(FY)2024/03/31 | (FY)2023/03/31 | (FY)2022/03/31 | (FY)2021/03/31 | (FY)2020/03/31 | (FY)2019/03/31 | (FY)2018/03/31 | (FY)2017/03/31 | (FY)2016/03/31 | (FY)2015/03/31 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | -135.84%-4.98億 | 22.83%13.88億 | -49.85%11.3億 | 450.85%22.54億 | 79.73%-6.42億 | -436.36%-31.7億 | -68.59%9.42億 | -10.83%30億 | -6.24%33.65億 | -8.02%35.89億 |
扣除非現金調整前淨利潤 | 117.94%15.96億 | 251.26%7.32億 | -88.27%2.09億 | 484.21%17.78億 | 69.81%-4.63億 | -391.35%-15.32億 | -88.03%5.26億 | 100.39%43.95億 | 10.82%21.93億 | -53.11%19.79億 |
非現金項目調整總額 | -533.39%-12.53億 | -115.86%-1.98億 | 148.93%12.47億 | -39.95%5.01億 | -8.21%8.34億 | 51.64%9.09億 | 140.26%6億 | -227.78%-14.89億 | 24.49%11.65億 | 354.77%9.36億 |
-折舊與攤銷 | -3.17%2.32億 | -9.75%2.4億 | -13.59%2.66億 | -35.17%3.07億 | 21.51%4.74億 | -1.56%3.9億 | -50.92%3.96億 | -8.89%8.08億 | 66.33%8.87億 | 199.62%5.33億 |
-在損益中確認的減值損失回撥 | --0 | -109.89%-3,129.5萬 | 24.52%3.17億 | 2,758.71%2.54億 | -98.31%889.3萬 | 99.63%5.26億 | 1,830.29%2.63億 | -92.57%1,363.8萬 | 15.57%1.83億 | 48,790.49%1.59億 |
-聯營企業份額 | 115.58%6,069.3萬 | -22.92%2,815.4萬 | -27.52%3,652.7萬 | 446.28%5,039.7萬 | -75.60%-1,455.4萬 | 38.31%-828.8萬 | 64.09%-1,343.6萬 | -167.25%-3,741.8萬 | -89.79%-1,400.1萬 | -92.56%-737.7萬 |
-處置利潤 | -17,108.85%-15.41億 | -98.52%906.2萬 | 10,159.76%6.13億 | -103.80%-609.6萬 | 906.23%1.6億 | -59.50%1,594.7萬 | 101.65%3,937.7萬 | -2,586.83%-23.88億 | -53.38%9,601.6萬 | 851.71%2.06億 |
-匯兌損益淨額 | -12.92%-792萬 | 34.44%-701.4萬 | -1,220.74%-1,069.8萬 | -108.90%-81萬 | 139.45%910萬 | -493.50%-2,306.7萬 | 908.95%586.2萬 | 95.62%58.1萬 | 149.34%29.7萬 | 88.39%-60.2萬 |
-其他非現金項目 | 100.81%355萬 | -1,773.02%-4.36億 | 125.07%2,608.9萬 | -153.00%-1.04億 | 2,143.89%1.96億 | 109.51%875.1萬 | -180.58%-9,197.6萬 | 789.04%1.14億 | -72.22%1,283.9萬 | 196.18%4,621.3萬 |
營運資本變動 | -198.50%-8.41億 | 362.13%8.54億 | -1,204.19%-3.26億 | 97.54%-2,497萬 | 60.18%-10.14億 | -1,290.94%-25.47億 | -294.81%-1.83億 | 1,415.32%9,398萬 | -99.08%620.2萬 | 228.23%6.74億 |
-應收款(增)減 | -244.69%-7.31億 | 16.81%5.05億 | 163.95%4.33億 | -28.10%-6.77億 | -467.34%-5.28億 | 86.23%-9,310.2萬 | -424.15%-6.76億 | 122.78%2.09億 | -298.14%-9.15億 | 7,120.76%4.62億 |
-預付費用(增)減 | -389.73%-7,605.1萬 | 148.97%2,624.9萬 | -364.08%-5,359.7萬 | 95.47%-1,154.9萬 | -8.09%-2.55億 | -689.70%-2.36億 | --3,998.8萬 | ---- | ---- | ---- |
-應付款(減)增 | 156.14%3.79億 | -1,414.66%-6.75億 | -78.06%5,131.8萬 | 81.39%2.34億 | 368.62%1.29億 | -106.33%-4,800.3萬 | 428.53%7.58億 | -80.77%1.44億 | 260.42%7.46億 | 138.15%2.07億 |
-應計費用(減)增 | 73.26%-1,042.8萬 | -37.59%-3,900.2萬 | -1,701.47%-2,834.6萬 | 109.72%177萬 | -106.50%-1,820.9萬 | 16,681.98%2.8億 | --167萬 | ---- | ---- | ---- |
