JP Stock MarketDetailed Quotes

8308 Resona Holdings

Watchlist
  • 1084.0
  • +48.5+4.68%
20min DelayNot Open May 31 15:00 JST
2.53TMarket Cap16.00P/E (Static)

Resona Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
80.25%-1.1T
-257.76%-5.58T
-67.85%3.54T
1,814.44%11.01T
669.72%574.89B
-116.74%-100.91B
154.92%602.65B
-140.35%-1.1T
320.55%2.72T
-66.02%646.68B
Net profit before non-cash adjustment
-0.91%223B
44.57%225.05B
-15.55%155.66B
-13.13%184.32B
-11.08%212.18B
10.55%238.61B
-5.42%215.84B
-8.91%228.21B
-23.21%250.53B
4.54%326.25B
Total adjustment of non-cash items
13.98%-433.03B
-39.97%-503.43B
25.05%-359.66B
-11.65%-479.85B
13.19%-429.77B
27.06%-495.09B
-31.03%-678.74B
-11.97%-518.01B
-34.59%-462.63B
24.57%-343.73B
-Depreciation and amortization
0.28%38.65B
4.25%38.54B
6.63%36.97B
1.54%34.67B
5.99%34.15B
26.32%32.21B
0.26%25.5B
-3.25%25.43B
2.18%26.29B
-4.49%25.73B
-Assets reserve and write-off
7.99%2.66B
-49.25%2.47B
-26.08%4.86B
-14.87%6.58B
129.82%7.73B
-1,193.12%-25.91B
175.90%2.37B
-40.92%859M
-74.66%1.45B
245.25%5.74B
-Share of associates
-15.24%-484M
18.92%-420M
-13.60%-518M
11.46%-456M
76.00%-515M
-625.00%-2.15B
-127.69%-296M
-12.07%-130M
24.18%-116M
-6.99%-153M
-Disposal profit
-426.47%-38.21B
-158.74%-7.26B
122.45%12.36B
-201.62%-55.03B
-127.34%-18.25B
16.63%-8.03B
59.74%-9.63B
41.89%-23.91B
35.08%-41.16B
-138.76%-63.39B
-Net exchange gains and losses
-78.54%-127.93B
30.57%-71.65B
-136.68%-103.21B
-134.43%-43.61B
54.22%-18.6B
-473.36%-40.63B
165.45%10.88B
50.85%-16.63B
-162.11%-33.83B
-212.65%-12.91B
-Other non-cash items
33.84%-307.72B
-49.97%-465.1B
26.51%-310.12B
2.83%-422B
3.62%-434.28B
36.32%-450.59B
-40.49%-707.57B
-21.28%-503.63B
-39.01%-415.27B
34.12%-298.74B
Changes in working capital
83.17%-892.44B
-241.72%-5.3T
-66.89%3.74T
1,326.08%11.3T
409.40%792.49B
-85.40%155.57B
231.96%1.07T
-127.54%-807.49B
341.41%2.93T
-67.55%664.16B
-Change in loans
73.69%-2.02T
-537.06%-7.67T
-67.28%1.76T
701.05%5.36T
5.61%-892.31B
-4.36%-945.36B
71.85%-905.85B
-353.72%-3.22T
791.01%1.27T
-111.27%-183.51B
-Change in financial assets
-1,700.25%-128.61B
220.97%8.04B
-102.94%-6.64B
274.46%225.7B
-125.44%-129.37B
-173.61%-57.38B
-38.51%77.96B
10.92%126.78B
325.19%114.3B
-84.24%26.88B
-Provision for loans, leases and other losses
116.54%3.8B
-154.52%-22.99B
78.13%42.16B
535.19%23.67B
118.09%3.73B
34.83%-20.6B
11.97%-31.6B
-60.14%-35.9B
57.66%-22.42B
2.11%-52.95B
-Change in deposits by banks and customers
74.96%1.61T
-58.99%922.49B
-61.07%2.25T
212.56%5.78T
68.70%1.85T
-46.82%1.1T
