日本市場個股詳情

7201 日產汽車

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  • 509.2
  • -43.2-7.82%
延時20分鐘行情休市中 12/27 15:30 (東京)
1.89萬億總市值4.61市盈率(靜)

日產汽車關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/09/30
(Q1)2024/06/30
(FY)2024/03/31
(Q4)2024/03/31
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
經營活動現金流量(間接法)
經營活動產生的現金
-25.47%2,059.77億
-170.80%-1,461.28億
-3.87%1.36萬億
9.82%5,674.62億
19.61%3,126.48億
-31.69%2,763.77億
-12.19%2,064.1億
35.80%1.42萬億
89.55%5,167.2億
-24.04%2,613.8億
扣除非現金調整前淨利潤
-89.77%252.82億
-49.46%653.2億
48.90%5,992.25億
17.15%1,574.6億
-30.98%653.77億
265.09%2,471.4億
22.38%1,292.48億
4.74%4,024.36億
136.18%1,344.12億
43.70%947.22億
非現金項目調整總額
30.35%2,543.71億
-18.52%1,421.18億
44.53%8,743.21億
47.52%2,172.39億
26.65%2,875.07億
22.54%1,951.44億
144.22%1,744.31億
15.92%6,049.37億
3.22%1,472.57億
49.80%2,270.11億
-折舊與攤銷
0.24%1,796.13億
3.41%1,641.37億
-2.08%6,389.96億
2.80%1,279.86億
-2.02%1,731.15億
-4.29%1,791.77億
-3.31%1,587.18億
1.17%6,525.46億
-5.99%1,245.04億
4.89%1,766.8億
-在損益中確認的減值損失回撥
----
----
584.53%589.72億
-53.10%13.23億
--572.99億
----
----
-49.24%86.15億
--28.21億
----
-資產準備金與勾銷
----
----
60.93%-170.14億
----
----
----
----
-1.71%-435.49億
----
----
-聯營企業份額
55.30%-143.31億
-13.23%-377.88億
33.74%-1,134.87億
38.91%-316.52億
73.58%-164.01億
-34.67%-320.62億
0.59%-333.72億
-81.62%-1,712.75億
-1,403.08%-518.11億
-123.70%-620.86億
-處置利潤
210.72%14.67億
54.95%-20.95億
-91.11%38.64億
486.69%83.06億
-96.68%15.33億
-707.93%-13.25億
-978.89%-46.5億
394.77%434.85億
83.41%-21.48億
13,260.69%462.28億
-養老金及員工福利費用
-332.29%-85.68億
-398.09%-83.63億
95.61%-6.86億
39,690.91%43.77億
72.09%-14.02億
63.69%-19.82億
67.45%-16.79億
-116.56%-156.31億
-99.21%1,100萬
-79.88%-50.24億
-其他非現金項目
80.04%917.96億
-52.67%262.27億
132.26%3,036.76億
5.52%1,239.13億
12.14%733.63億
3,373.16%509.86億
203.44%554.14億
587.92%1,307.46億
129.95%1,174.29億
391.95%654.19億
營運資本變動
55.59%-736.76億
-263.49%-3,535.66億
-126.96%-1,106.49億
-17.99%1,927.63億
33.33%-402.36億
-193.40%-1,659.07億
-267.65%-972.69億
197.58%4,103.5億
221.82%2,350.51億
-147.65%-603.53億
-應收款(增)減
72.97%-402.02億
-105.56%-32.36億
-607.15%-2,725.08億
21.58%-1,882.39億
109.44%62.28億
-412.18%-1,487.36億
-81.34%582.39億
-91.29%537.33億
-212.85%-2,400.46億
-172.92%-659.79億
-存貨(增)減
74.12%-321.77億
27.86%-363.75億
42.99%-1,121.5億
-0.38%1,309.12億
-313.73%-683.06億
37.82%-1,243.3億
54.84%-504.26億
-1,473.95%-1,967.12億
981.99%1,314.07億
-120.85%-165.1億
-應付款(減)增
-99.52%5.08億
-204.76%-3,168.12億
-48.39%2,804.83億
-23.34%2,622.96億
113.88%172.79億
-68.59%1,048.62億
26.06%-1,039.54億
231.13%5,434.24億
105.49%3,421.34億
123.72%80.79億
-貸款、租賃及其他損失準備金
-178.58%-18.05億
353.28%28.57億
-165.36%-64.74億
-884.45%-122.06億
