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06288 FAST RETAIL-DRS

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  • 24.400
  • -0.600-2.40%
Market Closed May 6 16:08 CST
776.46BMarket Cap36.20P/E (TTM)

FAST RETAIL-DRS Key Stats

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YOY yoy
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(Q6)Feb 28, 2025
(Q3)Nov 30, 2024
(FY)Aug 31, 2024
(Q9)May 31, 2024
(Q6)Feb 29, 2024
(Q3)Nov 30, 2023
(FY)Aug 31, 2023
(Q9)May 31, 2023
(Q6)Feb 28, 2023
(Q3)Nov 30, 2022
Cash flow from operating activities
Earning before tax
21.49%363.72B
21.01%196.61B
27.24%557.2B
33.01%477.77B
29.89%299.4B
28.12%162.47B
5.88%437.92B
2.85%359.2B
8.44%230.5B
-5.51%126.81B
Profit adjustment
Interest (income) - adjustment
-10.60%-33.92B
-11.75%-17.01B
-61.51%-66.75B
-71.39%-48.27B
-79.61%-30.67B
-81.53%-15.22B
-335.28%-41.33B
-421.60%-28.16B
-456.37%-17.08B
-586.73%-8.39B
Interest expense - adjustment
28.07%6.32B
32.79%3.29B
13.14%11.08B
5.04%7.83B
-2.72%4.94B
-4.33%2.48B
29.51%9.79B
46.37%7.45B
51.12%5.08B
54.69%2.59B
Attributable subsidiary (profit) loss
-51.57%-1.5B
-37.85%-925M
-24.41%-1.42B
-29.36%-1.38B
-55.75%-989M
-49.44%-671M
-7.55%-1.14B
-13.04%-1.07B
-10.24%-635M
-3.94%-449M
Impairment and provisions:
-12.53%1.28B
-35.48%311M
-106.22%-303M
-12.94%2.13B
41.97%1.47B
232.41%482M
-79.93%4.88B
-84.52%2.45B
-84.68%1.03B
-57.97%145M
-Impairment of property, plant and equipment (reversal)
-10.37%631M
-31.79%191M
52.34%1.4B
95.95%1.02B
180.48%704M
237.35%280M
-19.28%917M
-42.44%518M
-62.14%251M
-66.40%83M
-Other impairments and provisions
-14.53%653M
-40.59%120M
-142.95%-1.7B
-42.13%1.12B
-2.43%764M
225.81%202M
-82.90%3.96B
-87.06%1.93B
-87.13%783M
-36.73%62M
Depreciation and amortization:
8.17%107.91B
8.24%53.38B
9.37%204.39B
8.85%151.53B
6.97%99.75B
5.50%49.31B
3.66%186.87B
3.47%139.21B
5.66%93.25B
6.43%46.74B
-Depreciation
8.17%107.91B
8.24%53.38B
9.37%204.39B
8.85%151.53B
6.97%99.75B
5.50%49.31B
3.66%186.87B
3.47%139.21B
5.66%93.25B
6.43%46.74B
Exchange Loss (gain)
-92.50%-31.91B
-733.30%-25.32B
97.55%-621M
-348.54%-35.52B
-1,040.81%-16.58B
22.79%-3.04B
77.80%-25.39B
89.83%-7.92B
107.47%1.76B
74.19%-3.94B
Operating profit before the change of operating capital
15.28%411.91B
7.41%210.33B
23.09%703.58B
17.60%554.09B
13.83%357.32B
19.75%195.81B
14.13%571.6B
12.05%471.17B
10.65%313.91B
0.17%163.52B
Change of operating capital
Inventory (increase) decrease
-67.89%13.51B
-13.24%-35.7B
-150.18%-23.54B
-39.87%59.63B
-7.03%42.07B
64.20%-31.53B
192.16%46.91B
46.20%99.18B
-9.71%45.24B
-2,045.99%-88.05B
Accounts receivable (increase)decrease
2,794.57%13.32B
-20.50%-89.16B
-130.84%-17.39B
2.13%-41.1B
102.93%460M
-14.90%-73.99B
-184.23%-7.54B
-42.03%-41.99B
-250.70%-15.68B
8.27%-64.4B
Accounts payable increase (decrease)
-35.20%-42B
-2.28%59.67B
397.44%47.32B
80.10%-17.27B
70.75%-31.06B
59.38%61.07B
-113.88%-15.91B
-3,336.40%-86.77B
-635.94%-106.19B
25.73%38.32B
Special items for working capital changes
-123.12%-4.11B
-91.36%1.38B
951.89%31.52B
----
--17.77B
-40.02%16B
91.57%-3.7B
----
----
258.81%26.68B
Adjustment items for working capital changes
----
----
-200.00%-1M
0.00%1M
----
-100.00%-2M
133.33%1M
150.00%1M
----
0.00%-1M
Cash  from business operations
1.57%392.63B
-12.45%146.52B
21.20%739.73B
19.06%538.26B
62.90%386.56B
120.02%167.36B
17.82%610.34B
9.35%452.08B
-24.47%237.29B
-40.03%76.07B
Other taxs
-55.54%-106.96B
-5.00%-72.35B
16.46%-133.56B
22.28%-113.24B
27.92%-68.77B
15.55%-68.9B
-81.35%-159.88B
-94.96%-145.7B
-93.88%-95.41B
-92.13%-81.59B
Interest received - operating
40.63%34.3B
51.74%16.48B
149.65%56.45B
121.13%36.86B
107.89%24.39B
71.07%10.86B
165.41%22.61B
260.52%16.67B
352.24%11.73B
485.16%6.35B
Interest paid - operating
-28.50%-6.34B
-38.40%-2.96B
-12.55%-11.1B
-4.69%-7.48B
3.31%-4.93B
-0.19%-2.14B
-30.49%-9.86B
-52.69%-7.15B
-76.60%-5.1B
-104.60%-2.13B
Special items of business
-3.55%-15.39B
----
----
----
-151.36%-14.86B
----
----
----
--28.94B
----
Adjustment items of business operations
-50.00%1M
0.00%-1M
0.00%1M
200.00%1M
-33.33%2M
---1M
--1M
---1M
--3M
----
Net cash from operations
-7.49%298.23B
-18.18%87.7B
40.65%651.52B
43.84%454.39B
81.67%322.38B
8,288.24%107.18B
7.52%463.22B
-6.71%315.9B
-32.95%177.45B
-101.55%-1.31B
Cash flow from investment activities
Decrease in deposits (increase)
-3,522.09%-185.81B
341.16%35.26B
109.32%19.09B
89.28%-17.27B
96.57%-5.13B
80.42%-14.62B
-1,123.42%-204.84B
-468.72%-161.14B
-322.04%-149.46B
-3,919.70%-74.69B
Purchase of fixed assets
-164.08%-79.7B
5.44%-19.65B
-19.37%-73.73B
-2.33%-53.07B
19.80%-30.18B
-40.76%-20.78B
-20.47%-61.76B
-21.15%-51.87B
-39.75%-37.63B
-4.14%-14.76B
Purchase of intangible assets
-74.48%-29.35B
-5.26%-9.5B
8.81%-32.28B
8.09%-24.74B
2.50%-16.82B
-24.75%-9.02B
-21.50%-35.39B
-37.00%-26.91B
-37.32%-17.25B
-19.26%-7.23B
Recovery of cash from investments
-40.39%144.02B
-30.22%81.25B
-25.55%-6.11B
119.59%317.63B
195.10%241.61B
7,330.38%116.43B
-195.17%-4.87B
3,926.87%144.65B
3,160.65%81.88B
3.91%1.57B
Cash on investment
2.94%-235.81B
17.96%-95.13B
103.99%10.62B
25.04%-307.37B
30.43%-242.95B
58.63%-115.95B
-115.52%-266.16B
-10,427.39%-410.04B
-17,316.46%-349.2B
-24,001.72%-280.3B
Other items in the investment business
757.12%4.52B
988.96%4.19B
112.38%171M
-23.31%-640M
36.88%-688M
49.63%-471M
-141.84%-1.38B
-257.75%-519M
-695.63%-1.09B
-987.21%-935M
Adjustment items of investment business
0.00%-1M
0.00%-2M
----
50.00%-1M
50.00%-1M
50.00%-2M
---2M
-100.00%-2M
-100.00%-2M
-300.00%-4M
Net cash from investment operations
-605.53%-382.13B
91.95%-3.58B
85.68%-82.23B
83.10%-85.46B
88.54%-54.16B
88.20%-44.41B
-170.66%-574.4B
-457.31%-505.84B
-537.01%-472.76B
-1,623.39%-376.35B
Net cash before financing
-131.28%-83.9B
34.00%84.12B
612.02%569.29B
294.23%368.93B
190.83%268.22B
116.62%62.77B
-150.86%-111.19B
-176.63%-189.94B
-255.07%-295.31B
-703.48%-377.66B
Cash flow from financing activities
New borrowing
----
----
-25.74%4.84B
-25.61%2.8B
-30.88%1.56B
4.83%1.17B
153.58%6.51B
-71.32%3.76B
-76.98%2.26B
-85.48%1.12B
Refund
99.37%-15M
81.18%-294M
33.18%-4.89B
0.39%-3.6B
21.42%-2.4B
-112.23%-1.56B
---7.31B
85.54%-3.62B
85.98%-3.05B
94.78%-736M
Dividends paid - financing
-37.90%-78.2B
-37.31%-69.4B
-31.12%-122.63B
-34.61%-120.07B
-37.84%-56.71B
-45.68%-50.55B
-44.52%-93.52B
-37.84%-89.2B
-38.50%-41.14B
-41.53%-34.7B
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
---130B
---50B
---50B
----
Other items of the financing business
16.98%62M
28.95%49M
-79.42%85M
-82.95%67M
-40.45%53M
-22.45%38M
-41.42%413M
-27.36%393M
-82.58%89M
-89.77%49M
Adjustment item of financing business
-300.00%-2M
-200.00%-1M
50.00%-1M
0.00%-1M
--1M
--1M
-100.00%-2M
50.00%-1M
----
----
Net cash from financing operations
-14.31%-150.24B
-19.41%-106.26B
26.21%-269B
4.63%-229.58B
17.70%-131.43B
-28.70%-88.98B
-71.12%-364.56B
-37.71%-240.72B
-47.84%-159.7B
-6.11%-69.14B
Effect of rate
-30.57%17.91B
166.46%27.42B
-148.26%-10.01B
1,189.17%55.12B
275.78%25.8B
302.86%10.29B
-88.15%20.74B
-104.28%-5.06B
-139.34%-14.68B
-91.20%2.55B
Other items affecting net cash
----
----
-150.00%-1M
---1M
----
--1M
--2M
----
---1M
----
Net Cash
-271.17%-234.14B
15.54%-22.14B
163.12%300.29B
132.36%139.35B
130.06%136.79B
94.13%-26.21B
-8,685.92%-475.75B
-689.48%-430.66B
-652.11%-455.01B
-17,244.88%-446.8B
Begining period cash
32.14%1.19T
32.14%1.19T
-33.50%903.28B
-33.50%903.28B
-33.50%903.28B
-33.50%903.28B
15.33%1.36T
15.33%1.36T
15.33%1.36T
15.33%1.36T
Items Period
---1M
----
200.00%1M
200.00%1M
----
----
---1M
---1M
---1M
---1M
Cash at the end
-8.31%977.33B
35.10%1.2T
32.14%1.19T
18.99%1.1T
19.95%1.07T
-2.92%887.36B
-33.50%903.28B
-32.61%922.57B
-31.51%888.61B
-24.09%914.04B
Cash balance analysis
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Auditor
--
--
Deloitte Touche Tohmatsu LLC (Deloitte Limited)
--
--
--
Deloitte Touche Tohmatsu LLC (Deloitte Limited)
--
--
--
(Q6)Feb 28, 2025(Q3)Nov 30, 2024(FY)Aug 31, 2024(Q9)May 31, 2024(Q6)Feb 29, 2024(Q3)Nov 30, 2023(FY)Aug 31, 2023(Q9)May 31, 2023(Q6)Feb 28, 2023(Q3)Nov 30, 2022
Cash flow from operating activities
Earning before tax 21.49%363.72B21.01%196.61B27.24%557.2B33.01%477.77B29.89%299.4B28.12%162.47B5.88%437.92B2.85%359.2B8.44%230.5B-5.51%126.81B
Profit adjustment
Interest (income) - adjustment -10.60%-33.92B-11.75%-17.01B-61.51%-66.75B-71.39%-48.27B-79.61%-30.67B-81.53%-15.22B-335.28%-41.33B-421.60%-28.16B-456.37%-17.08B-586.73%-8.39B
Interest expense - adjustment 28.07%6.32B32.79%3.29B13.14%11.08B5.04%7.83B-2.72%4.94B-4.33%2.48B29.51%9.79B46.37%7.45B51.12%5.08B54.69%2.59B
Attributable subsidiary (profit) loss -51.57%-1.5B-37.85%-925M-24.41%-1.42B-29.36%-1.38B-55.75%-989M-49.44%-671M-7.55%-1.14B-13.04%-1.07B-10.24%-635M-3.94%-449M
Impairment and provisions: -12.53%1.28B-35.48%311M-106.22%-303M-12.94%2.13B41.97%1.47B232.41%482M-79.93%4.88B-84.52%2.45B-84.68%1.03B-57.97%145M
-Impairment of property, plant and equipment (reversal) -10.37%631M-31.79%191M52.34%1.4B95.95%1.02B180.48%704M237.35%280M-19.28%917M-42.44%518M-62.14%251M-66.40%83M
-Other impairments and provisions -14.53%653M-40.59%120M-142.95%-1.7B-42.13%1.12B-2.43%764M225.81%202M-82.90%3.96B-87.06%1.93B-87.13%783M-36.73%62M
Depreciation and amortization: 8.17%107.91B8.24%53.38B9.37%204.39B8.85%151.53B6.97%99.75B5.50%49.31B3.66%186.87B3.47%139.21B5.66%93.25B6.43%46.74B
-Depreciation 8.17%107.91B8.24%53.38B9.37%204.39B8.85%151.53B6.97%99.75B5.50%49.31B3.66%186.87B3.47%139.21B5.66%93.25B6.43%46.74B
Exchange Loss (gain) -92.50%-31.91B-733.30%-25.32B97.55%-621M-348.54%-35.52B-1,040.81%-16.58B22.79%-3.04B77.80%-25.39B89.83%-7.92B107.47%1.76B74.19%-3.94B
Operating profit before the change of operating capital 15.28%411.91B7.41%210.33B23.09%703.58B17.60%554.09B13.83%357.32B19.75%195.81B14.13%571.6B12.05%471.17B10.65%313.91B0.17%163.52B
Change of operating capital
Inventory (increase) decrease -67.89%13.51B-13.24%-35.7B-150.18%-23.54B-39.87%59.63B-7.03%42.07B64.20%-31.53B192.16%46.91B46.20%99.18B-9.71%45.24B-2,045.99%-88.05B
Accounts receivable (increase)decrease 2,794.57%13.32B-20.50%-89.16B-130.84%-17.39B2.13%-41.1B102.93%460M-14.90%-73.99B-184.23%-7.54B-42.03%-41.99B-250.70%-15.68B8.27%-64.4B
Accounts payable increase (decrease) -35.20%-42B-2.28%59.67B397.44%47.32B80.10%-17.27B70.75%-31.06B59.38%61.07B-113.88%-15.91B-3,336.40%-86.77B-635.94%-106.19B25.73%38.32B
Special items for working capital changes -123.12%-4.11B-91.36%1.38B951.89%31.52B------17.77B-40.02%16B91.57%-3.7B--------258.81%26.68B
Adjustment items for working capital changes ---------200.00%-1M0.00%1M-----100.00%-2M133.33%1M150.00%1M----0.00%-1M
Cash  from business operations 1.57%392.63B-12.45%146.52B21.20%739.73B19.06%538.26B62.90%386.56B120.02%167.36B17.82%610.34B9.35%452.08B-24.47%237.29B-40.03%76.07B
Other taxs -55.54%-106.96B-5.00%-72.35B16.46%-133.56B22.28%-113.24B27.92%-68.77B15.55%-68.9B-81.35%-159.88B-94.96%-145.7B-93.88%-95.41B-92.13%-81.59B
Interest received - operating 40.63%34.3B51.74%16.48B149.65%56.45B121.13%36.86B107.89%24.39B71.07%10.86B165.41%22.61B260.52%16.67B352.24%11.73B485.16%6.35B
Interest paid - operating -28.50%-6.34B-38.40%-2.96B-12.55%-11.1B-4.69%-7.48B3.31%-4.93B-0.19%-2.14B-30.49%-9.86B-52.69%-7.15B-76.60%-5.1B-104.60%-2.13B
Special items of business -3.55%-15.39B-------------151.36%-14.86B--------------28.94B----
Adjustment items of business operations -50.00%1M0.00%-1M0.00%1M200.00%1M-33.33%2M---1M--1M---1M--3M----
Net cash from operations -7.49%298.23B-18.18%87.7B40.65%651.52B43.84%454.39B81.67%322.38B8,288.24%107.18B7.52%463.22B-6.71%315.9B-32.95%177.45B-101.55%-1.31B
Cash flow from investment activities
Decrease in deposits (increase) -3,522.09%-185.81B341.16%35.26B109.32%19.09B89.28%-17.27B96.57%-5.13B80.42%-14.62B-1,123.42%-204.84B-468.72%-161.14B-322.04%-149.46B-3,919.70%-74.69B
Purchase of fixed assets -164.08%-79.7B5.44%-19.65B-19.37%-73.73B-2.33%-53.07B19.80%-30.18B-40.76%-20.78B-20.47%-61.76B-21.15%-51.87B-39.75%-37.63B-4.14%-14.76B
Purchase of intangible assets -74.48%-29.35B-5.26%-9.5B8.81%-32.28B8.09%-24.74B2.50%-16.82B-24.75%-9.02B-21.50%-35.39B-37.00%-26.91B-37.32%-17.25B-19.26%-7.23B
Recovery of cash from investments -40.39%144.02B-30.22%81.25B-25.55%-6.11B119.59%317.63B195.10%241.61B7,330.38%116.43B-195.17%-4.87B3,926.87%144.65B3,160.65%81.88B3.91%1.57B
Cash on investment 2.94%-235.81B17.96%-95.13B103.99%10.62B25.04%-307.37B30.43%-242.95B58.63%-115.95B-115.52%-266.16B-10,427.39%-410.04B-17,316.46%-349.2B-24,001.72%-280.3B
Other items in the investment business 757.12%4.52B988.96%4.19B112.38%171M-23.31%-640M36.88%-688M49.63%-471M-141.84%-1.38B-257.75%-519M-695.63%-1.09B-987.21%-935M
Adjustment items of investment business 0.00%-1M0.00%-2M----50.00%-1M50.00%-1M50.00%-2M---2M-100.00%-2M-100.00%-2M-300.00%-4M
Net cash from investment operations -605.53%-382.13B91.95%-3.58B85.68%-82.23B83.10%-85.46B88.54%-54.16B88.20%-44.41B-170.66%-574.4B-457.31%-505.84B-537.01%-472.76B-1,623.39%-376.35B
Net cash before financing -131.28%-83.9B34.00%84.12B612.02%569.29B294.23%368.93B190.83%268.22B116.62%62.77B-150.86%-111.19B-176.63%-189.94B-255.07%-295.31B-703.48%-377.66B
Cash flow from financing activities
New borrowing ---------25.74%4.84B-25.61%2.8B-30.88%1.56B4.83%1.17B153.58%6.51B-71.32%3.76B-76.98%2.26B-85.48%1.12B
Refund 99.37%-15M81.18%-294M33.18%-4.89B0.39%-3.6B21.42%-2.4B-112.23%-1.56B---7.31B85.54%-3.62B85.98%-3.05B94.78%-736M
Dividends paid - financing -37.90%-78.2B-37.31%-69.4B-31.12%-122.63B-34.61%-120.07B-37.84%-56.71B-45.68%-50.55B-44.52%-93.52B-37.84%-89.2B-38.50%-41.14B-41.53%-34.7B
Issuance expenses and redemption of securities expenses ---------------------------130B---50B---50B----
Other items of the financing business 16.98%62M28.95%49M-79.42%85M-82.95%67M-40.45%53M-22.45%38M-41.42%413M-27.36%393M-82.58%89M-89.77%49M
Adjustment item of financing business -300.00%-2M-200.00%-1M50.00%-1M0.00%-1M--1M--1M-100.00%-2M50.00%-1M--------
Net cash from financing operations -14.31%-150.24B-19.41%-106.26B26.21%-269B4.63%-229.58B17.70%-131.43B-28.70%-88.98B-71.12%-364.56B-37.71%-240.72B-47.84%-159.7B-6.11%-69.14B
Effect of rate -30.57%17.91B166.46%27.42B-148.26%-10.01B1,189.17%55.12B275.78%25.8B302.86%10.29B-88.15%20.74B-104.28%-5.06B-139.34%-14.68B-91.20%2.55B
Other items affecting net cash ---------150.00%-1M---1M------1M--2M-------1M----
Net Cash -271.17%-234.14B15.54%-22.14B163.12%300.29B132.36%139.35B130.06%136.79B94.13%-26.21B-8,685.92%-475.75B-689.48%-430.66B-652.11%-455.01B-17,244.88%-446.8B
Begining period cash 32.14%1.19T32.14%1.19T-33.50%903.28B-33.50%903.28B-33.50%903.28B-33.50%903.28B15.33%1.36T15.33%1.36T15.33%1.36T15.33%1.36T
Items Period ---1M----200.00%1M200.00%1M-----------1M---1M---1M---1M
Cash at the end -8.31%977.33B35.10%1.2T32.14%1.19T18.99%1.1T19.95%1.07T-2.92%887.36B-33.50%903.28B-32.61%922.57B-31.51%888.61B-24.09%914.04B
Cash balance analysis
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion------Unqualified Opinion------
Auditor ----Deloitte Touche Tohmatsu LLC (Deloitte Limited)------Deloitte Touche Tohmatsu LLC (Deloitte Limited)------

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.