JP Stock MarketDetailed Quotes

3778 SAKURA Internet

Watchlist
  • 3300
  • -55-1.64%
20min DelayMarket Closed May 2 15:30 JST
138.24BMarket Cap43.87P/E (Static)

SAKURA Internet Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2025
(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
Operating cash flow (Indirect Method)
Cash from operating activities
88.52%6.33B
-19.52%3.36B
-2.42%4.17B
-4.87%4.28B
-11.22%4.49B
91.56%5.06B
-25.50%2.64B
57.63%3.55B
6.58%2.25B
-34.31%2.11B
Net profit before non-cash adjustment
379.62%3.98B
-13.56%829.67M
148.30%959.8M
-64.37%386.55M
187.91%1.08B
16.33%376.8M
-40.27%323.91M
-31.88%542.25M
-2.31%796.03M
-3.41%814.86M
Total adjustment of non-cash items
39.81%5.51B
36.38%3.94B
-15.77%2.89B
3.31%3.43B
5.93%3.32B
12.66%3.14B
10.15%2.78B
50.92%2.53B
-7.63%1.67B
0.01%1.81B
-Depreciation and amortization
51.95%4.77B
12.51%3.14B
-14.88%2.79B
2.72%3.28B
3.75%3.19B
15.65%3.08B
14.73%2.66B
40.63%2.32B
6.24%1.65B
-6.88%1.55B
-Reversal of impairment losses recognized in profit and loss
----
----
----
42.70%142.73M
-75.35%100.02M
--405.84M
----
15.73%6.86M
107.53%5.93M
-58.42%2.86M
-Assets reserve and write-off
----
----
----
----
----
----
----
----
----
1,522.90%41.89M
-Disposal profit
295.69%6.19B
12,360.37%1.56B
-76.07%12.55M
90.98%52.44M
-70.84%27.46M
-74.99%94.18M
2,488.95%376.59M
421.18%14.55M
-35.71%2.79M
-41.91%4.34M
-Other non-cash items
-616.19%-5.44B
-961.70%-760.16M
316.12%88.22M
-1,234.15%-40.82M
100.82%3.6M
-74.09%-439.65M
-234.64%-252.54M
974.22%187.57M
-91.77%17.46M
63.37%212.17M
Changes in working capital
-123.55%-3.16B
-538.76%-1.41B
-29.61%322.14M
419.02%457.65M
-94.31%88.18M
434.07%1.55B
-197.00%-464.11M
317.63%478.46M
57.38%-219.86M
-192.37%-515.85M
-Change in receivables
-365.45%-5.61B
-491.69%-1.21B
164.40%307.77M
-668.70%-477.92M
182.78%84.04M
83.96%-101.51M
-386.70%-632.98M
149.82%220.78M
-15.48%-443.15M
-437.15%-383.76M
-Change in inventory
-613.10%-41.91M
-94.96%8.17M
253.47%162M
-193.25%-105.56M
-61.15%113.21M
218.07%291.38M
17.79%-246.77M
-4,882.19%-300.18M
92.34%-6.03M
-360.43%-78.63M
-Change in payables
347.31%1.04B
36.25%-420.09M
-167.32%-658.91M
350.18%978.71M
-187.82%-391.2M
507.46%445.46M
-76.10%73.33M
306.37%306.81M
4,372.78%75.5M
-102.89%-1.77M
-Change in accrued expense
----
----
----
----
----
----
----
----
----
-202.31%-240.64M
-Provision for loans, leases and other losses
286.51%344.86M
24.74%89.23M
179.29%71.53M
320.46%25.61M
-80.67%6.09M
8.31%31.52M
42.61%29.1M
-41.42%20.41M
--34.83M
----
-Changes in other current assets
866.78%1.11B
-73.91%114.75M
1,094.89%439.75M
-86.67%36.8M
-68.76%276.04M
182.11%883.61M
35.80%313.21M
93.84%230.65M
-37.02%118.99M
-4.69%188.94M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-49.33%-259.09M
-12.12%-173.51M
9.21%-154.75M
14.48%-170.45M
-0.98%-199.3M
-2.64%-197.36M
-1.73%-192.29M
-11.60%-189.02M
-19.30%-169.37M
-7.13%-141.98M
Interest received (cash flow from operating activities)
314.59%21.08M
39.71%5.08M
-6.02%3.64M
22.42%3.87M
-21.26%3.16M
60.42%4.02M
-0.20%2.5M
0.56%2.51M
-13.85%2.5M
8.71%2.9M
Tax refund paid
0.22%-304.66M
-430.12%-305.34M
61.91%-57.6M
50.39%-151.22M
-2.58%-304.81M