-67.54%45.63億
159.17%22.97億
38.23%-11.28億
119.13%99.05億
184.98%15.56億
257.24%140.57億
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)
-97.70%7.64億
275.92%166.72億
-57.47%694.92億
-43.83%277.94億
-94.38%40.68億
-19.56%331.95億
1,915.91%44.35億
97.63%1,633.85億
14.58%494.84億
4,147.16%724.14億
已付利息(經營活動產生的現金流)
26.01%-636.1億
-47.00%-725.94億
-43.82%-2,850.54億
-30.52%-863.37億
-65.06%-633.6億
-38.30%-859.72億
-56.73%-493.85億
-13.44%-1,982.08億
-17.78%-661.48億
-46.15%-383.86億
已收到的利息(經營活動產生的現金流)
-31.38%91.99億
21.11%182.92億
83.07%602.34億
32.35%156.02億
62.94%161.23億
148.01%134.05億
159.79%151.04億
64.98%329.02億
110.39%117.88億
126.64%98.95億
已支付退稅
-7.24%-1,056.31億
-73.34%-670.53億
-47.91%-2,271.25億
-70.13%-540.66億
27.06%-358.75億
-125.98%-985.02億
-33.33%-386.82億
-61.93%-1,535.61億
-85.79%-317.79億
-117.18%-491.81億
其他經營現金流入(流出)
-26.67%-25.55億
-35.70%-27.75億
52.55%-195.45億
41.08%-132.87億
67.23%-21.96億
65.69%-20.17億
66.24%-20.45億
-38.00%-411.9億
-101.59%-225.52億
-7.75%-67.02億
經營活動現金淨額
-67.66%441.44億
-286.68%-2,535.86億
-21.31%9,608.99億
-0.08%4,571.68億
-7.22%2,314.08億
-59.81%1,364.86億
-22.16%1,358.37億
44.13%1.22萬億
93.09%4,575.13億
-15.47%2,494.2億
投資活動現金流量
物業、廠房及設備交易淨額
-265.67%-3,644.63億
20.79%-1,183.95億
-251.59%-4,628.08億
17.30%-1,119.67億
-65.19%-1,017.05億
-303.37%-996.69億
-1,015.52%-1,494.67億
-77.93%-1,316.31億
-1,546.09%-1,353.97億
-9,535.05%-615.68億
業務交易淨額
----
----
119.58%69.12億
--0
106.93%24.73億
269.61%44.39億
--0
-23,021.43%-352.99億
--8.45億
---356.85億
投資產品交易淨額
106.91%11.89億
230.15%32.89億
-7,623.58%-504.08億
-3,342.58%-303.83億
-148.48%-3.02億
-16,634.62%-171.96億
-154.23%-25.27億
-99.58%6.7億
-92.49%9.37億
160.67%6.23億
向其他方提供的預付現金及貸款
-75.00%-2,100萬
4.35%-2,200萬
94.46%-8,500萬
34.88%-2,800萬
98.49%-2,200萬
47.83%-1,200萬
-91.67%-2,300萬
67.98%-15.33億
-2.38%-4,300萬
69.08%-14.55億
償還對其他方提供的預付款及貸款產生的現金收入
-95.62%3,000萬
125.44%15.51億
645.41%229.81億
3,675.09%213.67億
-62.34%2.41億
-40.59%6.85億
-4.97%6.88億
61.67%30.83億
-62.69%5.66億
117.69%6.4億
其他投資變動淨額
261.71%1,179.83億
-31.43%-965.71億
-16.62%-3,292.56億
-8.24%-1,253.89億
-47.81%-574.29億
-43.19%-729.59億
4.17%-734.79億
-23.32%-2,823.31億
-321.40%-1,158.46億
-142.16%-388.52億
投資活動現金淨額
-32.79%-2,452.82億
6.52%-2,101.48億
-81.79%-8,126.64億
1.02%-2,464億
-15.00%-1,567.44億
-37,796.33%-1,847.12億
-260.87%-2,248.08億
-204.45%-4,470.41億
-429.09%-2,489.38億
-256.07%-1,362.97億
融資活動現金流量
債務發行/償還的淨額
166.00%1,183.14億
165.10%592.97億
123.04%1,343.88億
6.64%1,746.75億
2,665.17%2,300.62億
20.64%-1,792.63億
82.80%-910.86億
43.69%-5,833.78億
143.02%1,637.95億
105.62%83.2億
普通股發行/回購的淨額
---100萬
---594.9億
-2,069.40%-1,199.68億
---100萬
-2,069.76%-1,199.66億
----
----
-276,400.00%-55.3億
--0
---55.29億
租賃融資增減
