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CHIKARANOMOTO HOLDINGS CO LTD (CHMOF)

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  • 10.330
  • 0.0000.00%
15min DelayClose Aug 21 10:34 ET
310.99MMarket Cap24.71P/E (TTM)

CHIKARANOMOTO HOLDINGS CO LTD (CHMOF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2025
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-14.28%2.62B
64.16%3.06B
100.34%1.86B
139.20%930.35M
-588.56%-2.37B
-141.16%-344.64M
10.86%837.31M
42.47%755.26M
42.15%530.11M
521.39%372.94M
Other non cash items
-138.07%-62M
-36.40%162.86M
116.60%256.08M
-69.64%-1.54B
-1,656.88%-909.45M
-76.09%58.42M
65.66%244.32M
-42.30%147.48M
-18.23%255.61M
269.32%312.6M
Change In working capital
144.05%58.2M
40.88%-132.12M
76.24%-223.48M
-233.83%-940.41M
85.34%702.71M
-14.50%379.14M
1,099.48%443.43M
28.25%-44.37M
59.68%-61.84M
-223.42%-153.36M
-Change in receivables
146.27%100.03M
-46.86%-216.2M
-535.84%-147.21M
73.06%-23.15M
-209.95%-85.93M
273.73%78.16M
115.75%20.91M
-163.34%-132.75M
14.52%-50.41M
-31.75%-58.98M
-Change in inventory
35.33%-29.21M
57.98%-45.17M
-271.41%-107.49M
-151.72%-28.94M
292.74%55.95M
116.25%14.25M
-677.16%-87.69M
129.12%15.19M
-90.12%-52.17M
44.69%-27.44M
-Change in prepaid assets
----
----
----
----
83.20%64.85M
142.92%35.4M
-2,324.70%-82.46M
-280.71%-3.4M
102.87%1.88M
22.29%-65.65M
-Change in other current assets
-388.15%-102.59M
-65.38%35.6M
96.19%102.85M
245.61%52.43M
-159.38%-36M
271.60%60.63M
48.38%16.32M
113.34%11M
-543.86%-82.46M
-107.64%-12.81M
Cash from discontinued investing activities
Operating cash flow
-21.64%3.08B
37.92%3.93B
67.34%2.85B
361.58%1.7B
-140.88%-651.76M
-27.77%1.59B
56.34%2.21B
54.34%1.41B
-15.88%914.86M
50.13%1.09B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-7.17%-1.25B
-65.56%-1.17B
21.04%-707.23M
13.37%-895.63M
37.74%-1.03B
-22.65%-1.66B
29.77%-1.35B
-241.54%-1.93B
57.00%-564.38M
19.69%-1.31B
Net intangibles purchase and sale
78.05%-4.59M
28.59%-20.91M
-710.38%-29.28M
75.93%-3.61M
50.97%-15.01M
39.59%-30.61M
-151.79%-50.67M
-148.52%-20.12M
70.94%-8.1M
-198.20%-27.86M
Net business purchase and sale
--13.73M
--0
-83.95%5.6M
--34.9M
--0
99.79%-110K
-110.98%-52.4M
415.19%477.25M
-516.91%-151.42M
292.27%36.32M
Net investment purchase and sale
85.77%-161.2M
-724.26%-1.13B
---137.42M
--0
----
-43.36%252.98M
959.52%446.63M
-413.41%-51.96M
---10.12M
----
Net other investing changes
-120.05%-182.48M
43.78%-82.93M
-133.36%-147.51M
69.23%-63.21M
-176.34%-205.44M
56.96%-74.34M
-13.83%-172.72M
39.75%-151.73M
26.48%-251.82M
-898.80%-342.52M
Cash from discontinued investing activities
Investing cash flow
34.00%-1.59B
-148.63%-2.41B
-4.86%-968M
26.12%-923.11M
17.30%-1.25B
-27.93%-1.51B
25.40%-1.18B
-61.98%-1.58B
41.51%-977.35M
21.16%-1.67B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
96.18%-106.13M
-39.00%-2.78B
