US Stock MarketDetailed Quotes

KOTMY Koito Manufacturing (ADR)

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  • 13.600
  • 0.0000.00%
15min DelayTrading Oct 15 16:00 ET
4.02BMarket Cap18.58P/E (TTM)

Koito Manufacturing (ADR) 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
-40.02%11.29B
21.22%59.49B
-50.86%6.25B
-29.97%15.74B
39.37%18.68B
3,920.30%18.82B
-19.78%49.07B
-30.21%12.73B
31.24%22.48B
40.50%13.4B
Other non cash items
-31.75%-3.7B
108.12%279M
132.27%3.79B
125.85%273M
-242.59%-981M
40.32%-2.81B
63.65%-3.44B
157.58%1.63B
45.93%-1.06B
127.45%688M
Change In working capital
26.49%12.17B
144.43%7.16B
68.96%-4.17B
364.58%8.04B
27.42%-6.33B
5.99%9.62B
-56.90%-16.12B
-557.81%-13.44B
80.91%-3.04B
-162.38%-8.72B
-Change in receivables
-3.10%15.79B
170.06%11.99B
81.54%-4.39B
178.10%11.94B
24.43%-11.85B
-9.78%16.29B
-337.17%-17.11B
-256.99%-23.77B
122.01%4.29B
-195.03%-15.69B
-Change in inventory
-67.79%594M
292.54%5.68B
1,481.43%2.21B
355.83%1.76B
83.29%-135M
215.61%1.84B
71.06%-2.95B
1,500.00%140M
-1,529.17%-686M
91.74%-808M
-Change in other current assets
121.37%1.48B
-187.52%-2.26B
91.07%-153M
299.08%1.09B
121.74%3.71B
-318.14%-6.9B
161.28%2.58B
-223.59%-1.71B
56.99%-545M
324.10%1.67B
Cash from discontinued investing activities
Operating cash flow
-13.71%24.11B
61.26%96.37B
-0.39%15.16B
111.49%32.61B
53.00%20.67B
78.89%27.94B
-9.05%59.76B
-25.54%15.22B
200.82%15.42B
17.13%13.51B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-22.22%-12.72B
6.83%-37.12B
30.77%-8.46B
-12.18%-9.72B
22.21%-8.53B
-30.29%-10.41B
-37.68%-39.83B
-48.00%-12.22B
-17.64%-8.66B
-74.38%-10.96B
Net investment purchase and sale
128.11%2.44B
32.22%-21.37B
119.74%3.62B
-29.98%-6.56B
-148.61%-9.74B
-104.76%-8.69B
-115.70%-31.53B
-95.58%-18.32B
-2.90%-5.04B
-2,101.69%-3.92B
Net other investing changes
-1,146.92%-22.27B
4,627.72%8.33B
734.72%15.28B
-110.81%-1.17B
-191.56%-7.91B
136.30%2.13B
97.86%-184M
-6.60%-2.41B
432.45%10.8B
-281.18%-2.71B
Cash from discontinued investing activities
Investing cash flow
-91.80%-32.55B
29.89%-50.16B
138.46%10.44B
-100.23%-17.44B
-48.83%-26.19B
6.20%-16.97B
-37.18%-71.54B
-36.51%-27.14B
14.92%-8.71B
-145.21%-17.59B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
30.67%-3.63B
-272.14%-9.9B
-68.67%2.2B
-107.62%-7.76B
114.53%893M
-2,663.73%-5.23B
-322.78%-2.66B
1,612.50%7.02B
-1,244.60%-3.74B
-507.97%-6.14B
Net common stock issuance
3.01%-9.94B
-3,499,900.00%-35B
--0
--0
---24.75B
---10.25B
0.00%-1M
--0
0.00%-1M
--0
Cash dividends paid
-66.58%-7.99B
-47.77%-12.83B
-103.37%-543M
-98.83%-7.15B
-5.49%-346M
-6.72%-4.8B
-0.01%-8.69B
-0.75%-267M
0.14%-3.6B
-0.92%-328M
Net other financing activities
-301.82%-221M
29.72%-518M
85.44%-107M
---307M
---49M
---55M
-36,750.00%-737M
-73,400.00%-735M
--0
----
Cash from discontinued financing activities
Financing cash flow
-5.93%-22.78B
-349.34%-59.68B
-74.34%1.54B
-107.43%-15.22B
-266.17%-24.49B
-308.06%-21.51B
-56.41%-13.28B
917.39%6.02B
-88.95%-7.34B
-880.51%-6.69B
Net cash flow
Beginning cash position
-7.71%134.56B
-14.02%145.8B
-29.78%105.88B
-30.17%106.67B
-16.40%136.48B
-14.02%145.8B
4.77%169.58B
-10.33%150.78B
-13.33%152.77B
-4.60%163.24B
Current changes in cash
-196.18%-31.23B
46.28%-13.46B
559.56%27.15B
91.43%-54M
-178.52%-30.01B
-36.11%-10.54B
-594.73%-25.06B
-3,200.00%-5.91B
93.00%-630M
-306.66%-10.78B
Effect of exchange rate changes
-21.00%963M
74.57%2.22B
66.12%1.53B
45.80%-736M
-30.82%211M
-13.30%1.22B
-52.12%1.27B
-42.97%921M
-255.73%-1.36B
625.86%305M
End cash Position
-23.58%104.3B
-7.71%134.56B
-7.71%134.56B
-29.78%105.88B
-30.17%106.67B
-16.40%136.48B
-14.02%145.8B
-14.02%145.8B
-10.33%150.78B