0.10%-136.07億
-0.31%-137.8億
3.70%-532.71億
-3.70%-132.03億
11.82%-127.1億
-0.12%-136.21億
5.68%-137.37億
-15.76%-553.15億
-9.71%-127.32億
-12.21%-144.14億
已支付現金股息
--0
-43.22%-561.04億
-200.21%-587.6億
--0
---195.86億
--0
-100.14%-391.74億
---195.73億
--0
--0
非控制性權益現金股息
52.10%-29.13億
-1.52%-4.67億
-591.26%-584.6億
---513.26億
-34.24%-5.92億
19.49%-60.82億
0.43%-4.6億
40.61%-84.57億
--0
0.00%-4.41億
其他籌資費用淨額
----
----
1,389.67%245.2億
----
----
----
----
-69.01%16.46億
--0
--0
融資活動現金淨額
151.16%1,017.93億
51.17%-705.44億
80.38%-1,315.51億
-10.86%1,346.65億
739.99%772.08億
18.92%-1,989.67億
74.40%-1,444.57億
38.63%-6,706.07億
138.50%1,510.63億
92.26%-120.64億
現金淨流量
期初現金流
-10.22%1.67萬億
5.55%2.13萬億
12.37%2.01萬億
4.65%1.76萬億
0.15%1.63萬億
26.92%1.86萬億
12.37%2.01萬億
-11.86%1.79萬億
-6.06%1.68萬億
6.05%1.63萬億
現金變動
59.81%-993.45億
-128.88%-5,342.78億
-83.87%166.84億
-3.95%3,454.33億
50.28%1,518.72億
-361.02%-2,471.93億
48.36%-2,334.28億
126.36%1,034.03億
550.93%3,596.38億
-55.37%1,010.59億
匯率變動影響
-620.15%-547.3億
-1.90%821.52億
-15.39%951.35億
169.92%219.33億
54.10%-210.62億
-82.92%105.22億
-34.61%837.42億
-22.48%1,124.35億
-137.72%-313.68億
-255.79%-458.84億
現金變動之外的其他現金調整
----
----
----
----
----
----
----
-1.16%58.57億
2,425.58%54.3億
--0
期末現金
-6.64%1.52萬億
-10.22%1.67萬億
5.55%2.13萬億
5.55%2.13萬億
4.65%1.76萬億
0.15%1.63萬億
26.92%1.86萬億
12.37%2.01萬億
12.37%2.01萬億
-6.06%1.68萬億
自由現金流
-229.48%-5,785.46億
-270.24%-6,285.66億
-172.78%-2,986.06億
-33.00%1,171.04億
-376.31%-703.41億
-188.63%-1,755.96億
-1,526.18%-1,697.73億
965.56%4,102.74億
176.73%1,747.86億
-78.13%254.57億
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
(Q2)2024/09/30(Q1)2024/06/30(FY)2024/03/31(Q4)2024/03/31(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31
經營活動現金流量(間接法)
經營活動產生的現金 -25.47%2,059.77億-170.80%-1,461.28億-3.87%1.36萬億9.82%5,674.62億19.61%3,126.48億-31.69%2,763.77億-12.19%2,064.1億35.80%1.42萬億89.55%5,167.2億-24.04%2,613.8億
扣除非現金調整前淨利潤 -89.77%252.82億-49.46%653.2億48.90%5,992.25億17.15%1,574.6億-30.98%653.77億265.09%2,471.4億22.38%1,292.48億4.74%4,024.36億136.18%1,344.12億43.70%947.22億
非現金項目調整總額 30.35%2,543.71億-18.52%1,421.18億44.53%8,743.21億47.52%2,172.39億26.65%2,875.07億22.54%1,951.44億144.22%1,744.31億15.92%6,049.37億3.22%1,472.57億49.80%2,270.11億
-折舊與攤銷 0.24%1,796.13億3.41%1,641.37億-2.08%6,389.96億2.80%1,279.86億-2.02%1,731.15億-4.29%1,791.77億-3.31%1,587.18億1.17%6,525.46億-5.99%1,245.04億4.89%1,766.8億
-在損益中確認的減值損失回撥 --------584.53%589.72億-53.10%13.23億--572.99億---------49.24%86.15億--28.21億----
-資產準備金與勾銷 --------60.93%-170.14億-----------------1.71%-435.49億--------
-聯營企業份額 55.30%-143.31億-13.23%-377.88億33.74%-1,134.87億38.91%-316.52億73.58%-164.01億-34.67%-320.62億0.59%-333.72億-81.62%-1,712.75億-1,403.08%-518.11億-123.70%-620.86億