-34.00%-297.14M
24.26%-221.75M
-26.93%-292.8M
45.72%-230.68M
-145.12%-425M
Other operating cash inflow (outflow)
0.00%-1K
-1K
0
-100.00%-1K
1,071.95%117.18M
1,000,000.00%10M
-1K
0
-1K
0
Operating cash flow
100.67%5.79B
-27.23%2.88B
0.14%3.96B
-3.72%3.96B
-10.29%4.11B
105.36%4.58B
-27.27%2.23B
65.59%3.07B
19.74%1.85B
-46.85%1.55B
Investing cash flow
Net PPE purchase and sale
-407.14%-17.66B
-598.82%-3.48B
61.47%-498.24M
4.25%-1.29B
50.97%-1.35B
-15.65%-2.75B
-112.32%-2.38B
76.40%-1.12B
-103.98%-4.75B
-303.63%-2.33B
Net intangibles purchase and sale
-554.12%-895.99M
49.66%-136.98M
-104.67%-272.1M
6.23%-132.95M
-6.01%-141.78M
22.87%-133.74M
12.16%-173.41M
7.91%-197.42M
-25.86%-214.38M
-53.62%-170.33M
Net business purchase and sale
----
----
----
---108M
----
----
163.18%5.42M
89.70%-8.58M
---83.27M
----
Net investment product transactions
47.62%-11M
-5.00%-21M
33.33%-20M
62.50%-30M
45.95%-80M
-40.13%-148M
-57.79%-105.62M
-284.03%-66.93M
64.89%-17.43M
-379.70%-49.64M
Dividends received (cash flow from investment activities)
----
----
----
----
----
----
----
--14.97M
----
----
Net changes in other investments
534.50%10.24B
776.25%1.61B
266.42%184.21M
-152.02%-110.69M
239.45%212.79M
-20.76%62.69M
2,685.20%79.11M
99.11%-3.06M
-201,804.12%-343.24M
-100.10%-170K
Investing cash flow
-310.89%-8.32B
-234.19%-2.03B
63.81%-606.13M
-23.19%-1.67B
54.28%-1.36B
-15.42%-2.97B
-86.31%-2.58B
74.44%-1.38B
-112.19%-5.41B
-371.00%-2.55B
Financing cash flow
Net issuance payments of debt
990.24%10.29B
146.06%943.85M
-516.11%-2.05B
123.05%492.43M
-62.09%-2.14B
-143.72%-1.32B
390.98%3.01B
-152.41%-1.04B
-26.21%1.98B
516.81%2.68B
Net common stock issuance
1,297,471.44%17.94B
99.77%-1.38M
---601.28M
--0
----
----
---602.11M
----
--2.7B
----
Increase or decrease of lease financing
1.87%-1.32B
-10.44%-1.35B
9.48%-1.22B
-58.79%-1.35B
14.62%-850.1M
-1.91%-995.66M
-37.56%-976.97M
-464.77%-710.21M
85.76%-125.75M
17.56%-883.29M
Cash dividends paid
0.73%-124.7M
-14.71%-125.62M
-0.55%-109.51M
-19.97%-108.91M
0.02%-90.78M
2.97%-90.8M
-0.23%-93.58M
-8.28%-93.37M
0.54%-86.23M
-135.08%-86.7M
Net other fund-raising expenses
-116.61%-20.27M
793.17%122.05M
54.77%-17.61M
45.82%-38.93M
47.66%-71.84M
-32.21%-137.25M
-2.16%-103.81M
13.45%-101.62M
-150.58%-117.41M
-46.47%232.13M
Financing cash flow
6,618.34%26.76B
89.73%-410.59M
-297.84%-4B
68.07%-1.01B
-23.89%-3.15B
-305.36%-2.54B
163.76%1.24B
-144.63%-1.94B
124.10%4.35B
247.34%1.94B
Net cash flow
Beginning cash position
9.30%5.26B
-11.77%4.81B
30.61%5.45B
-8.69%4.17B
-16.95%4.57B
19.35%5.51B
-5.26%4.61B
19.40%4.87B
29.88%4.08B
50.43%3.14B
Current changes in cash
5,309.21%24.23B
169.76%447.91M
-150.25%-642.08M
421.37%1.28B
57.38%-397.58M
-204.52%-932.89M
448.72%892.58M
-132.35%-255.96M
-15.64%791.29M
-10.86%938.02M
Effect of exchange rate changes
-177.82%-2.02M
-720.51%-726K
-4.88%117K
547.37%123K
111.95%19K
-431.25%-159K
172.73%48K
64.52%-66K
-335.44%-186K
-56.35%79K
Cash adjustments other than cash changes
266,650.00%5.33M
-200.00%-2K
--2K
----
200.00%1K
-200.00%-1K
200.00%1K
---1K
----
----
End cash Position
460.87%29.49B
9.30%5.26B
-11.77%4.81B
30.61%5.45B
-8.69%4.17B
-16.95%4.57B
