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4617 Chugoku Marine Paints

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  • 2584
  • +49+1.93%
20min DelayNoon Break Nov 7 11:16 JST
142.12BMarket Cap12.95P/E (Static)

Chugoku Marine Paints Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
1,475.70%14.07B
27.69%5.13B
233.81%3.91B
411.93%2.79B
399.06%2.23B
-39.25%893M
1,727.53%4.02B
-544.27%-2.93B
2.64%545M
-145.55%-747M
Net profit before non-cash adjustment
141.03%12.6B
31.15%2.32B
62.49%4.38B
266.24%3.45B
1,452.49%2.45B
223.72%5.23B
6,006.67%1.77B
8,883.33%2.7B
252.81%942M
-113.43%-181M
Total adjustment of non-cash items
152.46%2.57B
94.47%1.94B
118.71%116M
209.31%631M
-126.77%-117M
38.04%1.02B
162.53%995M
-349.00%-620M
-33.33%204M
320.71%437M
-Depreciation and amortization
2.37%1.64B
8.61%429M
1.21%418M
-1.96%400M
1.81%394M
-22.00%1.6B
-21.78%395M
-21.48%413M
-21.54%408M
-23.21%387M
-Reversal of impairment losses recognized in profit and loss
1,300.00%644M
----
----
----
----
--46M
----
----
----
----
-Disposal profit
85.20%-169M
105.75%15M
83.14%-129M
101.05%1M
-166.67%-56M
-95.21%-1.14B
16.61%-261M
-76,600.00%-765M
-2,475.00%-95M
92.42%-21M
-Net exchange gains and losses
-171.95%-59M
-14.67%128M
-340.74%-119M
-146.15%-64M
73.33%-4M
196.47%82M
3,100.00%150M
3.57%-27M
-271.43%-26M
66.67%-15M
-Other non-cash items
18.97%508M
8.12%719M
77.59%-54M
454.22%294M
-624.42%-451M
165.79%427M
246.35%665M
3.60%-241M
60.66%-83M
122.63%86M
Changes in working capital
79.50%-1.1B
-30.44%873M
88.38%-581M
-115.14%-1.29B
90.46%-96M
-509.45%-5.35B
311.64%1.26B
-580.14%-5B
-1,481.58%-601M
-306.15%-1.01B
-Change in receivables
-2.36%-3.55B
14.65%454M
56.32%-850M
-23.99%-1.5B
-133.24%-1.66B
-248.76%-3.47B
1.28%396M
-19,360.00%-1.95B
-302.17%-1.21B
-152.48%-710M
-Change in inventory
189.68%2.13B
-82.94%417M
91.62%-216M
171.88%1.15B
220.87%782M
14.27%-2.37B
1,122.00%2.44B
-193.17%-2.58B
-161.58%-1.59B
56.28%-647M
-Change in payables
7.74%933M
154.64%648M
345.93%605M
-124.78%-524M
11.48%204M
30.62%866M
-58.56%-1.19B
-161.50%-246M
586.69%2.12B
-73.97%183M
-Provision for loans, leases and other losses
-4,645.00%-949M
-87.27%-412M
1,153.85%163M
-912.90%-756M
-40.43%56M
96.26%-20M
32.31%-220M
107.43%13M
198.94%93M
59.32%94M
-Changes in other current assets
196.34%342M
-30.73%-234M
-16.46%-283M
4,971.43%341M
600.00%518M
37.72%-355M
-61.26%-179M
-242.25%-243M
97.10%-7M
150.34%74M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-21.75%-515M
-36.67%-164M
-25.93%-136M
-5.71%-111M
-15.56%-104M
-17.17%-423M
-22.45%-120M
-21.35%-108M
-15.38%-105M
-8.43%-90M
Interest received (cash flow from operating activities)
35.01%617M
197.44%116M
11.45%185M
116.67%91M
7.14%225M
68.01%457M
62.50%39M
62.75%166M
44.83%42M