-處置利潤 210.72%14.67億54.95%-20.95億-91.11%38.64億486.69%83.06億-96.68%15.33億-707.93%-13.25億-978.89%-46.5億394.77%434.85億83.41%-21.48億13,260.69%462.28億
-養老金及員工福利費用 -332.29%-85.68億-398.09%-83.63億95.61%-6.86億39,690.91%43.77億72.09%-14.02億63.69%-19.82億67.45%-16.79億-116.56%-156.31億-99.21%1,100萬-79.88%-50.24億
-其他非現金項目 80.04%917.96億-52.67%262.27億132.26%3,036.76億5.52%1,239.13億12.14%733.63億3,373.16%509.86億203.44%554.14億587.92%1,307.46億129.95%1,174.29億391.95%654.19億
營運資本變動 55.59%-736.76億-263.49%-3,535.66億-126.96%-1,106.49億-17.99%1,927.63億33.33%-402.36億-193.40%-1,659.07億-267.65%-972.69億197.58%4,103.5億221.82%2,350.51億-147.65%-603.53億
-應收款(增)減 72.97%-402.02億-105.56%-32.36億-607.15%-2,725.08億21.58%-1,882.39億109.44%62.28億-412.18%-1,487.36億-81.34%582.39億-91.29%537.33億-212.85%-2,400.46億-172.92%-659.79億
-存貨(增)減 74.12%-321.77億27.86%-363.75億42.99%-1,121.5億-0.38%1,309.12億-313.73%-683.06億37.82%-1,243.3億54.84%-504.26億-1,473.95%-1,967.12億981.99%1,314.07億-120.85%-165.1億
-應付款(減)增 -99.52%5.08億-204.76%-3,168.12億-48.39%2,804.83億-23.34%2,622.96億113.88%172.79億-68.59%1,048.62億26.06%-1,039.54億231.13%5,434.24億105.49%3,421.34億123.72%80.79億
-貸款、租賃及其他損失準備金 -178.58%-18.05億353.28%28.57億-165.36%-64.74億-884.45%-122.06億-67.54%45.63億159.17%22.97億38.23%-11.28億119.13%99.05億184.98%15.56億257.24%140.57億
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) -97.70%7.64億275.92%166.72億-57.47%694.92億-43.83%277.94億-94.38%40.68億-19.56%331.95億1,915.91%44.35億97.63%1,633.85億14.58%494.84億4,147.16%724.14億
已付利息(經營活動產生的現金流) 26.01%-636.1億-47.00%-725.94億-43.82%-2,850.54億-30.52%-863.37億-65.06%-633.6億-38.30%-859.72億-56.73%-493.85億-13.44%-1,982.08億-17.78%-661.48億-46.15%-383.86億
已收到的利息(經營活動產生的現金流) -31.38%91.99億21.11%182.92億83.07%602.34億32.35%156.02億62.94%161.23億148.01%134.05億159.79%151.04億64.98%329.02億110.39%117.88億126.64%98.95億
已支付退稅 -7.24%-1,056.31億-73.34%-670.53億-47.91%-2,271.25億-70.13%-540.66億27.06%-358.75億-125.98%-985.02億-33.33%-386.82億-61.93%-1,535.61億-85.79%-317.79億-117.18%-491.81億
其他經營現金流入(流出) -26.67%-25.55億-35.70%-27.75億52.55%-195.45億41.08%-132.87億67.23%-21.96億65.69%-20.17億66.24%-20.45億-38.00%-411.9億-101.59%-225.52億-7.75%-67.02億
經營活動現金淨額 -67.66%441.44億-286.68%-2,535.86億-21.31%9,608.99億-0.08%4,571.68億-7.22%2,314.08億-59.81%1,364.86億-22.16%1,358.37億44.13%1.22萬億93.09%4,575.13億-15.47%2,494.2億
投資活動現金流量
物業、廠房及設備交易淨額 -265.67%-3,644.63億20.79%-1,183.95億-251.59%-4,628.08億17.30%-1,119.67億-65.19%-1,017.05億-303.37%-996.69億-1,015.52%-1,494.67億-77.93%-1,316.31億-1,546.09%-1,353.97億-9,535.05%-615.68億
業務交易淨額 --------119.58%69.12億--0106.93%24.73億269.61%44.39億--0-23,021.43%-352.99億--8.45億---356.85億
