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SBI HOLDINGS INC (SBHGF)

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  • 19.600
  • +0.450+2.35%
15min DelayClose May 15 15:50 ET
12.67BMarket Cap4.97P/E (TTM)

SBI HOLDINGS INC (SBHGF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2026
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
83.03%516.67B
120.10%221.21B
348.87%121.75B
74.60%90.35B
99.40%282.29B
236.74%100.51B
-0.40%27.12B
20.32%51.75B
38.60%141.57B
-21.61%41.48B
Other non cash items
-321.12%-728.09B
-366.08%-558.38B
-74.94%-190.74B
94.69%-2.3B
65.07%-172.89B
9.43%-119.8B
-57.44%-109.03B
74.66%-43.35B
-57.44%-495.03B
-112.51%-122.39B
Change In working capital
55.45%1.68T
12.94%578.39B
-30.34%633.32B
335.58%902.33B
-20.50%1.08T
-32.03%512.12B
470.91%909.2B
-164.69%-383.03B
61.17%1.36T
193.15%591.43B
-Change in receivables
30.27%-1.48T
42.67%-343.71B
4.77%-289.32B
47.61%-336.61B
-126.39%-2.12T
-180.26%-599.53B
-29.41%-303.81B
-153.69%-642.54B
48.52%-936.26B
66.66%-234.31B
-Change in other current assets
-20.97%2.09T
-28.63%589.01B
-22.92%683.44B
500.88%914.01B
79.53%2.65T
71.08%825.31B
175.28%886.62B
385.37%152.11B
-55.44%1.48T
231.69%639.73B
-Change in other current liabilities
69.74%944.34B
29.96%187.02B
-56.57%123.11B
477.45%228.61B
-18.03%556.36B
-61.32%143.91B
1,461.84%283.47B
68.56%39.59B
211.06%678.7B
1,373.21%264.99B
Cash from discontinued investing activities
Operating cash flow
12.33%1.69T
-43.61%309.09B
-30.76%642.27B
462.22%1.06T
12.11%1.51T
-23.86%548.16B
315.70%927.62B
-47.80%-291.68B
40.07%1.35T
209.47%600B
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale
18.67%-42.1B
-20.55%-9.44B
13.10%-10.16B
36.35%-8.26B
-19.04%-51.76B
39.65%-7.83B
-12.31%-11.69B
-28.29%-12.97B
-15.74%-43.48B
9.98%-9.99B
Net business purchase and sale
-110.61%-11.86B
27.91%-847M
-756.96%-10.53B
-146.87%-1.73B
2,566.98%111.78B
85.55%-1.18B
232.92%1.6B
52.05%-702M
31.15%-4.53B
139.46%6.27B
Net investment purchase and sale
11.07%-1.05T
132.61%102.7B
-3,139.27%-675.78B
77.99%-132.84B
-12,099.02%-1.18T
-283.39%-314.92B
-296.57%-20.86B
-503.45%-603.53B
101.06%9.8B
-251.98%-322.13B
Net other investing changes
-459.05%-15.01B
-47.42%-28.1B
1,153.03%11.64B
-103.11%-741M
-121.31%-2.68B
-305.92%-19.06B
-170.47%-1.11B
175.86%23.84B
132.04%12.59B
-697.57%-6.87B
Cash from discontinued investing activities
Investing cash flow
-7.08%-1.14T
125.00%77.88B
-1,334.89%-690.86B
71.05%-159B
-1,528.56%-1.06T
-320.10%-311.56B
-168.15%-48.15B
-421.99%-549.19B
93.94%-65.12B
-316.61%-359.27B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-55.43%319.43B
-72.08%51.41B
98.50%75.05B
-123.34%-69.55B
344.86%716.76B
156.30%184.13B
-37.00%37.81B
398.14%297.97B
-79.07%161.12B
376.42%368.34B
