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ANDGF AEON DELIGHT CO

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15min DelayClose Dec 20 09:30 ET
0Market Cap0.00P/E (TTM)

AEON DELIGHT CO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Feb 29, 2024
(FY)Feb 28, 2023
(FY)Feb 28, 2022
(FY)Feb 28, 2021
(FY)Feb 29, 2020
(FY)Feb 28, 2019
(FY)Feb 28, 2018
(FY)Feb 28, 2017
(FY)Feb 29, 2016
(FY)Feb 28, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
0.01%15.58B
-4.76%15.58B
53.55%16.36B
-31.50%10.65B
18.09%15.55B
7.50%13.17B
-29.00%12.25B
4.37%17.25B
5.94%16.53B
6.91%15.6B
Other non cash items
----
134.25%100M
-193.89%-292M
119.11%311M
-40,575.00%-1.63B
-100.88%-4M
-46.98%456M
341.57%860M
-200.56%-356M
162.22%354M
Change In working capital
145.31%3.09B
-92.28%-6.82B
-92.67%-3.55B
32.39%-1.84B
-1,078.79%-2.72B
-106.38%-231M
264.13%3.62B
-0.05%-2.21B
-142.36%-2.2B
-49.72%5.2B
-Change in receivables
96.50%-379M
-376.36%-10.82B
-56,900.00%-2.27B
100.11%4M
-232.20%-3.72B
-188.27%-1.12B
169.67%1.27B
-319.37%-1.82B
151.71%831M
-122.86%-1.61B
-Change in inventory
-75.52%-502M
-384.75%-286M
67.76%-59M
-147.29%-183M
-8.29%387M
-29.67%422M
--600M
----
----
----
-Change in other current assets
----
----
123.70%164M
-149.22%-692M
128.99%1.41B
-55.25%614M
--1.37B
----
----
----
Cash from discontinued investing activities
Operating cash flow
108.18%18.52B
-29.39%8.9B
21.10%12.6B
41.13%10.4B
-40.43%7.37B
-8.81%12.37B
15.94%13.57B
13.59%11.7B
-40.22%10.3B
-19.31%17.23B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
2.89%-2.92B
-1,242.86%-3.01B
90.78%-224M
-2.92%-2.43B
-15.51%-2.36B
36.40%-2.04B
21.40%-3.21B
-77.94%-4.09B
-21.91%-2.3B
3.73%-1.89B
Net business purchase and sale
12.88%-426M
-317.95%-489M
97.40%-117M
-128.14%-4.5B
10.47%16B
5,146.69%14.48B
-104.69%-287M
748.99%6.12B
89.78%-943M
37.63%-9.22B
Net investment purchase and sale
87.05%-907M
-5,213.14%-7.01B
-62.97%137M
449.06%370M
-202.91%-106M
-39.77%103M
-74.96%171M
61.47%683M
94.04%423M
938.46%218M
Net other investing changes
69.48%-65M
-17.03%-213M
76.15%-182M
-350.16%-763M
206.27%305M
-143.22%-287M
238.05%664M
-10.07%-481M
7.81%-437M
-68.68%-474M
Cash from discontinued investing activities
Investing cash flow
59.69%-4.32B
-2,675.91%-10.72B
94.73%-386M
-152.93%-7.33B
12.91%13.84B
559.71%12.26B
-219.39%-2.67B
168.60%2.23B
71.36%-3.26B
31.67%-11.37B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
147.06%40M
-14.86%-85M
-260.87%-74M
131.51%46M
-182.49%-146M
555.56%177M
-95.03%27M
--543M
----
----
Net common stock issuance
-40.65%-2.6B
---1.85B
--0
----
----
-24,260.98%-9.91B
46.43%41M
100.00%28M
-62.16%14M
-35.09%37M
Cash dividends paid
-0.31%-4.21B
5.62%-4.2B
-31.00%-4.45B
-6.32%-3.4B
1.96%-3.2B
-8.78%-3.26B
-5.42%-3B
-6.20%-2.84B
-4.00%-2.68B
-4.42%-2.57B
Net other financing activities
-219.57%-147M
4.17%-46M
97.57%-48M
-3,768.63%-1.97B
99.24%-51M
-1,893.45%-6.7B
-160.47%-336M
18.87%-129M
-174.14%-159M
14.71%-58M
Cash from discontinued financing activities
Financing cash flow
-11.99%-6.92B
-35.19%-6.18B
14.12%-4.57B
-56.96%-5.32B
82.77%-3.39B
-503.13%-19.69B
-36.00%-3.26B
14.92%-2.4B
-8.75%-2.82B
-4.81%-2.59B
Net cash flow
Beginning cash position
-11.14%60B
14.56%67.52B
-3.62%58.94B
40.78%61.15B
12.18%43.44B
24.89%38.72B
59.22%31B
25.83%19.47B
28.67%15.48B
24.31%12.03B
Current changes in cash
190.95%7.28B
-204.73%-8B
440.16%7.64B
-112.61%-2.25B
260.45%17.82B
-35.28%4.94B
-33.79%7.64B
172.91%11.54B
29.07%4.23B
45.43%3.28B
Effect of exchange rate changes
-7.55%441M
-48.43%477M
2,790.63%925M
132.65%32M
57.02%-98M
-385.00%-228M
1,433.33%80M
97.38%-6M
-233.14%-229M
73.74%172M
End cash Position
12.86%67.71B
-11.14%60B
14.56%67.52B
-3.62%58.94B
40.78%61.15B
12.18%43.44B
24.89%38.72B
59.22%31B
25.83%19.47B
