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UNCHF UNICHARM CORP

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  • 31.320
  • +0.532+1.73%
15min DelayClose May 31 16:00 ET
18.49BMarket Cap33.25P/E (TTM)

UNICHARM CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
23.04%34.71B
14.35%132.31B
28.71%31.27B
14.29%40.05B
28.08%32.78B
-8.35%28.21B
-5.14%115.71B
19.51%24.29B
-5.02%35.04B
-16.18%25.6B
Other non cash items
168.48%515M
-85.01%735M
-43.97%2.51B
-87.36%705M
38.95%-1.73B
67.61%-752M
160.73%4.9B
152.77%4.48B
209.83%5.58B
-1,004.30%-2.83B
Change In working capital
-45.23%8.07B
145.16%19.05B
123.00%3.08B
79.79%-4.31B
337.81%5.54B
388.32%14.74B
-126.16%-42.17B
-949.59%-13.4B
-28.75%-21.34B
-136.53%-2.33B
-Change in receivables
-69.92%8.85B
136.09%8.27B
44.68%-13.98B
37.98%-4.07B
-26.69%-3.11B
158.64%29.43B
-385.59%-22.91B
-205.08%-25.26B
-100.95%-6.57B
-7.68%-2.45B
-Change in inventory
26.25%2.48B
192.08%20.69B
558.33%10.16B
99.17%-88M
205.97%8.66B
137.10%1.96B
2.93%-22.47B
123.04%1.54B
-37.30%-10.55B
-32.20%-8.17B
-Change in other current assets
128.87%425M
-108.70%-879M
-103.26%-204M
256.52%288M
-48.59%509M
-148.52%-1.47B
2,333.49%10.1B
--6.26B
---184M
--990M
-Change in other current liabilities
77.99%-530M
158.55%3.29B
697.37%3.95B
146.24%2.86B
-362.80%-1.11B
-589.97%-2.41B
-4.65%-5.62B
-81.20%495M
-719.05%-6.19B
-91.84%422M
Cash from discontinued investing activities
Operating cash flow
-1.74%42.25B
76.12%162.42B
95.88%48.09B
83.75%33.48B
52.01%37.85B
75.17%42.99B
-12.39%92.22B
-1.34%24.55B
-3.03%18.22B
-36.50%24.9B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-57.65%-11.97B
-14.27%-37.61B
-2.27%-9.73B
-53.14%-12.25B
7.92%-8.04B
-13.82%-7.59B
2.92%-32.91B
-1.35%-9.51B
7.98%-8B
3.23%-8.73B
Net business purchase and sale
--0
---11.12B
--0
---500M
--0
---10.62B
--0
--0
--0
--0
Net investment purchase and sale
-551.15%-67.67B
-114.94%-5.16B
69.90%46.17B
-696.01%-50.7B
316.00%9.76B
-157.03%-10.39B
191.21%34.51B
391.31%27.18B
65.56%-6.37B
56.61%-4.52B
Net other investing changes
1,828.57%135M
1,631.25%554M
9,950.00%402M
1,885.71%139M
-75.00%6M
333.33%7M
23.08%32M
-33.33%4M
240.00%7M
-7.69%24M
Cash from discontinued investing activities
Investing cash flow
-178.05%-79.52B
-845.09%-67.53B
92.73%22.67B
-340.71%-63.32B
110.68%1.72B
-347.67%-28.6B
91.05%-7.15B
144.03%11.76B
46.75%-14.37B
17.17%-16.09B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-322.97%-3.38B
96.43%-428M
97.93%-513M
-661.20%-4.45B
-65.66%3.02B
-66.66%1.52B
-391.47%-11.99B
-26,157.89%-24.76B
79.02%-585M
119.45%8.8B
Net common stock issuance
--0
-12.67%-17B
-200.00%-3M
50.23%-7B
-538.23%-10B
--0
-7.03%-15.09B
-100.14%-1M
-2,159.15%-14.06B
90.06%-1.57B
Cash dividends paid
-4.75%-11.82B
-4.72%-23.1B
-7.69%12M
-4.42%-11.84B
9.09%12M
-5.04%-11.28B
-8.63%-22.05B
18.18%13M
-5.65%-11.34B
-21.43%11M
Net other financing activities
-101.22%-1M
-518.25%-12.01B
--1M
-97.18%81M
---12.17B
--82M
287,000.00%2.87B
--0
287,100.00%2.87B
----
Cash from discontinued financing activities
Financing cash flow
-38.20%-18.7B
-8.69%-67.01B
92.51%-2.53B
-11.08%-27.41B
-661.63%-23.54B
-84.21%-13.53B
-36.46%-61.65B
-3,645.96%-33.83B
-19.92%-24.67B
128.74%4.19B
Net cash flow
Beginning cash position
16.86%253.77B
15.79%217.15B
-15.42%188.59B
0.69%243.72B
-1.19%220.64B
15.79%217.15B
-6.00%187.55B
19.31%222.97B
12.30%242.04B
6.09%223.29B
Current changes in cash
-6,570.52%-55.97B
19.05%27.88B
2,642.28%68.23B
-174.95%-57.25B
23.28%16.03B
-96.99%865M
218.49%23.42B
191.04%2.49B
27.62%-20.82B
149.66%13.01B
Effect of exchange rate changes
50.76%3.95B
41.22%8.74B
63.26%-3.05B
21.38%2.12B
22.74%7.05B
-62.59%2.62B
-20.58%6.19B
-344.15%-8.3B
1,472.07%1.75B
4,145.07%5.74B
End cash Position
-8.56%201.75B
16.86%253.77B
16.86%253.77B
-15.42%188.59B
0.69%243.72B
-1.19%220.64B
15.79%217.15B
15.79%217.15B
19.31%222.97B
12.30%242.04B
Free cash flow
-14.53%30.25B
109.23%124B
150.39%37.61B
107.57%21.21B
84.28%29.79B
98.15%35.39B
-16.03%59.27B
-3.03%15.02B
8.78%10.22B
-46.38%16.16B
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
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 23.04%34.71B14.35%132.31B28.71%31.27B14.29%40.05B28.08%32.78B-8.35%28.21B-5.14%115.71B19.51%24.29B-5.02%35.04B-16.18%25.6B
Other non cash items 168.48%515M-85.01%735M-43.97%2.51B-87.36%705M38.95%-1.73B67.61%-752M160.73%4.9B152.77%4.48B209.83%5.58B-1,004.30%-2.83B
Change In working capital -45.23%8.07B145.16%19.05B123.00%3.08B79.79%-4.31B337.81%5.54B388.32%14.74B-126.16%-42.17B-949.59%-13.4B-28.75%-21.34B-136.53%-2.33B
-Change in receivables -69.92%8.85B136.09%8.27B44.68%-13.98B37.98%-4.07B-26.69%-3.11B158.64%29.43B-385.59%-22.91B-205.08%-25.26B-100.95%-6.57B-7.68%-2.45B
-Change in inventory 26.25%2.48B192.08%20.69B558.33%10.16B99.17%-88M205.97%8.66B137.10%1.96B2.93%-22.47B123.04%1.54B-37.30%-10.55B-32.20%-8.17B
-Change in other current assets 128.87%425M-108.70%-879M-103.26%-204M256.52%288M-48.59%509M-148.52%-1.47B2,333.49%10.1B--6.26B---184M--990M
-Change in other current liabilities 77.99%-530M158.55%3.29B697.37%3.95B146.24%2.86B-362.80%-1.11B-589.97%-2.41B-4.65%-5.62B-81.20%495M-719.05%-6.19B-91.84%422M
Cash from discontinued investing activities
Operating cash flow -1.74%42.25B76.12%162.42B95.88%48.09B83.75%33.48B52.01%37.85B75.17%42.99B-12.39%92.22B-1.34%24.55B-3.03%18.22B-36.50%24.9B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -57.65%-11.97B-14.27%-37.61B-2.27%-9.73B-53.14%-12.25B7.92%-8.04B-13.82%-7.59B2.92%-32.91B-1.35%-9.51B7.98%-8B3.23%-8.73B
Net business purchase and sale --0---11.12B--0---500M--0---10.62B--0--0--0--0
Net investment purchase and sale -551.15%-67.67B-114.94%-5.16B69.90%46.17B-696.01%-50.7B316.00%9.76B-157.03%-10.39B191.21%34.51B391.31%27.18B65.56%-6.37B56.61%-4.52B
Net other investing changes 1,828.57%135M1,631.25%554M9,950.00%402M1,885.71%139M-75.00%6M333.33%7M23.08%32M-33.33%4M240.00%7M-7.69%24M
Cash from discontinued investing activities
Investing cash flow -178.05%-79.52B-845.09%-67.53B92.73%22.67B-340.71%-63.32B110.68%1.72B-347.67%-28.6B91.05%-7.15B144.03%11.76B46.75%-14.37B17.17%-16.09B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -322.97%-3.38B96.43%-428M97.93%-513M-661.20%-4.45B-65.66%3.02B-66.66%1.52B-391.47%-11.99B-26,157.89%-24.76B79.02%-585M119.45%8.8B
Net common stock issuance --0-12.67%-17B-200.00%-3M50.23%-7B-538.23%-10B--0-7.03%-15.09B-100.14%-1M-2,159.15%-14.06B90.06%-1.57B
Cash dividends paid -4.75%-11.82B-4.72%-23.1B-7.69%12M-4.42%-11.84B9.09%12M-5.04%-11.28B-8.63%-22.05B18.18%13M-5.65%-11.34B-21.43%11M
Net other financing activities -101.22%-1M-518.25%-12.01B--1M-97.18%81M---12.17B--82M287,000.00%2.87B--0287,100.00%2.87B----
Cash from discontinued financing activities
Financing cash flow -38.20%-18.7B-8.69%-67.01B92.51%-2.53B-11.08%-27.41B-661.63%-23.54B-84.21%-13.53B-36.46%-61.65B-3,645.96%-33.83B-19.92%-24.67B128.74%4.19B
Net cash flow
Beginning cash position 16.86%253.77B15.79%217.15B-15.42%188.59B0.69%243.72B-1.19%220.64B15.79%217.15B-6.00%187.55B19.31%222.97B12.30%242.04B6.09%223.29B
Current changes in cash -6,570.52%-55.97B19.05%27.88B2,642.28%68.23B-174.95%-57.25B23.28%16.03B-96.99%865M218.49%23.42B191.04%2.49B27.62%-20.82B149.66%13.01B
Effect of exchange rate changes 50.76%3.95B41.22%8.74B63.26%-3.05B21.38%2.12B22.74%7.05B-62.59%2.62B-20.58%6.19B-344.15%-8.3B1,472.07%1.75B4,145.07%5.74B
End cash Position -8.56%201.75B16.86%253.77B16.86%253.77B-15.42%188.59B0.69%243.72B-1.19%220.64B15.79%217.15B15.79%217.15B19.31%222.97B12.30%242.04B
Free cash flow -14.53%30.25B109.23%124B150.39%37.61B107.57%21.21B84.28%29.79B98.15%35.39B-16.03%59.27B-3.03%15.02B8.78%10.22B-46.38%16.16B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Price Target

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