-16.14%-2B
-184.85%-1.72B
1,587.47%2.03B
-1,194.76%-136.47M
94.80%-10.54M
-150.83%-202.61M
-34.90%398.63M
1,269.38%612.35M
Net common stock issuance
50.60%-55.95M
-105.85%-113.25M
17.68%1.94B
5,754.79%1.65B
-47.46%28.1M
299.27%53.49M
-105.64%-26.84M
-28.31%475.83M
66,274.40%663.74M
-99.94%1M
Cash dividends paid
-0.66%-664.97M
---660.59M
----
-104.53%-497K
99.87%-243K
-0.60%-189.44M
-51.56%-188.31M
-302.09%-124.25M
---30.9M
----
Net other financing activities
0.00%-1K
---1K
----
-8,034,400.00%-80.35M
50.00%-1K
0.00%-2K
99.86%-2K
75.04%-1.39M
24.06%-5.58M
38.47%-7.35M
Cash from discontinued financing activities
Financing cash flow
76.72%-828.96M
-4,857.06%-3.56B
57.03%-71.85M
-108.16%-167.19M
764.97%2.05B
-18.34%-307.93M
-363.32%-260.22M
-89.72%98.82M
89.40%961.73M
-66.60%507.78M
Net cash flow
Beginning cash position
-23.36%5.58B
41.94%7.27B
17.90%5.13B
6.55%4.35B
-5.64%4.08B
21.59%4.32B
-2.24%3.56B
25.84%3.64B
-7.10%2.89B
8.76%3.11B
Current changes in cash
132.75%665.98M
-212.16%-2.03B
195.03%1.81B
319.61%614.56M
165.29%146.46M
-129.28%-224.33M
1,159.60%766.27M
-108.04%-72.32M
1,290.71%899.25M
-160.20%-75.52M
Effect of exchange rate changes
-23.39%256.25M
-0.57%334.48M
105.59%336.4M
35.43%163.63M
724.08%120.82M
-1,389.81%-19.36M
-93.29%1.5M
114.68%22.37M
-40.15%-152.3M
-186.94%-108.67M
End cash Position
16.54%6.5B
-23.36%5.58B
41.94%7.27B
17.90%5.13B
6.55%4.35B
-5.64%4.08B
21.59%4.32B
-2.24%3.56B
25.84%3.64B
-7.10%2.89B
Free cash flow
-34.47%1.8B
38.09%2.74B
148.30%1.99B
146.79%799.58M
-272.82%-1.71B
-168.47%-458.37M
223.88%669.49M
-270.95%-540.43M
53.22%-145.69M
66.14%-311.44M
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
(FY)Mar 31, 2025(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -14.28%2.62B64.16%3.06B100.34%1.86B139.20%930.35M-588.56%-2.37B-141.16%-344.64M10.86%837.31M42.47%755.26M42.15%530.11M521.39%372.94M
Other non cash items -138.07%-62M-36.40%162.86M116.60%256.08M-69.64%-1.54B-1,656.88%-909.45M-76.09%58.42M65.66%244.32M-42.30%147.48M-18.23%255.61M269.32%312.6M
Change In working capital 144.05%58.2M40.88%-132.12M76.24%-223.48M-233.83%-940.41M85.34%702.71M-14.50%379.14M1,099.48%443.43M28.25%-44.37M59.68%-61.84M-223.42%-153.36M
-Change in receivables 146.27%100.03M-46.86%-216.2M-535.84%-147.21M73.06%-23.15M-209.95%-85.93M273.73%78.16M115.75%20.91M-163.34%-132.75M14.52%-50.41M-31.75%-58.98M
-Change in inventory 35.33%-29.21M57.98%-45.17M-271.41%-107.49M-151.72%-28.94M292.74%55.95M116.25%14.25M-677.16%-87.69M129.12%15.19M-90.12%-52.17M44.69%-27.44M
-Change in prepaid assets ----------------83.20%64.85M142.92%35.4M-2,324.70%-82.46M-280.71%-3.4M102.87%1.88M22.29%-65.65M
-Change in other current assets -388.15%-102.59M-65.38%35.6M96.19%102.85M245.61%52.43M-159.38%-36M271.60%60.63M48.38%16.32M113.34%11M-543.86%-82.46M-107.64%-12.81M
Cash from discontinued investing activities