79.49%210M
Tax refund paid
-99.11%-1.79B
-5.59%-397M
-69.02%-551M
-482.81%-373M
-254.96%-465M
44.60%-897M
-155.78%-376M
41.47%-326M
76.81%-64M
79.50%-131M
Other operating cash inflow (outflow)
200.00%1M
300.00%2M
0
0
50.00%-1M
-1M
-1M
0
100.00%2M
-100.00%-2M
Operating cash flow
42,617.24%12.39B
31.67%4.69B
206.86%3.41B
470.71%2.4B
348.55%1.89B
112.18%29M
861.11%3.56B
-219.94%-3.19B
116.49%420M
-173.50%-760M
Investing cash flow
Net PPE purchase and sale
--1.52B
----
----
----
----
--0
----
----
----
----
Net investment product transactions
-186.44%-1.73B
-663.87%-1.34B
-104.30%-92M
-148.00%-1.12B
1,059.15%823M
76.50%2B
-77.88%238M
181.08%2.14B
25.37%-450M
169.61%71M
Net changes in other investments
4.18%-1.42B
-68.13%-612M
54.18%-192M
18.93%-317M
2.90%-301M
-51.89%-1.48B
-25.95%-364M
-229.92%-419M
-6.83%-391M
-58.97%-310M
Investing cash flow
-416.15%-1.63B
-241.27%-430M
-116.51%-284M
-70.39%-1.43B
318.41%522M
231.61%514M
-116.01%-126M
171.29%1.72B
13.21%-841M
19.53%-239M
Financing cash flow
Net issuance payments of debt
-59.68%1.19B
-149.31%-3.98B
68.41%4.35B
445.88%1.18B
-115.56%-357M
1,389.04%2.94B
-4.79%-1.6B
56.46%2.58B
-0.89%-340M
13,600.00%2.3B
Net common stock issuance
101.83%22M
--0
--0
0.00%22M
--0
67.42%-1.2B
100.68%4M
-57.94%-965M
103.63%22M
86.11%-261M
Cash dividends paid
-45.29%-2.57B
-133.33%-7M
-95.91%-1.68B
3.45%-28M
2.38%-863M
2.42%-1.77B
25.00%-3M
3.17%-855M
-3.57%-29M
1.78%-884M
Cash dividends for minorities
8.96%-366M
---4M
17.20%-313M
-104.17%-49M
--0
-4.69%-402M
--0
-13.86%-378M
-118.18%-24M
--0
Net other fund-raising expenses
-12.73%-248M
-5.08%-62M
-11.11%-60M
-17.86%-66M
-17.65%-60M
-5.77%-220M
-15.69%-59M
-3.85%-54M
-5.66%-56M
1.92%-51M
Financing cash flow
-202.75%-1.98B
-144.98%-4.05B
600.30%2.3B
347.07%1.06B
-216.47%-1.28B
89.65%-654M
23.60%-1.65B
243.23%328M
58.74%-427M
138.04%1.1B
Net cash flow
Beginning cash position
6.22%18.21B
62.55%28.49B
20.39%22.21B
7.32%19.46B
6.22%18.21B
-21.77%17.15B
-5.02%17.53B
-2.84%18.45B
-12.86%18.13B
-21.77%17.15B
Current changes in cash
8,012.61%8.78B
-88.33%208M
573.80%5.43B
338.09%2.02B
1,031.00%1.13B
98.27%-111M
196.53%1.78B
-93.09%-1.15B
53.15%-848M
104.65%100M
Effect of exchange rate changes
-39.66%709M
9.21%-996M
284.30%857M
-36.91%735M
-87.22%113M
-27.91%1.18B
-303.90%-1.1B
277.97%223M
14,662.50%1.17B
-15.08%884M
Cash adjustments other than cash changes
-150.00%-1M
----
----
----
--2M
300.00%2M
--0
--1M
----
----
End cash Position
52.11%27.71B
52.11%27.71B
62.55%28.49B
20.39%22.21B
7.32%19.46B
6.22%18.21B
6.22%18.21B
-5.02%17.53B
-2.84%18.45B
-12.86%18.13B
Free cash flow
42,617.24%12.39B
31.67%4.69B
206.86%3.41B
470.71%2.4B
348.55%1.89B
112.18%29M
861.11%3.56B
-219.94%-3.19B
116.49%420M
-173.50%-760M