-16.17%2.06T
56.65%2.46T
72.87%1.57T
156.90%907.51B
-Change in financial liabilities
-125.07%-376.97B
649.56%1.5T
-474.40%-273.6B
-41.51%-47.63B
-275.23%-33.66B
123.12%19.21B
22.21%-83.1B
-851.38%-106.83B
-320.25%-11.23B
93.41%-2.67B
-Changes in other current assets
124.49%11.13B
-126.95%-45.44B
53.89%-20.02B
-782.94%-43.41B
-107.69%-4.92B
219.27%63.96B
-66.86%-53.63B
-335.78%-32.14B
143.46%13.63B
-221.67%-31.37B
-Changes in other current liabilities
75.41%2.48B
134.20%1.42B
-240.32%-4.14B
328.01%2.95B
488.89%689M
-92.69%117M
234.03%1.6B
-13.22%479M
108.30%552M
191.70%265M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
1.37%-48.45B
37.87%-49.12B
-216.09%-79.07B
35.91%-25.02B
-198.23%-39.03B
69.84%-13.09B
-34.44%-43.39B
44.34%-32.28B
-294.19%-57.98B
132.61%29.86B
Other operating cash inflow (outflow)
-1.47%417.13B
-1.98%423.37B
4.39%431.93B
-5.68%413.78B
0.06%438.69B
20.52%438.42B
-2.24%363.77B
-7.92%372.11B
-5.34%404.13B
-1.05%426.93B
Operating cash flow
85.91%-733.79B
-233.84%-5.21T
-65.85%3.89T
1,069.23%11.39T
200.40%974.56B
-64.85%324.42B
221.86%923.03B
-124.71%-757.45B
177.83%3.07T
-50.81%1.1T
Investing cash flow
Net PPE purchase and sale
34.85%-6.91B
-38.55%-10.6B
-13.32%-7.65B
-280.98%-6.75B
85.72%-1.77B
-34.12%-12.41B
-799.81%-9.25B
89.67%-1.03B
3.97%-9.95B
-30.12%-10.36B
Net intangibles purchase and sale
0.72%-7.55B
27.57%-7.61B
-108.04%-10.5B
52.88%-5.05B
-37.96%-10.71B
-54.03%-7.76B
-51.44%-5.04B
4.59%-3.33B
-53.52%-3.49B
-801.59%-2.27B
Net business purchase and sale
-1,597.40%-9.13B
36.71%-538M
-286.36%-850M
---220M
----
42.66%-4.17B
---7.27B
----
--14M
----
Net investment property transactions
-86.10%-687.48B
59.19%-369.42B
34.35%-905.2B
-418.10%-1.38T
-199.25%-266.12B
104.06%268.12B
-39.72%131.4B
-83.33%217.99B
-44.15%1.31T
76.88%2.34T
Net changes in other investments
81.62%-405M
-23.35%-2.2B
-686.78%-1.79B
-4.61%-227M
-14.21%-217M
-127.70%-190M
170.79%686M
-247.31%-969M
-109.77%-279M
-34.34%-133M
Investing cash flow
-82.26%-711.47B
57.84%-390.37B
33.43%-925.98B
-398.89%-1.39T
-214.46%-278.82B
120.41%243.59B
-48.03%110.52B
-83.56%212.67B
-44.44%1.29T
77.02%2.33T
Financing cash flow
Net issuance payments of debt
----
--0
-32.74%-60B
56.54%-45.2B
---104B
----
42.39%-111B
3.07%-192.66B
-216.50%-198.76B
---62.8B
Net common stock issuance
-76.02%-23.98B
76.47%-13.63B
-32,984.00%-57.9B
98.04%-175M
-938.43%-8.95B
101.01%1.07B
-41.44%-105.68B
53.08%-74.72B
-7.80%-159.26B
65.95%-147.73B
Cash dividends paid
-1.05%-50.93B
1.34%-50.4B
-5.69%-51.08B
0.46%-48.33B
-1.96%-48.56B
2.76%-47.62B