19.35%5.51B
-5.26%4.61B
19.40%4.87B
29.88%4.08B
Free cash flow
-1,637.74%-12.77B
-123.01%-734.64M
26.13%3.19B
-3.31%2.53B
54.57%2.62B
622.95%1.69B
-118.52%-323.92M
156.12%1.75B
-226.92%-3.12B
-142.88%-953.17M
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, 2025(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
Operating cash flow (Indirect Method)
Cash from operating activities 88.52%6.33B-19.52%3.36B-2.42%4.17B-4.87%4.28B-11.22%4.49B91.56%5.06B-25.50%2.64B57.63%3.55B6.58%2.25B-34.31%2.11B
Net profit before non-cash adjustment 379.62%3.98B-13.56%829.67M148.30%959.8M-64.37%386.55M187.91%1.08B16.33%376.8M-40.27%323.91M-31.88%542.25M-2.31%796.03M-3.41%814.86M
Total adjustment of non-cash items 39.81%5.51B36.38%3.94B-15.77%2.89B3.31%3.43B5.93%3.32B12.66%3.14B10.15%2.78B50.92%2.53B-7.63%1.67B0.01%1.81B
-Depreciation and amortization 51.95%4.77B12.51%3.14B-14.88%2.79B2.72%3.28B3.75%3.19B15.65%3.08B14.73%2.66B40.63%2.32B6.24%1.65B-6.88%1.55B
-Reversal of impairment losses recognized in profit and loss ------------42.70%142.73M-75.35%100.02M--405.84M----15.73%6.86M107.53%5.93M-58.42%2.86M
-Assets reserve and write-off ------------------------------------1,522.90%41.89M
-Disposal profit 295.69%6.19B12,360.37%1.56B-76.07%12.55M90.98%52.44M-70.84%27.46M-74.99%94.18M2,488.95%376.59M421.18%14.55M-35.71%2.79M-41.91%4.34M
-Other non-cash items -616.19%-5.44B-961.70%-760.16M316.12%88.22M-1,234.15%-40.82M100.82%3.6M-74.09%-439.65M-234.64%-252.54M974.22%187.57M-91.77%17.46M63.37%212.17M
Changes in working capital -123.55%-3.16B-538.76%-1.41B-29.61%322.14M419.02%457.65M-94.31%88.18M434.07%1.55B-197.00%-464.11M317.63%478.46M57.38%-219.86M-192.37%-515.85M
-Change in receivables -365.45%-5.61B-491.69%-1.21B164.40%307.77M-668.70%-477.92M182.78%84.04M83.96%-101.51M-386.70%-632.98M149.82%220.78M-15.48%-443.15M-437.15%-383.76M
-Change in inventory -613.10%-41.91M-94.96%8.17M253.47%162M-193.25%-105.56M-61.15%113.21M218.07%291.38M17.79%-246.77M-4,882.19%-300.18M92.34%-6.03M-360.43%-78.63M
-Change in payables 347.31%1.04B36.25%-420.09M-167.32%-658.91M350.18%978.71M-187.82%-391.2M507.46%445.46M-76.10%73.33M306.37%306.81M4,372.78%75.5M-102.89%-1.77M
-Change in accrued expense -------------------------------------202.31%-240.64M
-Provision for loans, leases and other losses 286.51%344.86M24.74%89.23M179.29%71.53M320.46%25.61M-80.67%6.09M8.31%31.52M42.61%29.1M-41.42%20.41M--34.83M----
-Changes in other current assets 866.78%1.11B-73.91%114.75M1,094.89%439.75M-86.67%36.8M-68.76%276.04M182.11%883.61M35.80%313.21M93.84%230.65M-37.02%118.99M-4.69%188.94M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -49.33%-259.09M-12.12%-173.51M9.21%-154.75M14.48%-170.45M-0.98%-199.3M-2.64%-197.36M-1.73%-192.29M-11.60%-189.02M-19.30%-169.37M-7.13%-141.98M
Interest received (cash flow from operating activities) 314.59%21.08M39.71%5.08M-6.02%3.64M22.42%3.87M-21.26%3.16M60.42%4.02M-0.20%2.5M0.56%2.51M-13.85%2.5M8.71%2.9M
Tax refund paid 0.22%-304.66M-430.12%-305.34M61.91%-57.6M50.39%-151.22M-2.58%-304.81M-34.00%-297.14M24.26%-221.75M-26.93%-292.8M45.72%-230.68M-145.12%-425M