Operating cash flow -21.64%3.08B37.92%3.93B67.34%2.85B361.58%1.7B-140.88%-651.76M-27.77%1.59B56.34%2.21B54.34%1.41B-15.88%914.86M50.13%1.09B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -7.17%-1.25B-65.56%-1.17B21.04%-707.23M13.37%-895.63M37.74%-1.03B-22.65%-1.66B29.77%-1.35B-241.54%-1.93B57.00%-564.38M19.69%-1.31B
Net intangibles purchase and sale 78.05%-4.59M28.59%-20.91M-710.38%-29.28M75.93%-3.61M50.97%-15.01M39.59%-30.61M-151.79%-50.67M-148.52%-20.12M70.94%-8.1M-198.20%-27.86M
Net business purchase and sale --13.73M--0-83.95%5.6M--34.9M--099.79%-110K-110.98%-52.4M415.19%477.25M-516.91%-151.42M292.27%36.32M
Net investment purchase and sale 85.77%-161.2M-724.26%-1.13B---137.42M--0-----43.36%252.98M959.52%446.63M-413.41%-51.96M---10.12M----
Net other investing changes -120.05%-182.48M43.78%-82.93M-133.36%-147.51M69.23%-63.21M-176.34%-205.44M56.96%-74.34M-13.83%-172.72M39.75%-151.73M26.48%-251.82M-898.80%-342.52M
Cash from discontinued investing activities
Investing cash flow 34.00%-1.59B-148.63%-2.41B-4.86%-968M26.12%-923.11M17.30%-1.25B-27.93%-1.51B25.40%-1.18B-61.98%-1.58B41.51%-977.35M21.16%-1.67B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 96.18%-106.13M-39.00%-2.78B-16.14%-2B-184.85%-1.72B1,587.47%2.03B-1,194.76%-136.47M94.80%-10.54M-150.83%-202.61M-34.90%398.63M1,269.38%612.35M
Net common stock issuance 50.60%-55.95M-105.85%-113.25M17.68%1.94B5,754.79%1.65B-47.46%28.1M299.27%53.49M-105.64%-26.84M-28.31%475.83M66,274.40%663.74M-99.94%1M
Cash dividends paid -0.66%-664.97M---660.59M-----104.53%-497K99.87%-243K-0.60%-189.44M-51.56%-188.31M-302.09%-124.25M---30.9M----
Net other financing activities 0.00%-1K---1K-----8,034,400.00%-80.35M50.00%-1K0.00%-2K99.86%-2K75.04%-1.39M24.06%-5.58M38.47%-7.35M
Cash from discontinued financing activities
Financing cash flow 76.72%-828.96M-4,857.06%-3.56B57.03%-71.85M-108.16%-167.19M764.97%2.05B-18.34%-307.93M-363.32%-260.22M-89.72%98.82M89.40%961.73M-66.60%507.78M
Net cash flow
Beginning cash position -23.36%5.58B41.94%7.27B17.90%5.13B6.55%4.35B-5.64%4.08B21.59%4.32B-2.24%3.56B25.84%3.64B-7.10%2.89B8.76%3.11B
Current changes in cash 132.75%665.98M-212.16%-2.03B195.03%1.81B319.61%614.56M165.29%146.46M-129.28%-224.33M1,159.60%766.27M-108.04%-72.32M1,290.71%899.25M-160.20%-75.52M
Effect of exchange rate changes -23.39%256.25M-0.57%334.48M105.59%336.4M35.43%163.63M724.08%120.82M-1,389.81%-19.36M-93.29%1.5M114.68%22.37M-40.15%-152.3M-186.94%-108.67M
End cash Position 16.54%6.5B-23.36%5.58B41.94%7.27B17.90%5.13B6.55%4.35B-5.64%4.08B21.59%4.32B-2.24%3.56B25.84%3.64B-7.10%2.89B
Free cash flow -34.47%1.8B38.09%2.74B148.30%1.99B146.79%799.58M-272.82%-1.71B-168.47%-458.37M223.88%669.49M-270.95%-540.43M53.22%-145.69M66.14%-311.44M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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