投資產品交易淨額 106.91%11.89億230.15%32.89億-7,623.58%-504.08億-3,342.58%-303.83億-148.48%-3.02億-16,634.62%-171.96億-154.23%-25.27億-99.58%6.7億-92.49%9.37億160.67%6.23億
向其他方提供的預付現金及貸款 -75.00%-2,100萬4.35%-2,200萬94.46%-8,500萬34.88%-2,800萬98.49%-2,200萬47.83%-1,200萬-91.67%-2,300萬67.98%-15.33億-2.38%-4,300萬69.08%-14.55億
償還對其他方提供的預付款及貸款產生的現金收入 -95.62%3,000萬125.44%15.51億645.41%229.81億3,675.09%213.67億-62.34%2.41億-40.59%6.85億-4.97%6.88億61.67%30.83億-62.69%5.66億117.69%6.4億
其他投資變動淨額 261.71%1,179.83億-31.43%-965.71億-16.62%-3,292.56億-8.24%-1,253.89億-47.81%-574.29億-43.19%-729.59億4.17%-734.79億-23.32%-2,823.31億-321.40%-1,158.46億-142.16%-388.52億
投資活動現金淨額 -32.79%-2,452.82億6.52%-2,101.48億-81.79%-8,126.64億1.02%-2,464億-15.00%-1,567.44億-37,796.33%-1,847.12億-260.87%-2,248.08億-204.45%-4,470.41億-429.09%-2,489.38億-256.07%-1,362.97億
融資活動現金流量
債務發行/償還的淨額 166.00%1,183.14億165.10%592.97億123.04%1,343.88億6.64%1,746.75億2,665.17%2,300.62億20.64%-1,792.63億82.80%-910.86億43.69%-5,833.78億143.02%1,637.95億105.62%83.2億
普通股發行/回購的淨額 ---100萬---594.9億-2,069.40%-1,199.68億---100萬-2,069.76%-1,199.66億---------276,400.00%-55.3億--0---55.29億
租賃融資增減 0.10%-136.07億-0.31%-137.8億3.70%-532.71億-3.70%-132.03億11.82%-127.1億-0.12%-136.21億5.68%-137.37億-15.76%-553.15億-9.71%-127.32億-12.21%-144.14億
已支付現金股息 --0-43.22%-561.04億-200.21%-587.6億--0---195.86億--0-100.14%-391.74億---195.73億--0--0
非控制性權益現金股息 52.10%-29.13億-1.52%-4.67億-591.26%-584.6億---513.26億-34.24%-5.92億19.49%-60.82億0.43%-4.6億40.61%-84.57億--00.00%-4.41億
其他籌資費用淨額 --------1,389.67%245.2億-----------------69.01%16.46億--0--0
融資活動現金淨額 151.16%1,017.93億51.17%-705.44億80.38%-1,315.51億-10.86%1,346.65億739.99%772.08億18.92%-1,989.67億74.40%-1,444.57億38.63%-6,706.07億138.50%1,510.63億92.26%-120.64億
現金淨流量
期初現金流 -10.22%1.67萬億5.55%2.13萬億12.37%2.01萬億4.65%1.76萬億0.15%1.63萬億26.92%1.86萬億12.37%2.01萬億-11.86%1.79萬億-6.06%1.68萬億6.05%1.63萬億
現金變動 59.81%-993.45億-128.88%-5,342.78億-83.87%166.84億-3.95%3,454.33億50.28%1,518.72億-361.02%-2,471.93億48.36%-2,334.28億126.36%1,034.03億550.93%3,596.38億-55.37%1,010.59億
匯率變動影響 -620.15%-547.3億-1.90%821.52億-15.39%951.35億169.92%219.33億54.10%-210.62億-82.92%105.22億-34.61%837.42億-22.48%1,124.35億-137.72%-313.68億-255.79%-458.84億
現金變動之外的其他現金調整 -----------------------------1.16%58.57億2,425.58%54.3億--0
期末現金 -6.64%1.52萬億-10.22%1.67萬億5.55%2.13萬億5.55%2.13萬億4.65%1.76萬億0.15%1.63萬億26.92%1.86萬億12.37%2.01萬億12.37%2.01萬億-6.06%1.68萬億
自由現金流 -229.48%-5,785.46億-270.24%-6,285.66億-172.78%-2,986.06億-33.00%1,171.04億-376.31%-703.41億-188.63%-1,755.96億-1,526.18%-1,697.73億965.56%4,102.74億176.73%1,747.86億-78.13%254.57億
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-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP