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Inui Global Logistics (9308)

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  • 1516
  • -5-0.33%
20min DelayMarket Closed May 1 15:30 JST
39.53BMarket Cap7.58P/E (Static)

Inui Global Logistics (9308) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
-5.99%1.55B
-3.51%2.34B
-94.49%136M
94.90%7.49B
251.49%1.65B
118.21%2.42B
108.80%2.47B
-75.99%3.84B
-35.92%1.08B
-85.53%470M
Net profit before non-cash adjustment
-48.58%1.01B
-108.76%-185M
-96.72%53M
193.64%5.63B
1,258.62%1.97B
615.93%2.11B
101.37%1.62B
-86.00%1.92B
39.46%675M
-92.70%145M
Total adjustment of non-cash items
501.49%811M
544.87%1.04B
9.63%1.03B
-44.65%1.34B
-124.51%-202M
-179.05%-234M
12.92%935M
-5.23%2.43B
-10.11%480M
-22.77%824M
-Depreciation and amortization
33.51%1.04B
29.76%1.02B
16.60%913M
4.31%3.27B
-0.64%776M
0.13%783M
0.13%783M
-2.06%3.13B
-2.00%786M
-1.39%781M
-Reversal of impairment losses recognized in profit and loss
----
----
----
--2.49B
----
----
----
--0
----
----
-Disposal profit
--0
--0
--0
-214,350.00%-4.29B
---3.27B
---1.02B
--0
99.24%-2M
---1M
--0
-Net exchange gains and losses
82.40%-44M
180.39%41M
-161.25%-49M
71.07%-46M
-941.67%-250M
-121.74%-51M
700.00%80M
10.67%-159M
-114.04%-122M
-105.13%-24M
-Other non-cash items
-429.09%-181M
-129.63%-16M
123.61%161M
86.53%-73M
-17.91%55M
111.66%54M
94.59%72M
-180.83%-542M
13.27%-183M
-5.63%67M
Changes in working capital
-128.81%-270M
171.82%1.48B
-995.35%-942M
202.79%516M
76.31%-118M
4.62%543M
80.93%-86M
-102.42%-502M
-110.73%-72M
-351.52%-498M
-Change in receivables
-83.87%-285M
-22.61%202M
263.89%262M
-95.98%9M
-185.16%-155M
-18.94%261M
147.68%72M
348.00%224M
-124.29%-129M
3.41%182M
-Change in inventory
600.00%203M
-89.53%38M
-1.16%-174M
-54.64%44M
117.90%29M
227.03%363M
-192.97%-172M
137.89%97M
-150.68%-37M
-168.07%-162M
-Change in prepaid assets
300.00%16M
585.71%34M
-117.95%-7M
103.65%5M
-300.00%-8M
70.83%-7M
550.00%39M
-515.15%-137M
-454.55%-117M
-200.00%-2M
-Change in payables
-62.68%53M
1,825.58%742M
-973.47%-1.05B
174.53%559M
135.32%142M
79.33%-43M
75.25%-98M
-1,329.51%-750M
241.33%256M
-229.51%-402M
-Change in accrued expense
-13.33%52M
13.73%-44M
-76.67%7M
-6.67%14M
400.00%60M
-5,200.00%-51M
11.11%30M
144.12%15M
21.88%-25M
-65.71%12M
-Provision for loans, leases and other losses
54.98%-113M
-4.17%23M
0.00%5M
-445.71%-121M
-348.21%-251M
-64.71%24M
107.69%5M
-73.08%35M
-28.46%88M
15.15%-56M
-Changes in other current assets
-401.54%-196M
12,125.00%481M
-55.26%17M
-57.14%6M
192.86%65M
-101.61%-4M
166.67%38M
106.03%14M
18.18%-108M
-7.69%-70M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-78.35%-173M
-86.87%-185M
-129.79%-216M
-10.74%-402M
-4.30%-97M
-4.21%-99M
-13.25%-94M
-15.97%-363M
-6.98%-92M
-16.25%-93M
Interest received (cash flow from operating activities)
55.93%92M
0.00%129M
14.06%73M
16.24%451M
22.92%59M
-3.73%129M
16.36%64M
32.88%388M
39.81%151M
-38.46%48M
Tax refund paid
12.40%-332M
-96.08%34M
-2,516.67%-471M
113.60%456M
74.93%-379M
5,518.75%867M
99.00%-18M
8.69%-3.35B
-25.00%-15M
-24.04%-1.51B
Other operating cash inflow (outflow)
-200.00%-1M
0
0
0
1M
200.00%3M
-100.00%-2M
0.00%-1M
-200.00%-1M
0
Operating cash flow
-7.85%1.14B
-30.33%2.31B
-119.77%-478M
1,449.81%8B
213.71%1.24B
193.03%3.32B
468.60%2.42B
-95.81%516M
-33.80%1.13B
-153.68%-1.09B
Investing cash flow
Net PPE purchase and sale
-106.39%-144M
-616.14%-1.95B
-143.94%-1.73B
-163.49%-8.78B
304.17%2.25B
172.69%378M
-41.43%-710M
52.58%-3.33B
-340.51%-1.21B
77.51%-1.1B
Net investment product transactions
--1B
----
----
---50M
--0
----
----
--0
--0
--0
Advance cash and loans provided to other parties
----
----
---500M
--0
--0
--0
--0
---1.11B
--0
--0
Net changes in other investments
666.67%17M
-66.67%5M
0.00%-1M
88,420.00%4.42B
---3M
475.00%15M
0.00%-1M
-266.67%-5M
--0
--0
Investing cash flow
-105.64%-127M
-667.35%-1.95B
-214.06%-2.23B
0.67%-4.42B
303.89%2.25B
165.46%343M
55.87%-711M
29.50%-4.45B
-338.91%-1.21B
73.60%-1.1B
Financing cash flow
Net issuance payments of debt
-167.80%-417M
622.97%1.51B
364.80%581M
74.27%1.62B
-15.17%615M
796.67%209M
150.00%125M
219.56%929M
-24.90%184M
3,395.45%725M
Net common stock issuance
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Cash dividends paid
53.64%-70M
-465.12%-243M
-539.17%-1.53B
90.31%-438M
-115.71%-151M
93.71%-43M
93.61%-240M
18.93%-4.52B
-66.67%-10M
53.95%-70M
Net other fund-raising expenses
--0
50.00%-1M
50.00%-1M
33.33%-6M
50.00%-1M
0.00%-2M
33.33%-2M
50.00%-9M
60.00%-2M
50.00%-2M
Financing cash flow
-205.18%-487M
672.56%1.27B
-715.38%-954M
132.62%1.18B
-29.10%463M
122.91%164M
96.85%-117M
43.48%-3.6B
-26.50%172M
466.85%653M
Net cash flow
Beginning cash position
-12.50%16.58B
-6.93%14.78B
33.42%18.65B
-32.06%13.98B
24.35%18.95B
5.21%15.88B
-32.06%13.98B
1.69%20.58B
-29.08%13.35B
-31.14%15.24B
Current changes in cash
-86.71%525M
-57.30%1.63B
-330.50%-3.67B
163.14%4.76B
356.83%3.95B
3,676.64%3.83B
126.60%1.59B
-1,969.23%-7.53B
-94.52%91M
34.13%-1.54B
Effect of exchange rate changes
-56.39%437M
121.90%166M
-165.71%-205M
-108.87%-83M
383.85%1B
-404.42%-758M
-37.35%312M
32.77%936M
464.58%542M
63.87%-353M
Cash adjustments other than cash changes
----
----
----
---1M
--3M
----
----
----
----
----
End cash Position
-26.61%17.54B
-12.50%16.58B
-6.93%14.78B
33.42%18.65B
79.10%23.91B
24.35%18.95B
5.21%15.88B
-32.06%13.98B
-32.06%13.98B
-29.08%13.35B
Free cash flow
715.57%995M
-86.31%362M
-229.39%-2.21B
72.13%-785M
105.57%122M
331.32%2.64B
247.50%1.71B
-153.28%-2.82B
-105.68%-81M
24.03%-2.19B
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
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities -5.99%1.55B-3.51%2.34B-94.49%136M94.90%7.49B251.49%1.65B118.21%2.42B108.80%2.47B-75.99%3.84B-35.92%1.08B-85.53%470M
Net profit before non-cash adjustment -48.58%1.01B-108.76%-185M-96.72%53M193.64%5.63B1,258.62%1.97B615.93%2.11B101.37%1.62B-86.00%1.92B39.46%675M-92.70%145M
Total adjustment of non-cash items 501.49%811M544.87%1.04B9.63%1.03B-44.65%1.34B-124.51%-202M-179.05%-234M12.92%935M-5.23%2.43B-10.11%480M-22.77%824M
-Depreciation and amortization 33.51%1.04B29.76%1.02B16.60%913M4.31%3.27B-0.64%776M0.13%783M0.13%783M-2.06%3.13B-2.00%786M-1.39%781M
-Reversal of impairment losses recognized in profit and loss --------------2.49B--------------0--------
-Disposal profit --0--0--0-214,350.00%-4.29B---3.27B---1.02B--099.24%-2M---1M--0
-Net exchange gains and losses 82.40%-44M180.39%41M-161.25%-49M71.07%-46M-941.67%-250M-121.74%-51M700.00%80M10.67%-159M-114.04%-122M-105.13%-24M
-Other non-cash items -429.09%-181M-129.63%-16M123.61%161M86.53%-73M-17.91%55M111.66%54M94.59%72M-180.83%-542M13.27%-183M-5.63%67M
Changes in working capital -128.81%-270M171.82%1.48B-995.35%-942M202.79%516M76.31%-118M4.62%543M80.93%-86M-102.42%-502M-110.73%-72M-351.52%-498M
-Change in receivables -83.87%-285M-22.61%202M263.89%262M-95.98%9M-185.16%-155M-18.94%261M147.68%72M348.00%224M-124.29%-129M3.41%182M
-Change in inventory 600.00%203M-89.53%38M-1.16%-174M-54.64%44M117.90%29M227.03%363M-192.97%-172M137.89%97M-150.68%-37M-168.07%-162M