28.67%15.48B
Free cash flow
153.23%14.91B
-35.46%5.89B
14.95%9.12B
58.36%7.93B
-51.43%5.01B
-0.25%10.31B
36.23%10.34B
-3.79%7.59B
-48.54%7.89B
-20.81%15.33B
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)Feb 29, 2024(FY)Feb 28, 2023(FY)Feb 28, 2022(FY)Feb 28, 2021(FY)Feb 29, 2020(FY)Feb 28, 2019(FY)Feb 28, 2018(FY)Feb 28, 2017(FY)Feb 29, 2016(FY)Feb 28, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 0.01%15.58B-4.76%15.58B53.55%16.36B-31.50%10.65B18.09%15.55B7.50%13.17B-29.00%12.25B4.37%17.25B5.94%16.53B6.91%15.6B
Other non cash items ----134.25%100M-193.89%-292M119.11%311M-40,575.00%-1.63B-100.88%-4M-46.98%456M341.57%860M-200.56%-356M162.22%354M
Change In working capital 145.31%3.09B-92.28%-6.82B-92.67%-3.55B32.39%-1.84B-1,078.79%-2.72B-106.38%-231M264.13%3.62B-0.05%-2.21B-142.36%-2.2B-49.72%5.2B
-Change in receivables 96.50%-379M-376.36%-10.82B-56,900.00%-2.27B100.11%4M-232.20%-3.72B-188.27%-1.12B169.67%1.27B-319.37%-1.82B151.71%831M-122.86%-1.61B
-Change in inventory -75.52%-502M-384.75%-286M67.76%-59M-147.29%-183M-8.29%387M-29.67%422M--600M------------
-Change in other current assets --------123.70%164M-149.22%-692M128.99%1.41B-55.25%614M--1.37B------------
Cash from discontinued investing activities
Operating cash flow 108.18%18.52B-29.39%8.9B21.10%12.6B41.13%10.4B-40.43%7.37B-8.81%12.37B15.94%13.57B13.59%11.7B-40.22%10.3B-19.31%17.23B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 2.89%-2.92B-1,242.86%-3.01B90.78%-224M-2.92%-2.43B-15.51%-2.36B36.40%-2.04B21.40%-3.21B-77.94%-4.09B-21.91%-2.3B3.73%-1.89B
Net business purchase and sale 12.88%-426M-317.95%-489M97.40%-117M-128.14%-4.5B10.47%16B5,146.69%14.48B-104.69%-287M748.99%6.12B89.78%-943M37.63%-9.22B
Net investment purchase and sale 87.05%-907M-5,213.14%-7.01B-62.97%137M449.06%370M-202.91%-106M-39.77%103M-74.96%171M61.47%683M94.04%423M938.46%218M
Net other investing changes 69.48%-65M-17.03%-213M76.15%-182M-350.16%-763M206.27%305M-143.22%-287M238.05%664M-10.07%-481M7.81%-437M-68.68%-474M
Cash from discontinued investing activities
Investing cash flow 59.69%-4.32B-2,675.91%-10.72B94.73%-386M-152.93%-7.33B12.91%13.84B559.71%12.26B-219.39%-2.67B168.60%2.23B71.36%-3.26B31.67%-11.37B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 147.06%40M-14.86%-85M-260.87%-74M131.51%46M-182.49%-146M555.56%177M-95.03%27M--543M--------
Net common stock issuance -40.65%-2.6B---1.85B--0---------24,260.98%-9.91B46.43%41M100.00%28M-62.16%14M-35.09%37M
Cash dividends paid -0.31%-4.21B5.62%-4.2B-31.00%-4.45B-6.32%-3.4B1.96%-3.2B-8.78%-3.26B-5.42%-3B-6.20%-2.84B-4.00%-2.68B-4.42%-2.57B
Net other financing activities -219.57%-147M4.17%-46M97.57%-48M-3,768.63%-1.97B99.24%-51M-1,893.45%-6.7B-160.47%-336M18.87%-129M-174.14%-159M14.71%-58M
Cash from discontinued financing activities
Financing cash flow -11.99%-6.92B-35.19%-6.18B14.12%-4.57B-56.96%-5.32B82.77%-3.39B-503.13%-19.69B-36.00%-3.26B14.92%-2.4B-8.75%-2.82B-4.81%-2.59B
Net cash flow
Beginning cash position -11.14%60B14.56%67.52B-3.62%58.94B40.78%61.15B12.18%43.44B24.89%38.72B59.22%31B25.83%19.47B28.67%15.48B24.31%12.03B
Current changes in cash 190.95%7.28B-204.73%-8B440.16%7.64B-112.61%-2.25B260.45%17.82B-35.28%4.94B-33.79%7.64B172.91%11.54B29.07%4.23B45.43%3.28B
Effect of exchange rate changes -7.55%441M-48.43%477M2,790.63%925M132.65%32M57.02%-98M-385.00%-228M1,433.33%80M97.38%-6M-233.14%-229M73.74%172M
End cash Position 12.86%67.71B-11.14%60B14.56%67.52B-3.62%58.94B40.78%61.15B12.18%43.44B24.89%38.72B59.22%31B25.83%19.47B28.67%15.48B
Free cash flow 153.23%14.91B-35.46%5.89B14.95%9.12B58.36%7.93B-51.43%5.01B-0.25%10.31B36.23%10.34B-3.79%7.59B-48.54%7.89B-20.81%15.33B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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