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, 2024 (Q4)Mar 31, 2024 (Q3)Dec 31, 2023 (Q2)Sep 30, 2023 (Q1)Jun 30, 2023 (FY)Mar 31, 2023 (Q4)Mar 31, 2023 (Q3)Dec 31, 2022 (Q2)Sep 30, 2022 (Q1)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 1,475.70%14.07B 27.69%5.13B 233.81%3.91B 411.93%2.79B 399.06%2.23B -39.25%893M 1,727.53%4.02B -544.27%-2.93B 2.64%545M -145.55%-747M
Net profit before non-cash adjustment 141.03%12.6B 31.15%2.32B 62.49%4.38B 266.24%3.45B 1,452.49%2.45B 223.72%5.23B 6,006.67%1.77B 8,883.33%2.7B 252.81%942M -113.43%-181M
Total adjustment of non-cash items 152.46%2.57B 94.47%1.94B 118.71%116M 209.31%631M -126.77%-117M 38.04%1.02B 162.53%995M -349.00%-620M -33.33%204M 320.71%437M
-Depreciation and amortization 2.37%1.64B 8.61%429M 1.21%418M -1.96%400M 1.81%394M -22.00%1.6B -21.78%395M -21.48%413M -21.54%408M -23.21%387M
-Reversal of impairment losses recognized in profit and loss 1,300.00%644M ---- ---- ---- ---- --46M ---- ---- ---- ----
-Disposal profit 85.20%-169M 105.75%15M 83.14%-129M 101.05%1M -166.67%-56M -95.21%-1.14B 16.61%-261M -76,600.00%-765M -2,475.00%-95M 92.42%-21M
-Net exchange gains and losses -171.95%-59M -14.67%128M -340.74%-119M -146.15%-64M 73.33%-4M 196.47%82M 3,100.00%150M 3.57%-27M -271.43%-26M 66.67%-15M
-Other non-cash items 18.97%508M 8.12%719M 77.59%-54M 454.22%294M -624.42%-451M 165.79%427M 246.35%665M 3.60%-241M 60.66%-83M 122.63%86M
Changes in working capital 79.50%-1.1B -30.44%873M 88.38%-581M -115.14%-1.29B 90.46%-96M -509.45%-5.35B 311.64%1.26B -580.14%-5B -1,481.58%-601M -306.15%-1.01B
-Change in receivables -2.36%-3.55B 14.65%454M 56.32%-850M -23.99%-1.5B -133.24%-1.66B -248.76%-3.47B 1.28%396M -19,360.00%-1.95B -302.17%-1.21B -152.48%-710M
-Change in inventory 189.68%2.13B -82.94%417M 91.62%-216M 171.88%1.15B 220.87%782M 14.27%-2.37B 1,122.00%2.44B -193.17%-2.58B -161.58%-1.59B 56.28%-647M
-Change in payables 7.74%933M 154.64%648M 345.93%605M -124.78%-524M 11.48%204M 30.62%866M -58.56%-1.19B -161.50%-246M 586.69%2.12B -73.97%183M
-Provision for loans, leases and other losses -4,645.00%-949M -87.27%-412M 1,153.85%163M -912.90%-756M -40.43%56M 96.26%-20M 32.31%-220M 107.43%13M 198.94%93M 59.32%94M
-Changes in other current assets 196.34%342M -30.73%-234M -16.46%-283M 4,971.43%341M 600.00%518M 37.72%-355M -61.26%-179M -242.25%-243M 97.10%-7M 150.34%74M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -21.75%-515M -36.67%-164M -25.93%-136M -5.71%-111M -15.56%-104M -17.17%-423M -22.45%-120M -21.35%-108M -15.38%-105M -8.43%-90M
Interest received (cash flow from operating activities) 35.01%617M 197.44%116M 11.45%185M 116.67%91M 7.14%225M 68.01%457M 62.50%39M 62.75%166M 44.83%42M 79.49%210M
Tax refund paid -99.11%-1.79B -5.59%-397M -69.02%-551M -482.81%-373M -254.96%-465M 44.60%-897M -155.78%-376M 41.47%-326M 76.81%-64M 79.50%-131M