Net common stock issuance
4,640.09%143.29B
-16,223.13%-25.8B
9,216.88%110.96B
-76.33%125M
-84.49%3.02B
-80.30%160M
-81.68%1.19B
1,408.57%528M
-80.14%19.49B
-34.00%12.15B
Cash dividends paid
-15.12%-55.62B
-45.97%-13.13B
5.79%-342M
-8.24%-42.06B
-18.05%-48.32B
-10.04%-9B
0.82%-363M
-20.33%-38.86B
-8.91%-40.93B
21.67%-94M
Net other financing activities
169.20%48.25B
10,688.23%291.5B
-668.33%-233.25B
11,792.05%28.42B
27.62%-69.72B
109.42%2.7B
-784.66%-30.36B
100.90%239M
-2,854.66%-96.32B
-394.97%-45.47B
Cash from discontinued financing activities
Financing cash flow
-0.71%442.71B
71.04%302.85B
-8,089.43%-52.17B
-133.08%-84.95B
1,428.49%445.89B
148.65%177.06B
-99.04%653M
4,377.99%256.77B
-96.40%29.17B
317.01%331.05B
Net cash flow
Beginning cash position
20.09%5.5T
27.69%6.22T
58.52%6.32T
20.09%5.5T
43.09%4.58T
40.79%4.87T
24.83%3.99T
43.09%4.58T
28.07%3.2T
13.24%3.98T
Current changes in cash
12.05%1T
66.76%689.82B
-111.45%-100.76B
239.11%812.57B
-31.73%894.18B
-16.86%413.66B
222.09%880.13B
-1,681.62%-584.1B
88.16%1.31T
288.80%571.78B
Effect of exchange rate changes
-55.56%11.57B
-122.05%-6.81B
-26.03%5.95B
151.39%5.27B
-62.61%26.03B
68.59%30.89B
276.72%8.05B
-140.85%-10.25B
1,181.72%69.62B
450.08%30.77B
End cash Position
16.36%6.4T
29.85%6.91T
27.69%6.22T
58.52%6.32T
20.09%5.5T
33.71%5.32T
40.79%4.87T
24.83%3.99T
43.09%4.58T
43.09%4.58T
Free cash flow
13.43%1.65T
-44.54%299.65B
-30.99%632.11B
444.09%1.05T
11.88%1.46T
-23.57%540.33B
330.55%915.93B
-46.85%-304.65B
41.06%1.3T
205.51%590.01B
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, 2026(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 83.03%516.67B120.10%221.21B348.87%121.75B74.60%90.35B99.40%282.29B236.74%100.51B-0.40%27.12B20.32%51.75B38.60%141.57B-21.61%41.48B
Other non cash items -321.12%-728.09B-366.08%-558.38B-74.94%-190.74B94.69%-2.3B65.07%-172.89B9.43%-119.8B-57.44%-109.03B74.66%-43.35B-57.44%-495.03B-112.51%-122.39B
Change In working capital 55.45%1.68T12.94%578.39B-30.34%633.32B335.58%902.33B-20.50%1.08T-32.03%512.12B470.91%909.2B-164.69%-383.03B61.17%1.36T193.15%591.43B
-Change in receivables 30.27%-1.48T42.67%-343.71B4.77%-289.32B47.61%-336.61B-126.39%-2.12T-180.26%-599.53B-29.41%-303.81B-153.69%-642.54B48.52%-936.26B66.66%-234.31B
-Change in other current assets -20.97%2.09T-28.63%589.01B-22.92%683.44B500.88%914.01B79.53%2.65T71.08%825.31B175.28%886.62B385.37%152.11B-55.44%1.48T231.69%639.73B
-Change in other current liabilities 69.74%944.34B29.96%187.02B-56.57%123.11B477.45%228.61B-18.03%556.36B-61.32%143.91B1,461.84%283.47B68.56%39.59B211.06%678.7B1,373.21%264.99B
Cash from discontinued investing activities
Operating cash flow 12.33%1.69T-43.61%309.09B-30.76%642.27B462.22%1.06T12.11%1.51T-23.86%548.16B315.70%927.62B-47.80%-291.68B40.07%1.35T209.47%600B