0.46%-48.98B
53.87%-49.2B
-35.11%-106.66B
-70.41%-78.95B
Cash dividends for minorities
-512.50%-49M
82.22%-8M
97.55%-45M
59.86%-1.84B
34.57%-4.57B
-3,739.56%-6.99B
16.89%-182M
25.26%-219M
54.22%-293M
-83.91%-640M
Net other fund-raising expenses
----
----
93.19%-1.28B
-1,034.48%-18.82B
-1,723.08%-1.66B
-9,000.00%-91M
0.00%-1M
---1M
----
----
Financing cash flow
-17.07%-74.96B
62.40%-64.03B
-48.92%-170.31B
31.82%-114.37B
-212.73%-167.73B
79.82%-53.64B
16.09%-265.84B
31.86%-316.81B
-60.27%-464.97B
39.63%-290.12B
Net cash flow
Beginning cash position
-20.28%22.26T
11.12%27.92T
64.91%25.12T
3.59%15.24T
10.94%14.71T
6.15%13.26T
-6.45%12.49T
41.18%13.35T
49.75%9.46T
95.09%6.31T
Current changes in cash
73.15%-1.52T
-302.60%-5.66T
-71.74%2.79T
1,772.98%9.89T
2.65%528B
-33.00%514.38B
189.10%767.7B
-122.12%-861.6B
23.96%3.89T
2.07%3.14T
Effect of exchange rate changes
74,200.00%743M
-66.67%1M
-91.43%3M
284.21%35M
-200.00%-19M
416.67%19M
73.91%-6M
60.34%-23M
-155.77%-58M
-7.14%104M
Cash adjustments other than cash changes
-100.00%-2M
0.00%-1M
---1M
----
----
93,626,500.00%936.27B
200.00%1M
---1M
----
--2M
End cash Position
-6.83%20.74T
-20.28%22.26T
11.12%27.92T
64.91%25.12T
3.59%15.24T
10.94%14.71T
6.15%13.26T
-6.45%12.49T
41.18%13.35T
49.75%9.46T
Free cash flow
85.57%-754.32B
-235.15%-5.23T
-66.00%3.87T
1,092.29%11.38T
214.77%954.41B
-66.57%303.21B
217.65%907.09B
-125.28%-770.98B
179.69%3.05T
-51.13%1.09T
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(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(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 80.25%-1.1T-257.76%-5.58T-67.85%3.54T1,814.44%11.01T669.72%574.89B-116.74%-100.91B154.92%602.65B-140.35%-1.1T320.55%2.72T-66.02%646.68B
Net profit before non-cash adjustment -0.91%223B44.57%225.05B-15.55%155.66B-13.13%184.32B-11.08%212.18B10.55%238.61B-5.42%215.84B-8.91%228.21B-23.21%250.53B4.54%326.25B
Total adjustment of non-cash items 13.98%-433.03B-39.97%-503.43B25.05%-359.66B-11.65%-479.85B13.19%-429.77B27.06%-495.09B-31.03%-678.74B-11.97%-518.01B-34.59%-462.63B24.57%-343.73B
-Depreciation and amortization 0.28%38.65B4.25%38.54B6.63%36.97B1.54%34.67B5.99%34.15B26.32%32.21B0.26%25.5B-3.25%25.43B2.18%26.29B-4.49%25.73B
-Assets reserve and write-off 7.99%2.66B-49.25%2.47B-26.08%4.86B-14.87%6.58B129.82%7.73B-1,193.12%-25.91B175.90%2.37B-40.92%859M-74.66%1.45B245.25%5.74B
-Share of associates -15.24%-484M18.92%-420M-13.60%-518M11.46%-456M76.00%-515M-625.00%-2.15B-127.69%-296M-12.07%-130M24.18%-116M-6.99%-153M