Other operating cash inflow (outflow) 200.00%1M 300.00%2M 0 0 50.00%-1M -1M -1M 0 100.00%2M -100.00%-2M
Operating cash flow 42,617.24%12.39B 31.67%4.69B 206.86%3.41B 470.71%2.4B 348.55%1.89B 112.18%29M 861.11%3.56B -219.94%-3.19B 116.49%420M -173.50%-760M
Investing cash flow
Net PPE purchase and sale --1.52B ---- ---- ---- ---- --0 ---- ---- ---- ----
Net investment product transactions -186.44%-1.73B -663.87%-1.34B -104.30%-92M -148.00%-1.12B 1,059.15%823M 76.50%2B -77.88%238M 181.08%2.14B 25.37%-450M 169.61%71M
Net changes in other investments 4.18%-1.42B -68.13%-612M 54.18%-192M 18.93%-317M 2.90%-301M -51.89%-1.48B -25.95%-364M -229.92%-419M -6.83%-391M -58.97%-310M
Investing cash flow -416.15%-1.63B -241.27%-430M -116.51%-284M -70.39%-1.43B 318.41%522M 231.61%514M -116.01%-126M 171.29%1.72B 13.21%-841M 19.53%-239M
Financing cash flow
Net issuance payments of debt -59.68%1.19B -149.31%-3.98B 68.41%4.35B 445.88%1.18B -115.56%-357M 1,389.04%2.94B -4.79%-1.6B 56.46%2.58B -0.89%-340M 13,600.00%2.3B
Net common stock issuance 101.83%22M --0 --0 0.00%22M --0 67.42%-1.2B 100.68%4M -57.94%-965M 103.63%22M 86.11%-261M
Cash dividends paid -45.29%-2.57B -133.33%-7M -95.91%-1.68B 3.45%-28M 2.38%-863M 2.42%-1.77B 25.00%-3M 3.17%-855M -3.57%-29M 1.78%-884M
Cash dividends for minorities 8.96%-366M ---4M 17.20%-313M -104.17%-49M --0 -4.69%-402M --0 -13.86%-378M -118.18%-24M --0
Net other fund-raising expenses -12.73%-248M -5.08%-62M -11.11%-60M -17.86%-66M -17.65%-60M -5.77%-220M -15.69%-59M -3.85%-54M -5.66%-56M 1.92%-51M
Financing cash flow -202.75%-1.98B -144.98%-4.05B 600.30%2.3B 347.07%1.06B -216.47%-1.28B 89.65%-654M 23.60%-1.65B 243.23%328M 58.74%-427M 138.04%1.1B
Net cash flow
Beginning cash position 6.22%18.21B 62.55%28.49B 20.39%22.21B 7.32%19.46B 6.22%18.21B -21.77%17.15B -5.02%17.53B -2.84%18.45B -12.86%18.13B -21.77%17.15B
Current changes in cash 8,012.61%8.78B -88.33%208M 573.80%5.43B 338.09%2.02B 1,031.00%1.13B 98.27%-111M 196.53%1.78B -93.09%-1.15B 53.15%-848M 104.65%100M
Effect of exchange rate changes -39.66%709M 9.21%-996M 284.30%857M -36.91%735M -87.22%113M -27.91%1.18B -303.90%-1.1B 277.97%223M 14,662.50%1.17B -15.08%884M
Cash adjustments other than cash changes -150.00%-1M ---- ---- ---- --2M 300.00%2M --0 --1M ---- ----
End cash Position 52.11%27.71B 52.11%27.71B 62.55%28.49B 20.39%22.21B 7.32%19.46B 6.22%18.21B 6.22%18.21B -5.02%17.53B -2.84%18.45B -12.86%18.13B
Free cash flow 42,617.24%12.39B 31.67%4.69B 206.86%3.41B 470.71%2.4B 348.55%1.89B 112.18%29M 861.11%3.56B -219.94%-3.19B 116.49%420M -173.50%-760M
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

Analysis

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