-13.33%152.77B
Free cash flow
-35.05%11.38B
197.35%59.26B
123.17%6.7B
238.90%22.89B
339.66%12.14B
136.52%17.53B
-45.81%19.93B
-76.11%3B
388.22%6.75B
-44.33%2.76B
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 -40.02%11.29B21.22%59.49B-50.86%6.25B-29.97%15.74B39.37%18.68B3,920.30%18.82B-19.78%49.07B-30.21%12.73B31.24%22.48B40.50%13.4B
Other non cash items -31.75%-3.7B108.12%279M132.27%3.79B125.85%273M-242.59%-981M40.32%-2.81B63.65%-3.44B157.58%1.63B45.93%-1.06B127.45%688M
Change In working capital 26.49%12.17B144.43%7.16B68.96%-4.17B364.58%8.04B27.42%-6.33B5.99%9.62B-56.90%-16.12B-557.81%-13.44B80.91%-3.04B-162.38%-8.72B
-Change in receivables -3.10%15.79B170.06%11.99B81.54%-4.39B178.10%11.94B24.43%-11.85B-9.78%16.29B-337.17%-17.11B-256.99%-23.77B122.01%4.29B-195.03%-15.69B
-Change in inventory -67.79%594M292.54%5.68B1,481.43%2.21B355.83%1.76B83.29%-135M215.61%1.84B71.06%-2.95B1,500.00%140M-1,529.17%-686M91.74%-808M
-Change in other current assets 121.37%1.48B-187.52%-2.26B91.07%-153M299.08%1.09B121.74%3.71B-318.14%-6.9B161.28%2.58B-223.59%-1.71B56.99%-545M324.10%1.67B
Cash from discontinued investing activities
Operating cash flow -13.71%24.11B61.26%96.37B-0.39%15.16B111.49%32.61B53.00%20.67B78.89%27.94B-9.05%59.76B-25.54%15.22B200.82%15.42B17.13%13.51B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -22.22%-12.72B6.83%-37.12B30.77%-8.46B-12.18%-9.72B22.21%-8.53B-30.29%-10.41B-37.68%-39.83B-48.00%-12.22B-17.64%-8.66B-74.38%-10.96B
Net investment purchase and sale 128.11%2.44B32.22%-21.37B119.74%3.62B-29.98%-6.56B-148.61%-9.74B-104.76%-8.69B-115.70%-31.53B-95.58%-18.32B-2.90%-5.04B-2,101.69%-3.92B
Net other investing changes -1,146.92%-22.27B4,627.72%8.33B734.72%15.28B-110.81%-1.17B-191.56%-7.91B136.30%2.13B97.86%-184M-6.60%-2.41B432.45%10.8B-281.18%-2.71B
Cash from discontinued investing activities
Investing cash flow -91.80%-32.55B29.89%-50.16B138.46%10.44B-100.23%-17.44B-48.83%-26.19B6.20%-16.97B-37.18%-71.54B-36.51%-27.14B14.92%-8.71B-145.21%-17.59B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 30.67%-3.63B-272.14%-9.9B-68.67%2.2B-107.62%-7.76B114.53%893M-2,663.73%-5.23B-322.78%-2.66B1,612.50%7.02B-1,244.60%-3.74B-507.97%-6.14B
Net common stock issuance 3.01%-9.94B-3,499,900.00%-35B--0--0---24.75B---10.25B0.00%-1M--00.00%-1M--0
Cash dividends paid -66.58%-7.99B-47.77%-12.83B-103.37%-543M-98.83%-7.15B-5.49%-346M-6.72%-4.8B-0.01%-8.69B-0.75%-267M0.14%-3.6B-0.92%-328M
Net other financing activities -301.82%-221M29.72%-518M85.44%-107M---307M---49M---55M-36,750.00%-737M-73,400.00%-735M--0----
Cash from discontinued financing activities
Financing cash flow -5.93%-22.78B-349.34%-59.68B-74.34%1.54B-107.43%-15.22B-266.17%-24.49B-308.06%-21.51B-56.41%-13.28B917.39%6.02B-88.95%-7.34B-880.51%-6.69B
Net cash flow
Beginning cash position -7.71%134.56B-14.02%145.8B-29.78%105.88B-30.17%106.67B-16.40%136.48B-14.02%145.8B4.77%169.58B-10.33%150.78B-13.33%152.77B-4.60%163.24B
Current changes in cash -196.18%-31.23B46.28%-13.46B559.56%27.15B91.43%-54M-178.52%-30.01B-36.11%-10.54B-594.73%-25.06B-3,200.00%-5.91B93.00%-630M-306.66%-10.78B
Effect of exchange rate changes -21.00%963M74.57%2.22B66.12%1.53B45.80%-736M-30.82%211M-13.30%1.22B-52.12%1.27B-42.97%921M-255.73%-1.36B625.86%305M
End cash Position -23.58%104.3B-7.71%134.56B-7.71%134.56B-29.78%105.88B-30.17%106.67B-16.40%136.48B-14.02%145.8B-14.02%145.8B-10.33%150.78B-13.33%152.77B
Free cash flow -35.05%11.38B197.35%59.26B123.17%6.7B238.90%22.89B339.66%12.14B136.52%17.53B-45.81%19.93B-76.11%3B388.22%6.75B-44.33%2.76B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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