-Disposal profit -426.47%-38.21B-158.74%-7.26B122.45%12.36B-201.62%-55.03B-127.34%-18.25B16.63%-8.03B59.74%-9.63B41.89%-23.91B35.08%-41.16B-138.76%-63.39B
-Net exchange gains and losses -78.54%-127.93B30.57%-71.65B-136.68%-103.21B-134.43%-43.61B54.22%-18.6B-473.36%-40.63B165.45%10.88B50.85%-16.63B-162.11%-33.83B-212.65%-12.91B
-Other non-cash items 33.84%-307.72B-49.97%-465.1B26.51%-310.12B2.83%-422B3.62%-434.28B36.32%-450.59B-40.49%-707.57B-21.28%-503.63B-39.01%-415.27B34.12%-298.74B
Changes in working capital 83.17%-892.44B-241.72%-5.3T-66.89%3.74T1,326.08%11.3T409.40%792.49B-85.40%155.57B231.96%1.07T-127.54%-807.49B341.41%2.93T-67.55%664.16B
-Change in loans 73.69%-2.02T-537.06%-7.67T-67.28%1.76T701.05%5.36T5.61%-892.31B-4.36%-945.36B71.85%-905.85B-353.72%-3.22T791.01%1.27T-111.27%-183.51B
-Change in financial assets -1,700.25%-128.61B220.97%8.04B-102.94%-6.64B274.46%225.7B-125.44%-129.37B-173.61%-57.38B-38.51%77.96B10.92%126.78B325.19%114.3B-84.24%26.88B
-Provision for loans, leases and other losses 116.54%3.8B-154.52%-22.99B78.13%42.16B535.19%23.67B118.09%3.73B34.83%-20.6B11.97%-31.6B-60.14%-35.9B57.66%-22.42B2.11%-52.95B
-Change in deposits by banks and customers 74.96%1.61T-58.99%922.49B-61.07%2.25T212.56%5.78T68.70%1.85T-46.82%1.1T-16.17%2.06T56.65%2.46T72.87%1.57T156.90%907.51B
-Change in financial liabilities -125.07%-376.97B649.56%1.5T-474.40%-273.6B-41.51%-47.63B-275.23%-33.66B123.12%19.21B22.21%-83.1B-851.38%-106.83B-320.25%-11.23B93.41%-2.67B
-Changes in other current assets 124.49%11.13B-126.95%-45.44B53.89%-20.02B-782.94%-43.41B-107.69%-4.92B219.27%63.96B-66.86%-53.63B-335.78%-32.14B143.46%13.63B-221.67%-31.37B
-Changes in other current liabilities 75.41%2.48B134.20%1.42B-240.32%-4.14B328.01%2.95B488.89%689M-92.69%117M234.03%1.6B-13.22%479M108.30%552M191.70%265M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid 1.37%-48.45B37.87%-49.12B-216.09%-79.07B35.91%-25.02B-198.23%-39.03B69.84%-13.09B-34.44%-43.39B44.34%-32.28B-294.19%-57.98B132.61%29.86B
Other operating cash inflow (outflow) -1.47%417.13B-1.98%423.37B4.39%431.93B-5.68%413.78B0.06%438.69B20.52%438.42B-2.24%363.77B-7.92%372.11B-5.34%404.13B-1.05%426.93B
Operating cash flow 85.91%-733.79B-233.84%-5.21T-65.85%3.89T1,069.23%11.39T200.40%974.56B-64.85%324.42B221.86%923.03B-124.71%-757.45B177.83%3.07T-50.81%1.1T
Investing cash flow
Net PPE purchase and sale 34.85%-6.91B-38.55%-10.6B-13.32%-7.65B-280.98%-6.75B85.72%-1.77B-34.12%-12.41B-799.81%-9.25B89.67%-1.03B3.97%-9.95B-30.12%-10.36B