Investing cash flow
Cash flow from continuing investing activities
Net intangibles purchase and sale 18.67%-42.1B-20.55%-9.44B13.10%-10.16B36.35%-8.26B-19.04%-51.76B39.65%-7.83B-12.31%-11.69B-28.29%-12.97B-15.74%-43.48B9.98%-9.99B
Net business purchase and sale -110.61%-11.86B27.91%-847M-756.96%-10.53B-146.87%-1.73B2,566.98%111.78B85.55%-1.18B232.92%1.6B52.05%-702M31.15%-4.53B139.46%6.27B
Net investment purchase and sale 11.07%-1.05T132.61%102.7B-3,139.27%-675.78B77.99%-132.84B-12,099.02%-1.18T-283.39%-314.92B-296.57%-20.86B-503.45%-603.53B101.06%9.8B-251.98%-322.13B
Net other investing changes -459.05%-15.01B-47.42%-28.1B1,153.03%11.64B-103.11%-741M-121.31%-2.68B-305.92%-19.06B-170.47%-1.11B175.86%23.84B132.04%12.59B-697.57%-6.87B
Cash from discontinued investing activities
Investing cash flow -7.08%-1.14T125.00%77.88B-1,334.89%-690.86B71.05%-159B-1,528.56%-1.06T-320.10%-311.56B-168.15%-48.15B-421.99%-549.19B93.94%-65.12B-316.61%-359.27B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -55.43%319.43B-72.08%51.41B98.50%75.05B-123.34%-69.55B344.86%716.76B156.30%184.13B-37.00%37.81B398.14%297.97B-79.07%161.12B376.42%368.34B
Net common stock issuance 4,640.09%143.29B-16,223.13%-25.8B9,216.88%110.96B-76.33%125M-84.49%3.02B-80.30%160M-81.68%1.19B1,408.57%528M-80.14%19.49B-34.00%12.15B
Cash dividends paid -15.12%-55.62B-45.97%-13.13B5.79%-342M-8.24%-42.06B-18.05%-48.32B-10.04%-9B0.82%-363M-20.33%-38.86B-8.91%-40.93B21.67%-94M
Net other financing activities 169.20%48.25B10,688.23%291.5B-668.33%-233.25B11,792.05%28.42B27.62%-69.72B109.42%2.7B-784.66%-30.36B100.90%239M-2,854.66%-96.32B-394.97%-45.47B
Cash from discontinued financing activities
Financing cash flow -0.71%442.71B71.04%302.85B-8,089.43%-52.17B-133.08%-84.95B1,428.49%445.89B148.65%177.06B-99.04%653M4,377.99%256.77B-96.40%29.17B317.01%331.05B
Net cash flow
Beginning cash position 20.09%5.5T27.69%6.22T58.52%6.32T20.09%5.5T43.09%4.58T40.79%4.87T24.83%3.99T43.09%4.58T28.07%3.2T13.24%3.98T
Current changes in cash 12.05%1T66.76%689.82B-111.45%-100.76B239.11%812.57B-31.73%894.18B-16.86%413.66B222.09%880.13B-1,681.62%-584.1B88.16%1.31T288.80%571.78B
Effect of exchange rate changes -55.56%11.57B-122.05%-6.81B-26.03%5.95B151.39%5.27B-62.61%26.03B68.59%30.89B276.72%8.05B-140.85%-10.25B1,181.72%69.62B450.08%30.77B
End cash Position 16.36%6.4T29.85%6.91T27.69%6.22T58.52%6.32T20.09%5.5T33.71%5.32T40.79%4.87T24.83%3.99T43.09%4.58T43.09%4.58T
Free cash flow 13.43%1.65T-44.54%299.65B-30.99%632.11B444.09%1.05T11.88%1.46T-23.57%540.33B330.55%915.93B-46.85%-304.65B41.06%1.3T205.51%590.01B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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