Panasonic Holdings Corporation
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Financials

Cash flow

Fiscal date 2025 2024 2023 2022
Operating activities 406.2B 593.4B 184.2B -29.6B
Net income 384.4B 465.4B 280.6B 265.4B
Depreciation
Deferred taxes
StockBased compensation
Other non cash items -71.7B -211.5B -13.6B -127.2B
Accounts receivable -18.0B 50.6B 25.8B -53.8B
Accounts payable
Other assets liabilities 111.4B 288.9B -108.6B -114.0B
Investing activities -768.9B -479.1B -263.5B -732.3B
Capital expenditures -760.7B -504.1B -260.1B -171.2B
Net intangibles -91.0B -99.7B -80.5B -63.8B
Net acquisitions -33.1B 27.5B -4.9B -581.9B
Purchase of investments
Sale of investments
Other investing activity 24.9B -2.5B 1.4B 20.8B
Financing activities -95.9B 9.8B -508.6B 148.1B
Long term debt issuance 207.7B 267.2B 2.4B 401.0B
Long term debt payments -212.4B -153.3B -111.2B -283.4B
Short term debt issuance -2.7B -217M -315.3B 101.5B
Common stock issuance 2M 3M 3M 2M
Common stock repurchase -42M -52M -53M -45M
Common dividends -87.5B -75.9B -70.0B -58.3B
Other financing charges -823M -27.9B -14.4B -12.7B
End cash position 847.6B 1.1T 819.5B 1.2T
Income tax paid
Interest paid
Free cash flow -67.3B 219.7B 150.9B -45.1B
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Trading Hours (Monday - Friday):

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