Net intangibles purchase and sale 0.72%-7.55B27.57%-7.61B-108.04%-10.5B52.88%-5.05B-37.96%-10.71B-54.03%-7.76B-51.44%-5.04B4.59%-3.33B-53.52%-3.49B-801.59%-2.27B
Net business purchase and sale -1,597.40%-9.13B36.71%-538M-286.36%-850M---220M----42.66%-4.17B---7.27B------14M----
Net investment property transactions -86.10%-687.48B59.19%-369.42B34.35%-905.2B-418.10%-1.38T-199.25%-266.12B104.06%268.12B-39.72%131.4B-83.33%217.99B-44.15%1.31T76.88%2.34T
Net changes in other investments 81.62%-405M-23.35%-2.2B-686.78%-1.79B-4.61%-227M-14.21%-217M-127.70%-190M170.79%686M-247.31%-969M-109.77%-279M-34.34%-133M
Investing cash flow -82.26%-711.47B57.84%-390.37B33.43%-925.98B-398.89%-1.39T-214.46%-278.82B120.41%243.59B-48.03%110.52B-83.56%212.67B-44.44%1.29T77.02%2.33T
Financing cash flow
Net issuance payments of debt ------0-32.74%-60B56.54%-45.2B---104B----42.39%-111B3.07%-192.66B-216.50%-198.76B---62.8B
Net common stock issuance -76.02%-23.98B76.47%-13.63B-32,984.00%-57.9B98.04%-175M-938.43%-8.95B101.01%1.07B-41.44%-105.68B53.08%-74.72B-7.80%-159.26B65.95%-147.73B
Cash dividends paid -1.05%-50.93B1.34%-50.4B-5.69%-51.08B0.46%-48.33B-1.96%-48.56B2.76%-47.62B0.46%-48.98B53.87%-49.2B-35.11%-106.66B-70.41%-78.95B
Cash dividends for minorities -512.50%-49M82.22%-8M97.55%-45M59.86%-1.84B34.57%-4.57B-3,739.56%-6.99B16.89%-182M25.26%-219M54.22%-293M-83.91%-640M
Net other fund-raising expenses --------93.19%-1.28B-1,034.48%-18.82B-1,723.08%-1.66B-9,000.00%-91M0.00%-1M---1M--------
Financing cash flow -17.07%-74.96B62.40%-64.03B-48.92%-170.31B31.82%-114.37B-212.73%-167.73B79.82%-53.64B16.09%-265.84B31.86%-316.81B-60.27%-464.97B39.63%-290.12B
Net cash flow
Beginning cash position -20.28%22.26T11.12%27.92T64.91%25.12T3.59%15.24T10.94%14.71T6.15%13.26T-6.45%12.49T41.18%13.35T49.75%9.46T95.09%6.31T
Current changes in cash 73.15%-1.52T-302.60%-5.66T-71.74%2.79T1,772.98%9.89T2.65%528B-33.00%514.38B189.10%767.7B-122.12%-861.6B23.96%3.89T2.07%3.14T
Effect of exchange rate changes 74,200.00%743M-66.67%1M-91.43%3M284.21%35M-200.00%-19M416.67%19M73.91%-6M60.34%-23M-155.77%-58M-7.14%104M
Cash adjustments other than cash changes -100.00%-2M0.00%-1M---1M--------93,626,500.00%936.27B200.00%1M---1M------2M
End cash Position -6.83%20.74T-20.28%22.26T11.12%27.92T64.91%25.12T3.59%15.24T10.94%14.71T6.15%13.26T-6.45%12.49T41.18%13.35T49.75%9.46T
Free cash flow 85.57%-754.32B-235.15%-5.23T-66.00%3.87T1,092.29%11.38T214.77%954.41B-66.57%303.21B217.65%907.09B-125.28%-770.98B179.69%3.05T-51.13%1.09T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
JP
Overall
Symbol
Latest Price
%Chg