-Change in prepaid assets 300.00%16M585.71%34M-117.95%-7M103.65%5M-300.00%-8M70.83%-7M550.00%39M-515.15%-137M-454.55%-117M-200.00%-2M
-Change in payables -62.68%53M1,825.58%742M-973.47%-1.05B174.53%559M135.32%142M79.33%-43M75.25%-98M-1,329.51%-750M241.33%256M-229.51%-402M
-Change in accrued expense -13.33%52M13.73%-44M-76.67%7M-6.67%14M400.00%60M-5,200.00%-51M11.11%30M144.12%15M21.88%-25M-65.71%12M
-Provision for loans, leases and other losses 54.98%-113M-4.17%23M0.00%5M-445.71%-121M-348.21%-251M-64.71%24M107.69%5M-73.08%35M-28.46%88M15.15%-56M
-Changes in other current assets -401.54%-196M12,125.00%481M-55.26%17M-57.14%6M192.86%65M-101.61%-4M166.67%38M106.03%14M18.18%-108M-7.69%-70M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -78.35%-173M-86.87%-185M-129.79%-216M-10.74%-402M-4.30%-97M-4.21%-99M-13.25%-94M-15.97%-363M-6.98%-92M-16.25%-93M
Interest received (cash flow from operating activities) 55.93%92M0.00%129M14.06%73M16.24%451M22.92%59M-3.73%129M16.36%64M32.88%388M39.81%151M-38.46%48M
Tax refund paid 12.40%-332M-96.08%34M-2,516.67%-471M113.60%456M74.93%-379M5,518.75%867M99.00%-18M8.69%-3.35B-25.00%-15M-24.04%-1.51B
Other operating cash inflow (outflow) -200.00%-1M0001M200.00%3M-100.00%-2M0.00%-1M-200.00%-1M0
Operating cash flow -7.85%1.14B-30.33%2.31B-119.77%-478M1,449.81%8B213.71%1.24B193.03%3.32B468.60%2.42B-95.81%516M-33.80%1.13B-153.68%-1.09B
Investing cash flow
Net PPE purchase and sale -106.39%-144M-616.14%-1.95B-143.94%-1.73B-163.49%-8.78B304.17%2.25B172.69%378M-41.43%-710M52.58%-3.33B-340.51%-1.21B77.51%-1.1B
Net investment product transactions --1B-----------50M--0----------0--0--0
Advance cash and loans provided to other parties -----------500M--0--0--0--0---1.11B--0--0
Net changes in other investments 666.67%17M-66.67%5M0.00%-1M88,420.00%4.42B---3M475.00%15M0.00%-1M-266.67%-5M--0--0
Investing cash flow -105.64%-127M-667.35%-1.95B-214.06%-2.23B0.67%-4.42B303.89%2.25B165.46%343M55.87%-711M29.50%-4.45B-338.91%-1.21B73.60%-1.1B
Financing cash flow
Net issuance payments of debt -167.80%-417M622.97%1.51B364.80%581M74.27%1.62B-15.17%615M796.67%209M150.00%125M219.56%929M-24.90%184M3,395.45%725M
Net common stock issuance --0--0--0--0--0--0--0--0--0--0
Cash dividends paid 53.64%-70M-465.12%-243M-539.17%-1.53B90.31%-438M-115.71%-151M93.71%-43M93.61%-240M18.93%-4.52B-66.67%-10M53.95%-70M
Net other fund-raising expenses --050.00%-1M50.00%-1M33.33%-6M50.00%-1M0.00%-2M33.33%-2M50.00%-9M60.00%-2M50.00%-2M
Financing cash flow -205.18%-487M672.56%1.27B-715.38%-954M132.62%1.18B-29.10%463M122.91%164M96.85%-117M43.48%-3.6B-26.50%172M466.85%653M
Net cash flow
Beginning cash position -12.50%16.58B-6.93%14.78B33.42%18.65B-32.06%13.98B24.35%18.95B5.21%15.88B-32.06%13.98B1.69%20.58B-29.08%13.35B-31.14%15.24B
Current changes in cash -86.71%525M-57.30%1.63B-330.50%-3.67B163.14%4.76B356.83%3.95B3,676.64%3.83B126.60%1.59B-1,969.23%-7.53B-94.52%91M34.13%-1.54B
Effect of exchange rate changes -56.39%437M121.90%166M-165.71%-205M-108.87%-83M383.85%1B-404.42%-758M-37.35%312M32.77%936M464.58%542M63.87%-353M
Cash adjustments other than cash changes ---------------1M--3M--------------------
End cash Position -26.61%17.54B-12.50%16.58B-6.93%14.78B33.42%18.65B79.10%23.91B24.35%18.95B5.21%15.88B-32.06%13.98B-32.06%13.98B-29.08%13.35B
Free cash flow 715.57%995M-86.31%362M-229.39%-2.21B72.13%-785M105.57%122M331.32%2.64B247.50%1.71B-153.28%-2.82B-105.68%-81M24.03%-2.19B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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