51B25.28%9.71B3.26%7.75B14.80%7.51B21.67%6.54B-3.03%5.38B6.74%5.54B-7.86%5.19B39.19%5.64B
Current changes in cash 57.67%3.27B237.17%2.07B-176.25%-1.51B563.21%1.98B-70.86%299M-12.08%1.03B1,222.12%1.17B-126.94%-104M164.33%386M-144.05%-600M
Effect of exchange rate changes -2.65%331M11.84%340M1,421.74%304M55.77%-23M8.77%-52M-2,750.00%-57M96.88%-2M-77.78%-64M-122.93%-36M-29.91%157M
Cash adjustments other than cash changes --1M------1M-----100.00%-2M---1M----------------
End cash Position 32.99%14.52B28.38%10.92B-12.43%8.51B25.28%9.71B3.26%7.75B14.80%7.51B21.67%6.54B-3.03%5.38B6.74%5.54B-7.86%5.19B
Free cash flow 134.90%4.63B-160.78%-13.25B-815.77%-5.08B-23.41%710M706.09%927M105.92%115M-341.12%-1.94B13.86%805M590.97%707M-305.71%-144M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Price Target

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