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KDKWF KADOKAWA CORPORATION

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  • 17.940
  • 0.0000.00%
15min DelayClose Aug 13 16:00 ET
2.41BMarket Cap32.44P/E (TTM)

KADOKAWA CORPORATION Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
23.10%7.43B
-7.77%19.69B
607.45%6.36B
6.32%3.94B
-24.29%3.36B
-50.97%6.03B
9.73%21.35B
-83.02%899M
6.47%3.7B
-4.12%4.44B
Other non cash items
73.82%-1.1B
-374.95%-3.04B
-38.07%4.1B
-373.78%-1.23B
27.05%-1.72B
-16.13%-4.19B
-56.42%1.11B
350.34%6.62B
-22.41%450M
-205.23%-2.36B
Change In working capital
-931.97%-4.29B
-24.46%-9.4B
-291.41%-4.51B
128.23%668M
-258.54%-5.15B
84.01%-416M
-541.80%-7.55B
-119.91%-1.15B
-272.60%-2.37B
69.88%-1.44B
-Change in receivables
-35.76%3.75B
-24.42%-11.33B
-482.69%-6.61B
42.62%-5.34B
-83.04%-5.21B
343.35%5.83B
-1,500.00%-9.1B
10.28%1.73B
-142.14%-9.3B
17.50%-2.85B
-Change in inventory
-54.82%-2.81B
-252.43%-4.71B
203.64%501M
-195.36%-2.29B
-467.18%-1.11B
-241.81%-1.82B
51.99%-1.34B
116.72%165M
-415.45%-776M
78.31%-195M
-Change in other current assets
35.56%-1.4B
33.41%1.19B
14.68%-1.06B
34.44%5B
-605.17%-586M
-27.38%-2.17B
-23.95%889M
-347.42%-1.25B
-11.28%3.72B
119.17%116M
-Change in other current liabilities
-44.53%-1.14B
2,755.00%571M
166.50%549M
115.51%931M
-172.78%-123M
0.13%-786M
102.43%20M
121.51%206M
35.00%432M
138.76%169M
Cash from discontinued investing activities
Operating cash flow
61.11%-1.22B
-52.63%8.3B
-31.42%8.12B
202.13%3.13B
-74.47%179M
-179.61%-3.13B
-19.31%17.52B
-22.24%11.85B
-50.05%1.04B
-76.07%701M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-66.75%-1.3B
-11.44%-3.13B
45.08%-497M
-52.97%-927M
-75.19%-925M
-1.43%-779M
-26.96%-2.81B
-121.27%-905M
40.30%-606M
-41.55%-528M
Net intangibles purchase and sale
-33.52%-1.93B
-36.68%-5.82B
-33.25%-1.68B
-56.80%-1.59B
6.48%-1.11B
-80.73%-1.44B
-40.03%-4.26B
-36.51%-1.26B
-42.62%-1.01B
-71.18%-1.19B
Net business purchase and sale
---799M
-2,517.07%-991M
---169M
-1,947.83%-850M
----
----
122.28%41M
--0
--46M
----
Net investment purchase and sale
7,973.47%3.86B
296.72%3.75B
186.81%3.81B
127.27%9M
92.74%-17M
57.39%-49M
264.92%945M
1,205.83%1.33B
93.90%-33M
-280.00%-234M
Net other investing changes
98.94%-29M
195.20%9.69B
790.64%9.99B
314.86%7.23B
-83.30%-4.8B
48.50%-2.74B
-427.58%-10.18B
147.14%1.12B
-432.44%-3.37B
49.22%-2.62B
Cash from discontinued investing activities
Investing cash flow
96.07%-197M
121.49%3.49B
3,933.10%11.45B
177.88%3.87B
-49.21%-6.82B
28.42%-5.01B
-104.77%-16.26B
128.46%284M
-71.51%-4.97B
27.14%-4.57B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-445.45%-60M
-12,092.47%-40.48B
20.56%-255M
-2,800.00%-203M
