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Honda Motor Co Ltd (HNDA)

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  • 11.350
  • 0.0000.00%
15min DelayMarket Closed Jan 14 15:04 ET
44.18BMarket Cap7.94P/E (TTM)

Honda Motor Co Ltd (HNDA) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)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 flow from continuing operating activities
86.86%280.2B
205.41%85.66B
-60.90%292.15B
-57.36%138.83B
102.63%84.63B
-18.43%149.95B
-141.43%-81.26B
-64.90%747.28B
-21.79%325.56B
-88.75%41.77B
Net income from continuing operations
28.83%235.09B
-47.75%292.33B
-19.77%1.32T
-75.63%92.08B
25.53%483.61B
-49.92%182.48B
8.65%559.47B
86.73%1.64T
1,771.71%377.86B
12.14%385.24B
Operating gains losses
-130.11%-6.68B
-193.79%-4.21B
99.11%-982M
35.14%-28.25B
1,298.16%6.51B
192.97%22.19B
96.65%-1.43B
5.64%-110.82B
-238.51%-43.55B
99.18%-543M
Depreciation and amortization
67.94%300.41B
-4.96%178.61B
-6.48%742.86B
2.04%194.89B
-21.09%181.16B
-4.89%178.88B
1.20%187.93B
10.08%794.37B
3.39%191B
27.85%229.59B
Other non cashItems
-204.58%-92.65B
185.10%67.13B
6.37%-319.77B
21.85%-65.45B
-214.52%-145.02B
78.11%-30.42B
-8.49%-78.88B
-55.70%-341.51B
-118.03%-83.75B
-23.89%-46.11B
Change In working capital
25.35%-97.74B
29.09%-512.12B
-19.22%-1.35T
13.10%-22.75B
1.72%-473.42B
27.48%-130.93B
-62.88%-722.24B
-232.25%-1.13T
-116.46%-26.18B
-938.30%-481.71B
-Change in receivables
91.89%-12.5B
94.84%-9.22B
47.56%-835.15B
20.27%-279.89B
58.64%-222.33B
69.25%-154.19B
11.82%-178.73B
-706.81%-1.59T
22.70%-351.06B
-587.70%-537.57B
-Change in inventory
-170.92%-54.77B
171.72%77.85B
-17.15%-79.46B
-663.14%-48.33B
229.29%97.63B
32.73%-20.22B
-472.42%-108.55B
60.44%-67.83B
116.09%8.58B
-750.61%-75.51B
-Change in payables and accrued expense
-24.18%118.48B
-22.89%-309.68B
-4.46%185.44B
62.87%400.32B
-443.68%-119.15B
10.64%156.26B
-10.72%-251.99B
31.69%194.1B
-20.72%245.78B
168.64%34.67B
-Change in other current assets
40.57%-108.99B
-123.61%-171.61B
-5,550.68%-690.11B
-207.22%-205.3B
-1,294.65%-224.66B
-462.84%-183.4B
-270.35%-76.75B
-98.35%12.66B
-158.32%-66.83B
-110.09%-16.11B
-Change in other working capital
-156.59%-39.96B
6.36%-99.47B
-78.27%69.95B
-19.57%110.46B
-104.35%-4.9B
-55.62%70.61B
-21.63%-106.23B
4.10%321.92B
-43.23%137.34B
226.70%112.81B
Dividends received (cash flow from operating activities)
-74.55%7.69B
2.25%52.17B
-20.08%126.34B
-17.63%11.66B
93.25%33.45B
-66.55%30.21B
40.44%51.02B
-35.45%158.09B
-85.53%14.15B
11.56%17.31B
Interest paid (cash flow from operating activities)
-12.21%-127.87B
-0.87%-100.07B
-54.91%-439.08B
-24.80%-126.67B
-39.34%-99.25B
-67.94%-113.96B
-131.46%-99.21B
-78.25%-283.45B
-80.83%-101.5B
-105.95%-71.23B
Interest received (cash flow from operating activities)
7.72%195.23B
-1.25%178.78B
31.56%737.65B
20.08%184.68B
26.35%190.67B
28.65%181.25B
57.28%181.05B
72.93%560.71B
64.33%153.8B
73.66%150.91B
Tax refund paid
21.49%-133.27B
57.88%-66.97B
3.23%-523.18B
35.13%-101.37B
34.31%-93.08B
9.99%-169.75B
-193.82%-158.98B
-34.71%-540.66B
-105.54%-156.28B
-102.45%-141.7B