-貸款、租賃及其他損失準備金 | ---- | ---- | ---- | 99.03%-70.3萬 | -232.62%-7,239.4萬 | 625.20%5,458.6萬 | 303.49%752.7萬 | -103.63%-369.9萬 | 87.26%1.02億 | 267.82%5,439.3萬 |
-其他流動資產變動 | -508.36%-4.56億 | 70.49%-7,495.7萬 | -180.83%-2.54億 | 159.71%3.14億 | 80.12%-5.26億 | -4,204.05%-26.48億 | 80.42%-6,152.9萬 | -2,275.27%-3.14億 | -45.39%1,444.7萬 | 115.21%2,645.6萬 |
-其他流動負債變動 | -95.12%5,421.4萬 | 334.45%11.11億 | -515.70%-4.74億 | -55.65%1.14億 | 78.78%2.57億 | 156.75%1.44億 | -522.76%-2.53億 | 1.78%5,990.7萬 | 177.20%5,886.2萬 | -146.98%-7,624.4萬 |
已付股息(經營活動產生的現金流) | ||||||||||
已收到的股息(經營活動產生的現金流) | ||||||||||
已付利息(經營活動產生的現金流) | -81.47%-3,690.5萬 | 51.78%-2,033.7萬 | -52.05%-4,217.7萬 | -10.33%-2,773.9萬 | -132.49%-2,514.1萬 | -1,248.38%-1,081.4萬 | -62.35%-80.2萬 | -49.4萬 | ||
已收到的利息(經營活動產生的現金流) | 1.83%8,710.1萬 | 49.70%8,553.6萬 | 470.09%5,714萬 | 747.25%1,002.3萬 | 430.49%118.3萬 | 14.36%22.3萬 | 36.36%19.5萬 | -89.54%14.3萬 | 36.56%136.7萬 | 51.21%100.1萬 |
已支付退稅 | 56.46%6,147.3萬 | 109.26%3,928.9萬 | -1,036.90%-4.24億 | 140.63%4,527.1萬 | 36.32%-1.11億 | 84.68%-1.75億 | -15.62%-11.42億 | -215.96%-9.88億 | 82.40%-3.13億 | -171.69%-17.76億 |
其他經營現金流入(流出) | 0 | 362.02%9,930.9萬 | -125.11%-3,790.2萬 | 13,459.38%1.51億 | -946.30%-113萬 | -100.44%-10.8萬 | 122.72%2,481.3萬 | -917.91%-1.09億 | -211.14%-1,072.8萬 | 168.85%965.3萬 |
經營活動現金淨額 | -124.24%-3.86億 | 133.04%15.92億 | -71.91%6.83億 | 412.28%24.32億 | 76.79%-7.79億 | -1,809.06%-33.55億 | -109.24%-1.76億 | -37.47%19.03億 | 66.88%30.43億 | -43.63%18.23億 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | -262.52%-3,330.5萬 | 95.32%-918.7萬 | -102.14%-1.96億 | 25.09%-9,718.9萬 | 85.35%-1.3億 | -123.99%-8.86億 | -187.72%-3.96億 | -67.58%-1.37億 | -119.89%-8,203.1萬 | 86.01%-3,730.6萬 |
無形資產交易淨額 | 86.67%-312.8萬 | 94.53%-2,346.8萬 | -1,696.35%-4.29億 | 42.89%-2,387.7萬 | -117.68%-4,180.9萬 | 26.35%-1,920.7萬 | 77.92%-2,608萬 | 83.48%-1.18億 | 57.32%-7.15億 | -322.07%-16.75億 |
業務交易淨額 | 2,057.00%8.86億 | -105.21%-4,526.6萬 | 774.61%8.69億 | -146.51%-1.29億 | 144.61%2.77億 | -80.16%-6.21億 | -111.58%-3.45億 | 5,413.47%29.77億 | 536.40%5,400萬 | -110.31%-1,237.4萬 |
投資物業交易淨額 | -453.96%-30.3億 | ---5.47億 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
投資產品交易淨額 | 78.21%-3,400萬 | 90.97%-1.56億 | -1,259.20%-17.28億 | 86.04%-1.27億 | -27.15%-9.11億 | -240.14%-7.16億 | 44.80%-2.11億 | ---3.82億 | ---- | ---- |
向其他方提供的預付現金及貸款 | --0 | 87.92%-139.4萬 | -118.64%-1,154.4萬 | 92.23%-528萬 | 50.76%-6,799.5萬 | 60.64%-1.38億 | ---3.51億 | ---- | ---- | ---- |
償還對其他方提供的預付款及貸款產生的現金收入 | 28.09%1,000萬 | -78.06%780.7萬 | -63.39%3,558.9萬 | 513.54%9,720.9萬 | --1,584.4萬 | ---- | ---- | ---- | ---- | ---- |
已收到的股息(投資活動產生的現金流) | 694.36%6.09億 | -59.48%7,662.8萬 | 58.23%1.89億 | 18.81%1.2億 | 46.74%1.01億 | 601.23%6,855.9萬 | --977.7萬 | ---- | -72.94%1,197.9萬 | --4,426.9萬 |
其他投資變動淨額 | -310.73%-4,431.4萬 | -19.01%-1,078.9萬 | -103.80%-906.6萬 | 332.76%2.38億 | 57.90%-1.02億 | -19.32%-2.43億 | -170.11%-2.04億 | -371.06%-7,545.6萬 | 887.02%2,783.7萬 | 94.04%-353.7萬 |
投資活動現金淨額 | -131.47%-16.4億 | 44.66%-7.09億 | -1,861.36%-12.81億 | 108.46%7,270.8萬 | 66.37%-8.59億 | -67.91%-25.55億 | -167.20%-15.22億 | 421.98%22.65億 | 58.24%-7.03億 | -161.84%-16.84億 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | 424.45%11.49億 | 48.89%-3.54億 | 45.96%-6.93億 | -169.16%-12.82億 | -81.88%18.54億 | 1,616.87%102.34億 | 936.65%5.96億 | ---7,125萬 | ---- | ---- |
普通股發行/回購的淨額 | -816,986.11%-5.88億 | ---7.2萬 | --0 | 89.01%689.7萬 | 100.17%364.9萬 | -29,717.43%-21.51億 | -77.46%726.4萬 | 458.98%3,222.5萬 | 598.79%576.5萬 | -93.81%82.5萬 |
已支付現金股息 | ---- | ---- | ---- | ---- | ---- | 99.89%-19.9萬 | 0.13%-1.81億 | -0.61%-1.81億 | 20.07%-1.8億 | -32.79%-2.25億 |
其他籌資費用淨額 | 31.43%1,131.6萬 | --861萬 | ---- | -108.04%-429.8萬 | -86.36%5,347.9萬 | 254.66%3.92億 | 2,185.28%1.11億 | 181.05%483.7萬 | -100.48%-596.8萬 | 5,272.68%12.36億 |
融資活動現金淨額 | 265.51%5.72億 | 50.13%-3.46億 | 45.85%-6.93億 | -166.95%-12.8億 | -77.45%19.11億 | 1,489.01%84.75億 | 348.08%5.33億 | -19.50%-2.15億 | -117.77%-1.8億 | 419.23%10.12億 |
現金淨流量 | ||||||||||
期初現金流 | 4.14%136.07億 | -8.99%130.66億 | 9.33%143.57億 | 2.10%131.32億 | 26.59%128.61億 | -10.32%101.6億 | 53.56%113.29億 | 41.35%73.78億 | 27.42%52.2億 | 131.09%40.96億 |
現金變動 | -370.40%-14.54億 | 141.67%5.38億 | -205.33%-12.9億 | 348.39%12.25億 | -89.34%2.73億 | 320.26%25.64億 | -129.46%-11.64億 | 83.03%39.52億 | 87.61%21.6億 | -49.38%11.51億 |
匯率變動影響 | 28.92%388.7萬 | 507.43%301.5萬 | -221.74%-74萬 | 91.29%-23萬 | -165.50%-264.1萬 | 173.46%403.2萬 | -674.19%-548.9萬 | 49.21%-70.9萬 | 81.50%-139.6萬 | -199.34%-754.5萬 |
現金變動之外的其他現金調整 | ---1,000 | ---- | ---1,000 | ---- | -100.00%-3,000 | 13,338,800.00%1.33億 | -200.00%-1,000 | 150.00%1,000 | 99.99%-2,000 | -147.98%-2,016萬 |
期末現金 | -10.66%121.56億 | 4.14%136.07億 | -8.99%130.66億 | 9.33%143.57億 | 2.10%131.32億 | 26.59%128.61億 | -10.32%101.6億 | 53.56%113.29億 | 41.35%73.78億 | 27.42%52.2億 |
自由現金流 | -127.27%-4.24億 | 3,978.17%15.55億 | -98.35%3,813.6萬 | 342.19%23.11億 | 77.60%-9.54億 | -613.23%-42.6億 | -136.26%-5.97億 | -25.86%16.47億 | 1,910.23%22.22億 | -95.70%1.11億 |
貨幣單位 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 | 日元 |
會計準則 | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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