-1,000,150.00%-40.01B
---11M
-52.29%-332M
-5,250.00%-321M
-250.00%-7M
97.22%-4M
Net common stock issuance
--0
-499,925.00%-20B
--0
-443,800.00%-4.44B
-1,174,100.00%-11.74B
-381,900.00%-3.82B
-100.01%-4M
91.67%-1M
---1M
---1M
Cash dividends paid
4.42%-4.07B
-0.33%-4.25B
--0
--0
--0
-0.33%-4.25B
-28.88%-4.24B
--0
--0
--0
Net other financing activities
----
-103.02%-1.07B
51.18%-62M
70.75%-62M
-96.32%1.32B
-928.64%-2.26B
10,222.51%35.3B
-111.67%-127M
-417.07%-212M
119,640.00%35.86B
Cash from discontinued financing activities
Financing cash flow
60.13%-4.13B
-314.14%-65.8B
29.40%-317M
-2,038.18%-4.7B
-240.65%-50.43B
-132.00%-10.35B
15.13%30.73B
-475.64%-449M
-100.74%-220M
20,707.47%35.86B
Net cash flow
Beginning cash position
-39.23%79.84B
34.65%131.39B
-50.43%59.56B
-53.35%57.95B
24.93%114.25B
34.65%131.39B
74.60%97.58B
44.92%120.15B
131.82%124.22B
60.44%91.45B
Current changes in cash
70.04%-5.54B
-268.85%-54.01B
64.89%19.26B
155.21%2.3B
-278.44%-57.08B
-145.70%-18.49B
-20.94%31.99B
-17.50%11.68B
-114.34%-4.16B
1,008.69%31.99B
Effect of exchange rate changes
3.33%1.4B
34.81%2.46B
328.92%1.02B
-853.85%-686M
-0.77%774M
-3.50%1.35B
48.05%1.82B
-187.28%-446M
-72.17%91M
650.00%780M
End cash Position
-33.75%75.7B
-39.23%79.84B
-39.23%79.84B
-50.43%59.56B
-53.35%57.95B
24.93%114.25B
34.65%131.39B
34.65%131.39B
44.92%120.15B
131.82%124.22B
Free cash flow
16.99%-4.45B
-106.26%-654M
-38.56%5.95B
204.27%610M
-82.96%-1.86B
-326.24%-5.36B
-36.50%10.45B
-30.36%9.68B
-269.08%-585M
-154.51%-1.02B
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
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 23.10%7.43B-7.77%19.69B607.45%6.36B6.32%3.94B-24.29%3.36B-50.97%6.03B9.73%21.35B-83.02%899M6.47%3.7B-4.12%4.44B
Other non cash items 73.82%-1.1B-374.95%-3.04B-38.07%4.1B-373.78%-1.23B27.05%-1.72B-16.13%-4.19B-56.42%1.11B350.34%6.62B-22.41%450M-205.23%-2.36B
Change In working capital -931.97%-4.29B-24.46%-9.4B-291.41%-4.51B128.23%668M-258.54%-5.15B84.01%-416M-541.80%-7.55B-119.91%-1.15B-272.60%-2.37B69.88%-1.44B
-Change in receivables -35.76%3.75B-24.42%-11.33B-482.69%-6.61B42.62%-5.34B-83.04%-5.21B343.35%5.83B-1,500.00%-9.1B10.28%1.73B-142.14%-9.3B17.50%-2.85B
-Change in inventory -54.82%-2.81B-252.43%-4.71B203.64%501M-195.36%-2.29B-467.18%-1.11B-241.81%-1.82B51.99%-1.34B116.72%165M-415.45%-776M78.31%-195M
-Change in other current assets 35.56%-1.4B33.41%1.19B14.68%-1.06B34.44%5B-605.17%-586M-27.38%-2.17B-23.95%889M-347.42%-1.25B-11.28%3.72B119.17%116M
-Change in other current liabilities -44.53%-1.14B2,755.00%571M166.50%549M115.51%931M-172.78%-123M0.13%-786M102.43%20M121.51%206M35.00%432M138.76%169M
Cash from discontinued investing activities