Cash from discontinued investing activities
Operating cash flow
86.86%280.2B
205.41%85.66B
-60.90%292.15B
-57.36%138.83B
102.63%84.63B
-18.43%149.95B
-141.43%-81.26B
-64.90%747.28B
-21.79%325.56B
-88.75%41.77B
Investing cash flow
Cash flow from continuing investing activities
55.09%-146.64B
-9.08%-210.08B
-8.61%-941.97B
6.34%-305.19B
53.36%-117.67B
-100.87%-326.51B
-52.15%-192.6B
-27.90%-867.27B
-248.99%-325.85B
-61.69%-252.3B
Net PPE purchase and sale
-18.03%-95.89B
9.53%-125.52B
-49.15%-498.55B
-57.59%-173.67B
-20.71%-104.89B
-17.24%-81.24B
-104.42%-138.75B
27.15%-334.26B
-26.92%-110.2B
36.21%-86.89B
Net intangibles purchas and sale
20.58%-58.73B
-5.23%-72.21B
-29.48%-336.63B
-9.59%-105.61B
-33.77%-88.45B
-33.54%-73.95B
-62.90%-68.62B
-65.13%-259.99B
-162.36%-96.36B
-49.35%-66.12B
Net business purchase and sale
121.49%10.82B
-5,148.01%-43.61B
29.53%-135.53B
28.36%-57.67B
61.98%-26.67B
-2,417.90%-50.36B
97.91%-831M
-733.02%-192.31B
-531.48%-80.49B
---70.15B
Net investment purchase and sale
97.65%-2.84B
100.38%31.27B
135.61%28.74B
181.86%31.76B
451.26%102.34B
-237.15%-120.96B
-32.43%15.6B
-108.59%-80.71B
-190.34%-38.79B
-219.19%-29.14B
Cash from discontinued investing activities
Investing cash flow
55.09%-146.64B
-9.08%-210.08B
-8.61%-941.97B
6.34%-305.19B
53.36%-117.67B
-100.87%-326.51B
-52.15%-192.6B
-27.90%-867.27B
-248.99%-325.85B
-61.69%-252.3B
Financing cash flow
Cash flow from continuing financing activities
80.15%424.54B
-496.74%-325.12B
-69.47%280.48B
-128.45%-118.34B
-68.72%81.22B
-8.60%235.65B
655.02%81.95B
162.56%918.65B
378.15%415.97B
170.93%259.63B
Net issuance payments of debt
60.72%757.03B
-30.59%212.63B
-5.39%1.41T
-30.71%328.34B
-36.85%307.76B
28.05%471.03B
85.71%306.33B
242.71%1.49T
762.66%473.84B
344.45%487.35B
Net common stock issuance
-44.65%-306.97B
-2,881.27%-363.21B
-188.80%-722.04B
-1,048.99%-430.11B
0.63%-67.53B
-148.19%-212.21B
79.39%-12.18B
-59.63%-250.01B
44.03%-37.43B
-11.41%-67.96B
Cash dividends paid
--0
21.47%-147.96B
-43.80%-347.81B
--0
-12.28%-159.39B
--0
-88.58%-188.42B
-13.30%-241.87B
--0
-38.87%-141.95B
Net other financing activities
-10.15%-25.52B
-11.75%-26.58B
24.35%-63.14B
18.93%-16.56B
102.07%368M
5.59%-23.17B
-14.93%-23.78B
-62.46%-83.47B
-83.04%-20.43B
-414.36%-17.81B
Cash from discontinued financing activities
Financing cash flow
80.15%424.54B
-496.74%-325.12B
-69.47%280.48B
-128.45%-118.34B
-68.72%81.22B
-8.60%235.65B
655.02%81.95B
162.56%918.65B
378.15%415.97B
170.93%259.63B
Net cash flow
Beginning cash position
-19.36%4.01T
-8.59%4.53T
30.28%4.95T
14.19%4.96T
4.09%4.62T
21.89%4.98T
30.28%4.95T
3.49%3.8T
20.84%4.34T
12.84%4.44T
Current changes in cash
844.31%558.1B
-134.24%-449.54B
-146.24%-369.34B
-168.49%-284.7B
-1.87%48.18B
-78.82%59.1B
-450.38%-191.92B
4,690.77%798.66B
139.79%415.68B
132.59%49.1B
Effect of exchange rate changes
125.61%106.04B
-130.52%-65.5B
-115.99%-56.43B
-175.89%-147.53B
300.19%290.56B
-630.73%-414.08B
-4.87%214.61B
142.57%352.89B
462.24%194.41B
23.45%-145.14B
End cash Position
1.20%4.68T
-19.36%4.01T
-8.59%4.53T
-8.59%4.53T
14.19%4.96T
4.09%4.62T
