JP Stock MarketDetailed Quotes

4579 RaQualia Pharma

Watchlist
  • 427
  • +80+23.05%
20min DelayNot Open Apr 24 15:30 JST
10.44BMarket Cap-18.67P/E (Static)

RaQualia Pharma Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q2)Jun 30, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
152.34%311.7M
158.74%304.4M
-151.15%-386.58M
-135.53%-595.53M
-158.43%-308.03M
-4.64%384.64M
-285.78%-518.22M
-132.97%-153.92M
293.92%1.68B
363.75%527.14M
Net profit before non-cash adjustment
-21.66%-357.73M
-236.01%-199.58M
32.60%-74.16M
-134.55%-294.05M
-244.47%-256.94M
-2,103.19%-73.83M
-80.74%146.74M
-29.09%-110.02M
-3.36%851.01M
-72.06%177.85M
Total adjustment of non-cash items
259.24%611.6M
659.62%131.15M
379.57%184.42M
14.84%170.25M
-40.17%83.16M
3,033.48%72.07M
-341.00%-23.44M
213.23%38.46M
3,148.16%148.25M
3,640.12%138.98M
-Depreciation and amortization
128.78%401.65M
180.33%114.23M
45.72%45.14M
18.84%175.56M
39.59%55.06M
25.79%48.78M
8.15%40.75M
-2.69%30.98M
4.36%147.73M
4.58%39.44M
-Disposal profit
-11.57%19.73M
-15.77%24.65M
626.93%24M
-31.71%22.31M
-160.60%-21.84M
130.68%11.59M
41.12%29.26M
-75.90%3.3M
594.94%32.68M
387.49%36.03M
-Net exchange gains and losses
131.92%14.67M
62.42%-24.06M
-368.52%-31.72M
-48.56%-45.96M
-35.24%52.08M
-1,903.90%-27.23M
-1.95%-64.03M
85.65%-6.77M
72.84%-30.93M
638.53%80.42M
-Pension and employee benefit expenses
----
----
----
----
----
----
----
----
--17.8M
--0
-Other non-cash items
858.02%175.55M
155.53%16.33M
1,243.06%147M
196.31%18.32M
87.34%-2.14M
1,360.28%38.93M
-3,107.31%-29.41M
383.26%10.95M
-15.40%-19.03M
-158.99%-16.91M
Changes in working capital
112.26%57.83M
158.12%372.83M
-503.30%-496.84M
-169.67%-471.72M
-163.84%-134.25M
-4.46%386.4M
-34.35%-641.52M
-115.26%-82.35M
247.31%677.04M
125.03%210.3M
-Change in receivables
87.20%-11.82M
209.19%430.72M
-376.92%-487.21M
-115.94%-92.33M
-100.67%-184.88M
-1.02%311.07M
18.67%-394.46M
-79.10%175.94M
196.72%579.06M
90.90%-92.13M
-Change in inventory
102.34%3.27M
-2,771.64%-5.37M
2,266.18%1.47M
-6,911.87%-139.44M
-20,806.50%-140.18M
174.06%611K
-83.61%201K
-107.02%-68K
151.09%2.05M
-48.67%677K
-Change in prepaid assets
265.36%146.93M
58.20%-99.05M
155.69%31.74M
1.67%-88.86M
83.87%131.5M
85.30%73.58M
-2,495.53%-236.94M
73.05%-57M
-1,585.55%-90.37M
-3.94%71.52M
-Change in payables
23.53%-98.52M
154.89%16.08M
75.64%-43.81M
-213.27%-128.83M
-56.93%82.11M
-105.90%-1.81M
-120.98%-29.29M
-90.72%-179.85M
-8.19%113.74M
137.31%190.63M
-Change in accrued expense
--0
----
105.28%533K
-148.89%-6.28M
-103.91%-439K
----
----
29.51%-10.09M
-119.22%-2.52M
-28.69%11.23M
-Provision for loans, leases and other losses
-86.68%-29.85M
-61.65%3.4M
103.75%424K
-121.30%-15.99M
-178.80%-22.36M
-55.10%8.79M
-11.96%8.88M
-166.23%-11.29M
--75.09M
--28.38M
-Changes in other current assets
--47.83M
----
----
--0
----
----
----
----
----
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-530.81%-42.64M
-798.61%-13.6M
-41.12%-2.27M
-12.33%-6.76M
-17.53%-2.05M
4.77%-1.6M
20.24%-1.51M
-127.98%-1.61M
-313.89%-6.02M
-216.94%-1.74M
Interest received (cash flow from operating activities)
35.05%13.65M
-84.62%1.26M
182.67%4.94M
-44.23%10.11M
-151.41%-1.15M
-55.01%1.3M
-8.96%8.21M
-56.17%1.75M
-19.29%18.13M
-67.51%2.24M
Tax refund paid
8.04%-100.98M
-318.74%-14.98M
61.38%-19.27M
40.17%-109.81M
-567.55%-2.26M
-4.63%-64.5M
122.03%6.85M
44.84%-49.89M
-139.25%-183.52M
83.16%-339K
Other operating cash inflow (outflow)
95.30%-781K
374,000.00%3.74M
-0.27%-7.02M
33.01%-16.61M
0
-961,400.00%-9.61M
100.01%1K
0.00%-7M
-550.09%-24.8M
-1K
Operating cash flow
125.18%180.95M
155.65%280.83M
-94.70%-410.19M
-148.55%-718.6M
-159.45%-313.49M
-9.53%310.23M
-312.78%-504.66M
-156.53%-210.67M
304.36%1.48B
369.66%527.29M
Investing cash flow
Net PPE purchase and sale
52.70%-96.71M
86.51%-12.55M
23.77%-20.53M
-556.80%-204.48M
-190.98%-15.03M
-409.55%-69.45M
-654.30%-93.07M
---26.93M
65.97%-31.13M
43.81%-5.16M
Net intangibles purchase and sale
-8.25%-19.19M
21.27%-7.02M
--0
-2,193.66%-17.73M
-3,471.43%-1M
-98.80%-1.16M
-5,403.70%-8.92M
---6.66M
94.45%-773K
97.02%-28K
Net business purchase and sale
---3.88B
--0
---3.88B
--0
----
----
--0
--0
----
----
Net investment product transactions
76.18%158.56M
164.10%102.57M
--156M
671.68%90M
250.33%150M
-38.91%100M
-196.82%-160M
--0
90.97%-15.74M
-145.80%-99.78M
Dividends received (cash flow from investment activities)
--200M
----
----
--0
----
----
----
----
----
----
Net changes in other investments
-803.95%-28.64M
---6.21M
-261,000.00%-2.61M
-316,700.00%-3.17M
---576K
---2.59M
--0
---1K
-100.20%-1K
--0
Investing cash flow
-2,607.79%-3.67B
129.31%76.79M
-11,055.12%-3.75B
-184.10%-135.37M
227.08%133.4M
-82.07%26.8M
-271.51%-261.98M
86.29%-33.59M
82.94%-47.65M
-150.52%-104.97M
Financing cash flow
Net issuance payments of debt
7,347.79%2.97B
-10,370.84%-330.36M
7,108.12%3.56B
238.25%39.88M
-381.68%-3.16M
-381.68%-3.16M
-124.08%-3.16M
--49.35M
--11.79M
---655K
Net common stock issuance
-89.84%79.93M
---16K
--0
19,403.25%786.57M
53,871.43%3.76M
--0
--0
34,308.88%782.8M
117.41%4.03M
---7K
Increase or decrease of lease financing
-29.89%-68.01M
-51.10%-16.4M
-46.17%-16.01M
-15.36%-52.36M
-10.23%-19.61M
-1.47%-10.94M
-4.06%-10.85M
-71.56%-10.95M
-148.06%-45.39M
-82.88%-17.79M
Net other fund-raising expenses
-100.01%-1K
0.00%-1K
-100.01%-1K
1,936,000.00%19.36M
---1K
--1K
---1K
--19.36M
0.00%1K
--0
Financing cash flow
275.84%2.98B
-2,375.17%-346.77M
321.25%3.54B
2,783.93%793.45M
-2.98%-19M
-45.73%-14.1M
-624.92%-14.01M
20,551.46%840.56M
-79.81%-29.56M
-89.71%-18.45M
Net cash flow
Beginning cash position
-0.40%3.66B
-28.09%3.08B
-0.40%3.66B
64.21%3.68B
16.69%3.92B
25.33%3.57B
78.13%4.28B
64.21%3.68B
8.70%2.24B
51.86%3.36B
Current changes in cash
-730.42%-502.56M
101.39%10.85M
-203.33%-616.14M
-104.31%-60.52M
-149.30%-199.09M
-33.10%322.93M
-298.85%-780.66M
382.19%596.29M
1,894.56%1.4B
15,971.39%403.87M
Effect of exchange rate changes
-144.07%-20.25M
-62.42%24.06M
353.67%30.71M
28.46%45.95M
35.25%-52.08M
-2.48%27.23M
32.10%64.03M
-82.99%6.77M
-67.19%35.77M
-383.49%-80.42M
Cash adjustments other than cash changes
--2K
----
--1K
----
----
----
----
----
----
----
End cash Position
-14.27%3.14B
-12.66%3.11B
-28.09%3.08B
-0.40%3.66B
-0.40%3.66B
16.69%3.92B
25.33%3.57B
78.13%4.28B
64.21%3.68B
64.21%3.68B
Free cash flow
106.91%65.05M
143.07%261.26M
-76.34%-430.72M
-164.96%-940.8M
-163.11%-329.52M
-27.10%239.62M
-370.01%-606.65M
-165.54%-244.26M
455.69%1.45B
353.85%522.1M
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)Dec 31, 2024(Q2)Jun 30, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities 152.34%311.7M158.74%304.4M-151.15%-386.58M-135.53%-595.53M-158.43%-308.03M-4.64%384.64M-285.78%-518.22M-132.97%-153.92M293.92%1.68B363.75%527.14M
Net profit before non-cash adjustment -21.66%-357.73M-236.01%-199.58M32.60%-74.16M-134.55%-294.05M-244.47%-256.94M-2,103.19%-73.83M-80.74%146.74M-29.09%-110.02M-3.36%851.01M-72.06%177.85M
Total adjustment of non-cash items 259.24%611.6M659.62%131.15M379.57%184.42M14.84%170.25M-40.17%83.16M3,033.48%72.07M-341.00%-23.44M213.23%38.46M3,148.16%148.25M3,640.12%138.98M
-Depreciation and amortization 128.78%401.65M180.33%114.23M45.72%45.14M18.84%175.56M39.59%55.06M25.79%48.78M8.15%40.75M-2.69%30.98M4.36%147.73M4.58%39.44M
-Disposal profit -11.57%19.73M-15.77%24.65M626.93%24M-31.71%22.31M-160.60%-21.84M130.68%11.59M41.12%29.26M-75.90%3.3M594.94%32.68M387.49%36.03M
-Net exchange gains and losses 131.92%14.67M62.42%-24.06M-368.52%-31.72M-48.56%-45.96M-35.24%52.08M-1,903.90%-27.23M-1.95%-64.03M85.65%-6.77M72.84%-30.93M638.53%80.42M
-Pension and employee benefit expenses ----------------------------------17.8M--0
-Other non-cash items 858.02%175.55M155.53%16.33M1,243.06%147M196.31%18.32M87.34%-2.14M1,360.28%38.93M-3,107.31%-29.41M383.26%10.95M-15.40%-19.03M-158.99%-16.91M
Changes in working capital 112.26%57.83M158.12%372.83M-503.30%-496.84M-169.67%-471.72M-163.84%-134.25M-4.46%386.4M-34.35%-641.52M-115.26%-82.35M247.31%677.04M125.03%210.3M
-Change in receivables 87.20%-11.82M209.19%430.72M-376.92%-487.21M-115.94%-92.33M-100.67%-184.88M-1.02%311.07M18.67%-394.46M-79.10%175.94M196.72%579.06M90.90%-92.13M
-Change in inventory 102.34%3.27M-2,771.64%-5.37M2,266.18%1.47M-6,911.87%-139.44M-20,806.50%-140.18M174.06%611K-83.61%201K-107.02%-68K151.09%2.05M-48.67%677K
-Change in prepaid assets 265.36%146.93M58.20%-99.05M155.69%31.74M1.67%-88.86M83.87%131.5M85.30%73.58M-2,495.53%-236.94M73.05%-57M-1,585.55%-90.37M-3.94%71.52M
-Change in payables 23.53%-98.52M154.89%16.08M75.64%-43.81M-213.27%-128.83M-56.93%82.11M-105.90%-1.81M-120.98%-29.29M-90.72%-179.85M-8.19%113.74M137.31%190.63M
-Change in accrued expense --0----105.28%533K-148.89%-6.28M-103.91%-439K--------29.51%-10.09M-119.22%-2.52M-28.69%11.23M
-Provision for loans, leases and other losses -86.68%-29.85M-61.65%3.4M103.75%424K-121.30%-15.99M-178.80%-22.36M-55.10%8.79M-11.96%8.88M-166.23%-11.29M--75.09M--28.38M
-Changes in other current assets --47.83M----------0------------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -530.81%-42.64M-798.61%-13.6M-41.12%-2.27M-12.33%-6.76M-17.53%-2.05M4.77%-1.6M20.24%-1.51M-127.98%-1.61M-313.89%-6.02M-216.94%-1.74M
Interest received (cash flow from operating activities) 35.05%13.65M-84.62%1.26M182.67%4.94M-44.23%10.11M-151.41%-1.15M-55.01%1.3M-8.96%8.21M-56.17%1.75M-19.29%18.13M-67.51%2.24M
Tax refund paid 8.04%-100.98M-318.74%-14.98M61.38%-19.27M40.17%-109.81M-567.55%-2.26M-4.63%-64.5M122.03%6.85M44.84%-49.89M-139.25%-183.52M83.16%-339K
Other operating cash inflow (outflow) 95.30%-781K374,000.00%3.74M-0.27%-7.02M33.01%-16.61M0-961,400.00%-9.61M100.01%1K0.00%-7M-550.09%-24.8M-1K
Operating cash flow 125.18%180.95M155.65%280.83M-94.70%-410.19M-148.55%-718.6M-159.45%-313.49M-9.53%310.23M-312.78%-504.66M-156.53%-210.67M304.36%1.48B369.66%527.29M
Investing cash flow
Net PPE purchase and sale 52.70%-96.71M86.51%-12.55M23.77%-20.53M-556.80%-204.48M-190.98%-15.03M-409.55%-69.45M-654.30%-93.07M---26.93M65.97%-31.13M43.81%-5.16M
Net intangibles purchase and sale -8.25%-19.19M21.27%-7.02M--0-2,193.66%-17.73M-3,471.43%-1M-98.80%-1.16M-5,403.70%-8.92M---6.66M94.45%-773K97.02%-28K
Net business purchase and sale ---3.88B--0---3.88B--0----------0--0--------
Net investment product transactions 76.18%158.56M164.10%102.57M--156M671.68%90M250.33%150M-38.91%100M-196.82%-160M--090.97%-15.74M-145.80%-99.78M
Dividends received (cash flow from investment activities) --200M----------0------------------------
Net changes in other investments -803.95%-28.64M---6.21M-261,000.00%-2.61M-316,700.00%-3.17M---576K---2.59M--0---1K-100.20%-1K--0
Investing cash flow -2,607.79%-3.67B129.31%76.79M-11,055.12%-3.75B-184.10%-135.37M227.08%133.4M-82.07%26.8M-271.51%-261.98M86.29%-33.59M82.94%-47.65M-150.52%-104.97M
Financing cash flow
Net issuance payments of debt 7,347.79%2.97B-10,370.84%-330.36M7,108.12%3.56B238.25%39.88M-381.68%-3.16M-381.68%-3.16M-124.08%-3.16M--49.35M--11.79M---655K
Net common stock issuance -89.84%79.93M---16K--019,403.25%786.57M53,871.43%3.76M--0--034,308.88%782.8M117.41%4.03M---7K
Increase or decrease of lease financing -29.89%-68.01M-51.10%-16.4M-46.17%-16.01M-15.36%-52.36M-10.23%-19.61M-1.47%-10.94M-4.06%-10.85M-71.56%-10.95M-148.06%-45.39M-82.88%-17.79M
Net other fund-raising expenses -100.01%-1K0.00%-1K-100.01%-1K1,936,000.00%19.36M---1K--1K---1K--19.36M0.00%1K--0
Financing cash flow 275.84%2.98B-2,375.17%-346.77M321.25%3.54B2,783.93%793.45M-2.98%-19M-45.73%-14.1M-624.92%-14.01M20,551.46%840.56M-79.81%-29.56M-89.71%-18.45M
Net cash flow
Beginning cash position -0.40%3.66B-28.09%3.08B-0.40%3.66B64.21%3.68B16.69%3.92B25.33%3.57B78.13%4.28B64.21%3.68B8.70%2.24B51.86%3.36B
Current changes in cash -730.42%-502.56M101.39%10.85M-203.33%-616.14M-104.31%-60.52M-149.30%-199.09M-33.10%322.93M-298.85%-780.66M382.19%596.29M1,894.56%1.4B15,971.39%403.87M
Effect of exchange rate changes -144.07%-20.25M-62.42%24.06M353.67%30.71M28.46%45.95M35.25%-52.08M-2.48%27.23M32.10%64.03M-82.99%6.77M-67.19%35.77M-383.49%-80.42M
Cash adjustments other than cash changes --2K------1K----------------------------
End cash Position -14.27%3.14B-12.66%3.11B-28.09%3.08B-0.40%3.66B-0.40%3.66B16.69%3.92B25.33%3.57B78.13%4.28B64.21%3.68B64.21%3.68B
Free cash flow 106.91%65.05M143.07%261.26M-76.34%-430.72M-164.96%-940.8M-163.11%-329.52M-27.10%239.62M-370.01%-606.65M-165.54%-244.26M455.69%1.45B353.85%522.1M
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Market Insights

Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

Unlock Now

Discussing

2025 Buffett shareholders' meeting: What's the new buzz in value investing?
🎙️Discussion 1. In the face of market changes, do you prefer to stick with growth stocks or switch to value stocks? 2. Based on the current Show More