Operating cash flow 61.11%-1.22B-52.63%8.3B-31.42%8.12B202.13%3.13B-74.47%179M-179.61%-3.13B-19.31%17.52B-22.24%11.85B-50.05%1.04B-76.07%701M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -66.75%-1.3B-11.44%-3.13B45.08%-497M-52.97%-927M-75.19%-925M-1.43%-779M-26.96%-2.81B-121.27%-905M40.30%-606M-41.55%-528M
Net intangibles purchase and sale -33.52%-1.93B-36.68%-5.82B-33.25%-1.68B-56.80%-1.59B6.48%-1.11B-80.73%-1.44B-40.03%-4.26B-36.51%-1.26B-42.62%-1.01B-71.18%-1.19B
Net business purchase and sale ---799M-2,517.07%-991M---169M-1,947.83%-850M--------122.28%41M--0--46M----
Net investment purchase and sale 7,973.47%3.86B296.72%3.75B186.81%3.81B127.27%9M92.74%-17M57.39%-49M264.92%945M1,205.83%1.33B93.90%-33M-280.00%-234M
Net other investing changes 98.94%-29M195.20%9.69B790.64%9.99B314.86%7.23B-83.30%-4.8B48.50%-2.74B-427.58%-10.18B147.14%1.12B-432.44%-3.37B49.22%-2.62B
Cash from discontinued investing activities
Investing cash flow 96.07%-197M121.49%3.49B3,933.10%11.45B177.88%3.87B-49.21%-6.82B28.42%-5.01B-104.77%-16.26B128.46%284M-71.51%-4.97B27.14%-4.57B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -445.45%-60M-12,092.47%-40.48B20.56%-255M-2,800.00%-203M-1,000,150.00%-40.01B---11M-52.29%-332M-5,250.00%-321M-250.00%-7M97.22%-4M
Net common stock issuance --0-499,925.00%-20B--0-443,800.00%-4.44B-1,174,100.00%-11.74B-381,900.00%-3.82B-100.01%-4M91.67%-1M---1M---1M
Cash dividends paid 4.42%-4.07B-0.33%-4.25B--0--0--0-0.33%-4.25B-28.88%-4.24B--0--0--0
Net other financing activities -----103.02%-1.07B51.18%-62M70.75%-62M-96.32%1.32B-928.64%-2.26B10,222.51%35.3B-111.67%-127M-417.07%-212M119,640.00%35.86B
Cash from discontinued financing activities
Financing cash flow 60.13%-4.13B-314.14%-65.8B29.40%-317M-2,038.18%-4.7B-240.65%-50.43B-132.00%-10.35B15.13%30.73B-475.64%-449M-100.74%-220M20,707.47%35.86B
Net cash flow
Beginning cash position -39.23%79.84B34.65%131.39B-50.43%59.56B-53.35%57.95B24.93%114.25B34.65%131.39B74.60%97.58B44.92%120.15B131.82%124.22B60.44%91.45B
Current changes in cash 70.04%-5.54B-268.85%-54.01B64.89%19.26B155.21%2.3B-278.44%-57.08B-145.70%-18.49B-20.94%31.99B-17.50%11.68B-114.34%-4.16B1,008.69%31.99B
Effect of exchange rate changes 3.33%1.4B34.81%2.46B328.92%1.02B-853.85%-686M-0.77%774M-3.50%1.35B48.05%1.82B-187.28%-446M-72.17%91M650.00%780M
End cash Position -33.75%75.7B-39.23%79.84B-39.23%79.84B-50.43%59.56B-53.35%57.95B24.93%114.25B34.65%131.39B34.65%131.39B44.92%120.15B131.82%124.22B
Free cash flow 16.99%-4.45B-106.26%-654M-38.56%5.95B204.27%610M-82.96%-1.86B-326.24%-5.36B-36.50%10.45B-30.36%9.68B-269.08%-585M-154.51%-1.02B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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