21.89%4.98T
30.28%4.95T
30.28%4.95T
20.84%4.34T
Free cash from
1,699.03%115.96B
60.25%-114.74B
-500.60%-555.28B
-237.12%-150.32B
2.69%-109.04B
-112.89%-7.25B
-440.47%-288.68B
-90.74%138.61B
-62.36%109.62B
-159.03%-112.06B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)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 flow from continuing operating activities 86.86%280.2B205.41%85.66B-60.90%292.15B-57.36%138.83B102.63%84.63B-18.43%149.95B-141.43%-81.26B-64.90%747.28B-21.79%325.56B-88.75%41.77B
Net income from continuing operations 28.83%235.09B-47.75%292.33B-19.77%1.32T-75.63%92.08B25.53%483.61B-49.92%182.48B8.65%559.47B86.73%1.64T1,771.71%377.86B12.14%385.24B
Operating gains losses -130.11%-6.68B-193.79%-4.21B99.11%-982M35.14%-28.25B1,298.16%6.51B192.97%22.19B96.65%-1.43B5.64%-110.82B-238.51%-43.55B99.18%-543M
Depreciation and amortization 67.94%300.41B-4.96%178.61B-6.48%742.86B2.04%194.89B-21.09%181.16B-4.89%178.88B1.20%187.93B10.08%794.37B3.39%191B27.85%229.59B
Other non cashItems -204.58%-92.65B185.10%67.13B6.37%-319.77B21.85%-65.45B-214.52%-145.02B78.11%-30.42B-8.49%-78.88B-55.70%-341.51B-118.03%-83.75B-23.89%-46.11B
Change In working capital 25.35%-97.74B29.09%-512.12B-19.22%-1.35T13.10%-22.75B1.72%-473.42B27.48%-130.93B-62.88%-722.24B-232.25%-1.13T-116.46%-26.18B-938.30%-481.71B
-Change in receivables 91.89%-12.5B94.84%-9.22B47.56%-835.15B20.27%-279.89B58.64%-222.33B69.25%-154.19B11.82%-178.73B-706.81%-1.59T22.70%-351.06B-587.70%-537.57B
-Change in inventory -170.92%-54.77B171.72%77.85B-17.15%-79.46B-663.14%-48.33B229.29%97.63B32.73%-20.22B-472.42%-108.55B60.44%-67.83B116.09%8.58B-750.61%-75.51B
-Change in payables and accrued expense -24.18%118.48B-22.89%-309.68B-4.46%185.44B62.87%400.32B-443.68%-119.15B10.64%156.26B-10.72%-251.99B31.69%194.1B-20.72%245.78B168.64%34.67B
-Change in other current assets 40.57%-108.99B-123.61%-171.61B-5,550.68%-690.11B-207.22%-205.3B-1,294.65%-224.66B-462.84%-183.4B-270.35%-76.75B-98.35%12.66B-158.32%-66.83B-110.09%-16.11B
-Change in other working capital -156.59%-39.96B6.36%-99.47B-78.27%69.95B-19.57%110.46B-104.35%-4.9B-55.62%70.61B-21.63%-106.23B4.10%321.92B-43.23%137.34B226.70%112.81B
Dividends received (cash flow from operating activities) -74.55%7.69B2.25%52.17B-20.08%126.34B-17.63%11.66B93.25%33.45B-66.55%30.21B40.44%51.02B-35.45%158.09B-85.53%14.15B11.56%17.31B
Interest paid (cash flow from operating activities) -12.21%-127.87B-0.87%-100.07B-54.91%-439.08B-24.80%-126.67B-39.34%-99.25B-67.94%-113.96B-131.46%-99.21B-78.25%-283.45B-80.83%-101.5B-105.95%-71.23B
Interest received (cash flow from operating activities) 7.72%195.23B-1.25%178.78B31.56%737.65B20.08%184.68B26.35%190.67B28.65%181.25B57.28%181.05B72.93%560.71B64.33%153.8B73.66%150.91B
Tax refund paid 21.49%-133.27B57.88%-66.97B3.23%-523.18B35.13%-101.37B34.31%-93.08B9.99%-169.75B-193.82%-158.98B-34.71%-540.66B-105.54%-156.28B-102.45%-141.7B
Cash from discontinued investing activities
Operating cash flow 86.86%280.2B205.41%85.66B-60.90%292.15B-57.36%138.83B102.63%84.63B-18.43%149.95B-141.43%-81.26B-64.90%747.28B-21.79%325.56B-88.75%41.77B