Other operating cash inflow (outflow) 0.00%-1K-1K0-100.00%-1K1,071.95%117.18M1,000,000.00%10M-1K0-1K0
Operating cash flow 100.67%5.79B-27.23%2.88B0.14%3.96B-3.72%3.96B-10.29%4.11B105.36%4.58B-27.27%2.23B65.59%3.07B19.74%1.85B-46.85%1.55B
Investing cash flow
Net PPE purchase and sale -407.14%-17.66B-598.82%-3.48B61.47%-498.24M4.25%-1.29B50.97%-1.35B-15.65%-2.75B-112.32%-2.38B76.40%-1.12B-103.98%-4.75B-303.63%-2.33B
Net intangibles purchase and sale -554.12%-895.99M49.66%-136.98M-104.67%-272.1M6.23%-132.95M-6.01%-141.78M22.87%-133.74M12.16%-173.41M7.91%-197.42M-25.86%-214.38M-53.62%-170.33M
Net business purchase and sale ---------------108M--------163.18%5.42M89.70%-8.58M---83.27M----
Net investment product transactions 47.62%-11M-5.00%-21M33.33%-20M62.50%-30M45.95%-80M-40.13%-148M-57.79%-105.62M-284.03%-66.93M64.89%-17.43M-379.70%-49.64M
Dividends received (cash flow from investment activities) ------------------------------14.97M--------
Net changes in other investments 534.50%10.24B776.25%1.61B266.42%184.21M-152.02%-110.69M239.45%212.79M-20.76%62.69M2,685.20%79.11M99.11%-3.06M-201,804.12%-343.24M-100.10%-170K
Investing cash flow -310.89%-8.32B-234.19%-2.03B63.81%-606.13M-23.19%-1.67B54.28%-1.36B-15.42%-2.97B-86.31%-2.58B74.44%-1.38B-112.19%-5.41B-371.00%-2.55B
Financing cash flow
Net issuance payments of debt 990.24%10.29B146.06%943.85M-516.11%-2.05B123.05%492.43M-62.09%-2.14B-143.72%-1.32B390.98%3.01B-152.41%-1.04B-26.21%1.98B516.81%2.68B
Net common stock issuance 1,297,471.44%17.94B99.77%-1.38M---601.28M--0-----------602.11M------2.7B----
Increase or decrease of lease financing 1.87%-1.32B-10.44%-1.35B9.48%-1.22B-58.79%-1.35B14.62%-850.1M-1.91%-995.66M-37.56%-976.97M-464.77%-710.21M85.76%-125.75M17.56%-883.29M
Cash dividends paid 0.73%-124.7M-14.71%-125.62M-0.55%-109.51M-19.97%-108.91M0.02%-90.78M2.97%-90.8M-0.23%-93.58M-8.28%-93.37M0.54%-86.23M-135.08%-86.7M
Net other fund-raising expenses -116.61%-20.27M793.17%122.05M54.77%-17.61M45.82%-38.93M47.66%-71.84M-32.21%-137.25M-2.16%-103.81M13.45%-101.62M-150.58%-117.41M-46.47%232.13M
Financing cash flow 6,618.34%26.76B89.73%-410.59M-297.84%-4B68.07%-1.01B-23.89%-3.15B-305.36%-2.54B163.76%1.24B-144.63%-1.94B124.10%4.35B247.34%1.94B
Net cash flow
Beginning cash position 9.30%5.26B-11.77%4.81B30.61%5.45B-8.69%4.17B-16.95%4.57B19.35%5.51B-5.26%4.61B19.40%4.87B29.88%4.08B50.43%3.14B
Current changes in cash 5,309.21%24.23B169.76%447.91M-150.25%-642.08M421.37%1.28B57.38%-397.58M-204.52%-932.89M448.72%892.58M-132.35%-255.96M-15.64%791.29M-10.86%938.02M
Effect of exchange rate changes -177.82%-2.02M-720.51%-726K-4.88%117K547.37%123K111.95%19K-431.25%-159K172.73%48K64.52%-66K-335.44%-186K-56.35%79K
Cash adjustments other than cash changes 266,650.00%5.33M-200.00%-2K--2K----200.00%1K-200.00%-1K200.00%1K---1K--------
End cash Position 460.87%29.49B9.30%5.26B-11.77%4.81B30.61%5.45B-8.69%4.17B-16.95%4.57B19.35%5.51B-5.26%4.61B19.40%4.87B29.88%4.08B
Free cash flow -1,637.74%-12.77B-123.01%-734.64M26.13%3.19B-3.31%2.53B54.57%2.62B622.95%1.69B-118.52%-323.92M156.12%1.75B-226.92%-3.12B-142.88%-953.17M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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