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Laxus Technologies (288A)

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  • 115
  • +3+2.68%
20min DelayMarket Closed May 14 15:30 JST
2.97BMarket Cap5.69P/E (Static)

Laxus Technologies (288A) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2025
(FY)Mar 31, 2024
(FY)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
44.61%1.28B
54.43%886.1M
573.77M
Net profit before non-cash adjustment
12.87%526.7M
83.83%466.64M
--253.84M
Total adjustment of non-cash items
84.62%601.15M
-27.82%325.62M
--451.15M
-Depreciation and amortization
11.67%342.28M
24.76%306.51M
--245.68M
-Reversal of impairment losses recognized in profit and loss
17.52%43.29M
-51.62%36.84M
--76.14M
-Disposal profit
264.47%113.53M
-62.59%31.15M
--83.27M
-Net exchange gains and losses
----
-95.78%-21.36M
---10.91M
-Other non-cash items
470.81%102.04M
-148.31%-27.52M
--56.97M
Changes in working capital
63.63%153.55M
171.51%93.84M
---131.22M
-Change in receivables
-60.40%17.43M
127.24%44.01M
---161.58M
-Change in inventory
292.04%105.55M
1,520.04%26.92M
---1.9M
-Change in prepaid assets
--1.76M
----
----
-Change in payables
130.22%3.36M
-159.55%-11.12M
--18.68M
-Change in accrued expense
102.27%253K
-159.55%-11.12M
--18.68M
-Provision for loans, leases and other losses
312.73%32.98M
-215.71%-15.5M
--13.4M
-Changes in other current assets
-115.70%-7.78M
27,418.33%49.53M
--180K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-29.13%-28.62M
-10.25%-22.17M
-20.1M
Interest received (cash flow from operating activities)
15.52%3.1M
151.97%2.68M
1.06M
Tax refund paid
21.03%-55.4M
-860.90%-70.16M
-7.3M
Other operating cash inflow (outflow)
16.30%-642.84M
-5.53%-768.05M
-727.8M
Operating cash flow
1,863.05%557.62M
115.75%28.41M
---180.37M
Investing cash flow
Net PPE purchase and sale
-4,098.29%-58.82M
80.02%-1.4M
---7.01M
Repayment of advance payments to other parties and cash income from loans
--50.15M
----
----
Net changes in other investments
560.35%24.97M
-291.56%-5.42M
--2.83M
Investing cash flow
338.82%16.3M
-63.21%-6.82M
---4.18M
Financing cash flow
Net issuance payments of debt
-1,147.50%-1.16B
-3.96%110.38M
--114.93M
Net common stock issuance
--1.68B
----
----
Issuance fees
---14.51M
----
----
Net other fund-raising expenses
-100.00%-2K
---1K
----
Financing cash flow
360.11%507.85M
-3.96%110.38M
--114.93M
Net cash flow
Beginning cash position
19.33%440.3M
-15.59%368.97M
--437.12M
Current changes in cash
719.79%1.08B
289.54%131.96M
---69.62M
Effect of exchange rate changes
-100.17%-5K
103.47%2.99M
--1.47M
Cash adjustments other than cash changes
100.00%2K
--1K
----
End cash Position
202.04%1.52B
36.58%503.92M
--368.97M
Free cash flow
1,747.09%498.81M
114.41%27.01M
---187.38M
Currency Unit
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Mar 31, 2025(FY)Mar 31, 2024(FY)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities 44.61%1.28B54.43%886.1M573.77M
Net profit before non-cash adjustment 12.87%526.7M83.83%466.64M--253.84M
Total adjustment of non-cash items 84.62%601.15M-27.82%325.62M--451.15M
-Depreciation and amortization 11.67%342.28M24.76%306.51M--245.68M
-Reversal of impairment losses recognized in profit and loss 17.52%43.29M-51.62%36.84M--76.14M
-Disposal profit 264.47%113.53M-62.59%31.15M--83.27M
-Net exchange gains and losses -----95.78%-21.36M---10.91M
-Other non-cash items 470.81%102.04M-148.31%-27.52M--56.97M
Changes in working capital 63.63%153.55M171.51%93.84M---131.22M
-Change in receivables -60.40%17.43M127.24%44.01M---161.58M
-Change in inventory 292.04%105.55M1,520.04%26.92M---1.9M
-Change in prepaid assets --1.76M--------
-Change in payables 130.22%3.36M-159.55%-11.12M--18.68M
-Change in accrued expense 102.27%253K-159.55%-11.12M--18.68M
-Provision for loans, leases and other losses 312.73%32.98M-215.71%-15.5M--13.4M
-Changes in other current assets -115.70%-7.78M27,418.33%49.53M--180K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -29.13%-28.62M-10.25%-22.17M-20.1M
Interest received (cash flow from operating activities) 15.52%3.1M151.97%2.68M1.06M
Tax refund paid 21.03%-55.4M-860.90%-70.16M-7.3M
Other operating cash inflow (outflow) 16.30%-642.84M-5.53%-768.05M-727.8M
Operating cash flow 1,863.05%557.62M115.75%28.41M---180.37M
Investing cash flow
Net PPE purchase and sale -4,098.29%-58.82M80.02%-1.4M---7.01M
Repayment of advance payments to other parties and cash income from loans --50.15M--------
Net changes in other investments 560.35%24.97M-291.56%-5.42M--2.83M
Investing cash flow 338.82%16.3M-63.21%-6.82M---4.18M
Financing cash flow
Net issuance payments of debt -1,147.50%-1.16B-3.96%110.38M--114.93M
Net common stock issuance --1.68B--------
Issuance fees ---14.51M--------
Net other fund-raising expenses -100.00%-2K---1K----
Financing cash flow 360.11%507.85M-3.96%110.38M--114.93M
Net cash flow
Beginning cash position 19.33%440.3M-15.59%368.97M--437.12M
Current changes in cash 719.79%1.08B289.54%131.96M---69.62M
Effect of exchange rate changes -100.17%-5K103.47%2.99M--1.47M
Cash adjustments other than cash changes 100.00%2K--1K----
End cash Position 202.04%1.52B36.58%503.92M--368.97M
Free cash flow 1,747.09%498.81M114.41%27.01M---187.38M
Currency Unit JPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAP
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