(FY)2024/06/30 | (FY)2023/06/30 | (FY)2022/06/30 | (FY)2021/06/30 | (FY)2020/06/30 | (FY)2019/06/30 | (FY)2018/06/30 | (FY)2017/06/30 | (FY)2016/06/30 | (FY)2015/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
經營活動現金流量(間接法) | ||||||||||
經營活動產生的現金 | -48.34%2.41億 | 226.96%4.66億 | -206.90%-3.67億 | 152.90%3.43億 | -41.26%1.36億 | -4.69%2.31億 | -49.76%2.42億 | -37.29%4.83億 | 7,828.12%7.7億 | -97.45%970.6萬 |
扣除非現金調整前淨利潤 | -230.09%-6,476.2萬 | 374.88%4,978.2萬 | -39.25%1,048.3萬 | -62.74%1,725.7萬 | 90.82%4,630.9萬 | 144.42%2,426.9萬 | -147.36%-5,463.1萬 | -32.31%1.15億 | 13.69%1.7億 | -17.21%1.5億 |
非現金項目調整總額 | 8.19%1.24億 | -35.34%1.14億 | 12.88%1.77億 | 10.44%1.57億 | -20.60%1.42億 | -11.03%1.79億 | -16.35%2.01億 | -17.79%2.4億 | 1,714.11%2.92億 | -91.96%1,609.8萬 |
-折舊與攤銷 | -3.45%1.11億 | -6.53%1.15億 | -2.31%1.23億 | -16.45%1.26億 | -1.68%1.51億 | -11.87%1.54億 | -21.78%1.74億 | -7.41%2.23億 | 35.59%2.41億 | -8.73%1.78億 |
-在損益中確認的減值損失回撥 | -5.14%586.9萬 | --618.7萬 | --0 | 1,001.32%7,511萬 | -60.75%682萬 | --1,737.6萬 | ---- | ---- | 662.52%1,239.1萬 | --162.5萬 |
-資產準備金與勾銷 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 82.74%1,307.3萬 | 216.72%715.4萬 |
-處置利潤 | --895.9萬 | --0 | ---- | ---- | ---- | --1,027.4萬 | ---- | ---167.4萬 | ---- | ---- |
-其他非現金項目 | 65.79%-245萬 | -113.39%-716.2萬 | 219.54%5,347.3萬 | -177.51%-4,473.2萬 | -491.74%-1,611.9萬 | -110.33%-272.4萬 | 40.89%2,637.1萬 | -27.13%1,871.7萬 | 115.08%2,568.7萬 | -2,114.63%-1.7億 |
營運資本變動 | -39.78%1.82億 | 154.44%3.02億 | -427.36%-5.54億 | 422.82%1.69億 | -286.66%-5,245.2萬 | -70.80%2,810萬 | -24.31%9,622萬 | -58.60%1.27億 | 296.44%3.07億 | -13,023.43%-1.56億 |
-應收款(增)減 | 7.36%1.19億 | 559.53%1.11億 | 118.31%1,684.3萬 | -130.56%-9,199.2萬 | 305.17%3.01億 | -223.12%-1.47億 | -10.97%1.19億 | 114.80%1.34億 | -77.04%6,231.7萬 | 47.75%2.71億 |
-存貨(增)減 | 7.68%2.28億 | 141.42%2.12億 | -300.95%-5.12億 | 220.52%2.55億 | -269.88%-2.11億 | 56.50%1.24億 | 227.75%7,944.3萬 | -89.69%2,423.9萬 | 207.83%2.35億 | -12.26%-2.18億 |
-應付款(減)增 | 36.17%-1.07億 | -374.23%-1.68億 | 245.08%6,139.9萬 | 61.15%-4,232萬 | -335.79%-1.09億 | 151.11%4,619.4萬 | -102.69%-9,039萬 | -96.52%-4,459.6萬 | 89.38%-2,269.3萬 | -1,946.10%-2.14億 |
-應計費用(減)增 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 703.41%3,230.5萬 | 277.68%402.1萬 |
-貸款、租賃及其他損失準備金 | -63.17%261.7萬 | 197.05%710.5萬 | 15.89%-732.1萬 | -271.20%-870.4萬 | 17.88%508.4萬 | 135.91%431.3萬 | -188.17%-1,201.2萬 | --1,362.3萬 | ---- | ---- |
-其他流動資產變動 | -143.43%-6,083.3萬 | 223.18%1.4億 | -296.74%-1.14億 | 250.24%5,779.1萬 | ---3,846.7萬 | ---- | ---- | ---- | ---- | ---- |
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) | 1.33%-1,100.4萬 | 3.50%-1,115.2萬 | 3.30%-1,155.7萬 | 18.15%-1,195.2萬 | 8.18%-1,460.2萬 | 5.80%-1,590.3萬 | 18.48%-1,688.3萬 | 23.14%-2,071.1萬 | 12.39%-2,694.5萬 | 11.69%-3,075.5萬 |
已收到的利息(經營活動產生的現金流) | 2.60%398.6萬 | 18.48%388.5萬 | 41.64%327.9萬 | 8.89%231.5萬 | -3.23%212.6萬 | 4.77%219.7萬 | 24.67%209.7萬 | 35.43%168.2萬 | 5.25%124.2萬 | 10.28%118萬 |
已支付退稅 | -476.98%-4,036.3萬 | 127.20%1,070.7萬 | -248.62%-3,937萬 | 13.00%-1,129.3萬 | -186.50%-1,298萬 | 177.70%1,500.6萬 | 79.02%-1,931.2萬 | -507.86%-9,205萬 | 134.77%2,256.9萬 | -170.77%-6,490.1萬 |
其他經營現金流入(流出) | -1,500.1萬 | 0 | -95.67%223.3萬 | 5,154萬 | 0 | 0 | -1,000 | 0 | -1,000 | 0 |
經營活動現金淨額 | -62.01%1.78億 | 213.81%4.69億 | -210.30%-4.12億 | 239.04%3.74億 | -52.54%1.1億 | 11.54%2.32億 | -43.92%2.08億 | -51.53%3.71億 | 1,004.06%7.66億 | -124.77%-8,477萬 |
投資活動現金流量 | ||||||||||
物業、廠房及設備交易淨額 | 46.10%-3,240.7萬 | -20.10%-6,011.9萬 | 25.05%-5,005.9萬 | -106.68%-6,678.8萬 | 27.82%-3,231.5萬 | 69.15%-4,476.8萬 | -32.10%-1.45億 | 47.80%-1.1億 | -188.85%-2.1億 | -0.03%-7,286.2萬 |
投資產品交易淨額 | ---5,000.1萬 | --0 | --0 | 2,487,800.00%2,487.7萬 | 50.00%-1,000 | -100.01%-2,000 | --4,000萬 | ---- | ---55.3萬 | ---- |
其他投資變動淨額 | -11,353.70%-1,237萬 | 98.52%-10.8萬 | -531.08%-728.1萬 | 182.71%168.9萬 | -114.95%-204.2萬 | 93.08%-95萬 | 30.58%-1,373.4萬 | 10.30%-1,978.4萬 | -147.92%-2,205.5萬 | -111.12%-889.6萬 |
投資活動現金淨額 | -57.37%-9,477.8萬 | -5.03%-6,022.7萬 | -42.56%-5,734萬 | -17.07%-4,022.2萬 | 24.85%-3,435.8萬 | 61.54%-4,572萬 | 8.31%-1.19億 | 44.37%-1.3億 | -185.08%-2.33億 | -1,367.76%-8,175.8萬 |
融資活動現金流量 | ||||||||||
債務發行/償還的淨額 | 99.21%-332.3萬 | -182.89%-4.2億 | 294.86%5.07億 | -119.74%-2.6億 | 26.04%-1.18億 | -123.26%-1.6億 | 52.22%-7,166.3萬 | 71.89%-1.5億 | -635.63%-5.34億 | 128.86%9,960.8萬 |
租賃融資增減 | -4.31%-866.5萬 | -4.31%-830.7萬 | -4.30%-796.4萬 | -4.29%-763.6萬 | -4.27%-732.2萬 | -4.26%-702.2萬 | -4.24%-673.5萬 | 13.41%-646.1萬 | -75.25%-746.2萬 | 33.02%-425.8萬 |
已支付現金股息 | -2.86%-2,714.3萬 | 0.00%-2,638.9萬 | 0.10%-2,638.9萬 | 1.51%-2,641.6萬 | -1.56%-2,682.1萬 | 0.23%-2,640.9萬 | -0.54%-2,647萬 | -0.14%-2,632.8萬 | 1.34%-2,629.1萬 | 10.27%-2,664.9萬 |
其他籌資費用淨額 | ---- | -14,400.00%-14.5萬 | ---1,000 | ---- | ---1,000 | ---- | 55.30%-5.9萬 | 96.06%-13.2萬 | -334,600.00%-334.7萬 | 0.00%-1,000 |
融資活動現金淨額 | 91.40%-3,913.1萬 | -196.30%-4.55億 | 260.61%4.72億 | -92.87%-2.94億 | 21.17%-1.52億 | -84.34%-1.93億 | 42.64%-1.05億 | 67.94%-1.83億 | -930.61%-5.71億 | 114.42%6,870萬 |
現金淨流量 | ||||||||||
期初現金流 | -42.54%6,178.3萬 | 2.48%1.08億 | 60.57%1.05億 | -53.95%6,533.9萬 | -4.57%1.42億 | -9.42%1.49億 | 55.99%1.64億 | -26.19%1.05億 | -0.82%1.43億 | -60.96%1.44億 |
現金變動 | 197.06%4,439.2萬 | -1,857.72%-4,573.6萬 | -93.43%260.2萬 | 151.70%3,958萬 | -1,027.66%-7,655.7萬 | 56.11%-678.9萬 | -126.25%-1,546.9萬 | 257.81%5,892.2萬 | 61.83%-3,733.7萬 | 23.46%-9,782.8萬 |
現金變動之外的其他現金調整 | 0.00%-1,000 | ---1,000 | ---- | ---1,000 | ---- | 0.00%-1,000 | 0.00%-1,000 | ---1,000 | ---- | 9,665,000.00%9,665.1萬 |
期末現金 | 71.85%1.06億 | -42.54%6,178.3萬 | 2.48%1.08億 | 60.57%1.05億 | -53.95%6,533.9萬 | -4.57%1.42億 | -9.42%1.49億 | 55.99%1.64億 | -26.19%1.05億 | -40.69%1.43億 |
自由現金流 | -64.35%1.46億 | 188.49%4.09億 | -250.59%-4.62億 | 293.90%3.07億 | -58.44%7,795.9萬 | 196.86%1.88億 | -75.85%6,319.2萬 | -52.94%2.62億 | 452.66%5.56億 | -158.57%-1.58億 |
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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