Investing cash flow
Cash flow from continuing investing activities 55.09%-146.64B-9.08%-210.08B-8.61%-941.97B6.34%-305.19B53.36%-117.67B-100.87%-326.51B-52.15%-192.6B-27.90%-867.27B-248.99%-325.85B-61.69%-252.3B
Net PPE purchase and sale -18.03%-95.89B9.53%-125.52B-49.15%-498.55B-57.59%-173.67B-20.71%-104.89B-17.24%-81.24B-104.42%-138.75B27.15%-334.26B-26.92%-110.2B36.21%-86.89B
Net intangibles purchas and sale 20.58%-58.73B-5.23%-72.21B-29.48%-336.63B-9.59%-105.61B-33.77%-88.45B-33.54%-73.95B-62.90%-68.62B-65.13%-259.99B-162.36%-96.36B-49.35%-66.12B
Net business purchase and sale 121.49%10.82B-5,148.01%-43.61B29.53%-135.53B28.36%-57.67B61.98%-26.67B-2,417.90%-50.36B97.91%-831M-733.02%-192.31B-531.48%-80.49B---70.15B
Net investment purchase and sale 97.65%-2.84B100.38%31.27B135.61%28.74B181.86%31.76B451.26%102.34B-237.15%-120.96B-32.43%15.6B-108.59%-80.71B-190.34%-38.79B-219.19%-29.14B
Cash from discontinued investing activities
Investing cash flow 55.09%-146.64B-9.08%-210.08B-8.61%-941.97B6.34%-305.19B53.36%-117.67B-100.87%-326.51B-52.15%-192.6B-27.90%-867.27B-248.99%-325.85B-61.69%-252.3B
Financing cash flow
Cash flow from continuing financing activities 80.15%424.54B-496.74%-325.12B-69.47%280.48B-128.45%-118.34B-68.72%81.22B-8.60%235.65B655.02%81.95B162.56%918.65B378.15%415.97B170.93%259.63B
Net issuance payments of debt 60.72%757.03B-30.59%212.63B-5.39%1.41T-30.71%328.34B-36.85%307.76B28.05%471.03B85.71%306.33B242.71%1.49T762.66%473.84B344.45%487.35B
Net common stock issuance -44.65%-306.97B-2,881.27%-363.21B-188.80%-722.04B-1,048.99%-430.11B0.63%-67.53B-148.19%-212.21B79.39%-12.18B-59.63%-250.01B44.03%-37.43B-11.41%-67.96B
Cash dividends paid --021.47%-147.96B-43.80%-347.81B--0-12.28%-159.39B--0-88.58%-188.42B-13.30%-241.87B--0-38.87%-141.95B
Net other financing activities -10.15%-25.52B-11.75%-26.58B24.35%-63.14B18.93%-16.56B102.07%368M5.59%-23.17B-14.93%-23.78B-62.46%-83.47B-83.04%-20.43B-414.36%-17.81B
Cash from discontinued financing activities
Financing cash flow 80.15%424.54B-496.74%-325.12B-69.47%280.48B-128.45%-118.34B-68.72%81.22B-8.60%235.65B655.02%81.95B162.56%918.65B378.15%415.97B170.93%259.63B
Net cash flow
Beginning cash position -19.36%4.01T-8.59%4.53T30.28%4.95T14.19%4.96T4.09%4.62T21.89%4.98T30.28%4.95T3.49%3.8T20.84%4.34T12.84%4.44T
Current changes in cash 844.31%558.1B-134.24%-449.54B-146.24%-369.34B-168.49%-284.7B-1.87%48.18B-78.82%59.1B-450.38%-191.92B4,690.77%798.66B139.79%415.68B132.59%49.1B
Effect of exchange rate changes 125.61%106.04B-130.52%-65.5B-115.99%-56.43B-175.89%-147.53B300.19%290.56B-630.73%-414.08B-4.87%214.61B142.57%352.89B462.24%194.41B23.45%-145.14B
End cash Position 1.20%4.68T-19.36%4.01T-8.59%4.53T-8.59%4.53T14.19%4.96T4.09%4.62T21.89%4.98T30.28%4.95T30.28%4.95T20.84%4.34T
Free cash from 1,699.03%115.96B60.25%-114.74B-500.60%-555.28B-237.12%-150.32B2.69%-109.04B-112.89%-7.25B-440.47%-288.68B-90.74%138.61B-62.36%109.62B-159.03%-112.06B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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