Mercado
Noticias
Análisis
Tools
Formación
English
繁体中文
ไทย
Tiếng việt
简体中文
Español
Português
Deutsch
한국어
日本語
Entrar
Regístrese
Mercado
/
Acciones
/
nasdaq-mfg
/
Mizuho Financial Group Inc
MFG
5.840
USD
-0.060
-1.02%
Cierre 08/01, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
74.01B
Cap. mercado
0.27
P/E TTM
Mizuho Financial Group Inc
5.840
-0.060
-1.02%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-246.34%
-1.43T
-6357.07%
-2.03T
-85.52%
974.40B
102.64%
32.52B
62.93%
6.73T
66.38%
-1.23T
--
4.13T
--
-3.66T
8.34%
2.56T
24.65%
-1.90T
466.23%
2.36T
-235.66%
-2.52T
--
-645.46B
--
1.86T
Ingresos netos por operaciones continuas
65.94%
605.46B
181.03%
307.01B
187.42%
364.87B
-221.18%
-378.88B
-256.98%
-417.38B
-1.02%
312.66B
--
265.88B
--
315.89B
-197.92%
-200.80B
-23.43%
285.27B
1297.91%
205.06B
-1.85%
372.55B
--
-17.12B
--
379.56B
Pérdidas de ganancias operativas
5.89%
119.30B
-18.14%
103.41B
0.02%
112.67B
9.13%
126.33B
-2.95%
112.64B
0.12%
115.76B
--
116.06B
--
115.61B
116.32%
192.73B
80.35%
162.43B
-0.51%
89.09B
10.30%
90.06B
--
89.55B
--
81.65B
Impuesto diferido
16.39%
110.93B
122.76%
54.43B
141.95%
95.31B
-748.05%
-239.15B
-3096.81%
-227.16B
-148.78%
-28.20B
--
-7.11B
--
57.81B
-421.35%
-128.27B
-244.12%
-28.96B
150.17%
39.92B
172.09%
20.09B
--
-79.56B
--
-27.88B
Otros artículos no monetarios
-16.88%
395.52B
365.23%
480.18B
131.20%
475.83B
-137.66%
-181.04B
-302.08%
-1.53T
401.35%
480.67B
--
754.67B
--
-159.51B
-59.96%
54.19B
122.23%
180.99B
119.75%
135.34B
-592.49%
-814.19B
--
-685.09B
--
165.32B
Cambio en el capital de trabajo
-2472.05%
-2.22T
-537.11%
-2.44T
-98.89%
93.79B
127.77%
557.20B
138.29%
8.43T
46.92%
-2.01T
--
3.54T
--
-3.78T
2.23%
2.13T
-11.28%
-2.15T
831.38%
2.09T
-237.81%
-1.94T
--
224.24B
--
1.41T
-Cambio en gastos prepago
37.85%
-61.97B
-7.49%
-86.06B
-1053.30%
-99.70B
-700.89%
-80.07B
67.19%
-8.64B
-61.27%
13.32B
--
-26.35B
--
34.40B
-29.89%
-23.95B
-53.47%
-20.57B
-168.83%
-18.44B
-196.08%
-13.40B
--
-6.86B
--
13.95B
-Cambio en los gastos pagaderos y acumulados
-35.38%
97.84B
-62.73%
40.26B
324.81%
151.41B
428.76%
108.02B
344.12%
35.64B
59.37%
-32.86B
--
8.03B
--
-80.88B
-49.83%
11.16B
701.39%
34.49B
12.87%
22.25B
62.34%
-5.74B
--
19.71B
--
-15.23B
-Cambio en otros activos corrientes
-22.87%
3.67T
-4.36%
-8.72T
51.74%
4.76T
-3444.23%
-8.36T
-14.02%
3.14T
87.44%
-235.79B
--
3.65T
--
-1.88T
-9.54%
1.71T
206.71%
1.22T
-67.64%
1.89T
-21.67%
-1.15T
--
5.83T
--
-942.90B
-Cambio en otros pasivos corrientes
-25.66%
-6.00T
-30.42%
6.27T
-188.91%
-4.77T
619.51%
9.01T
4991.54%
5.37T
7.50%
-1.73T
--
-109.74B
--
-1.87T
84.41%
458.26B
-348.27%
-3.44T
104.42%
248.50B
-132.52%
-766.84B
--
-5.63T
--
2.36T
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-246.34%
-1.43T
-6357.07%
-2.03T
-85.52%
974.40B
102.64%
32.52B
62.93%
6.73T
66.38%
-1.23T
--
4.13T
--
-3.66T
8.34%
2.56T
24.65%
-1.90T
466.23%
2.36T
-235.66%
-2.52T
--
-645.46B
--
1.86T
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
61.96%
151.92B
10.97%
90.96B
37.77%
93.81B
65.83%
81.97B
-50.27%
68.09B
-18.85%
49.43B
--
136.92B
--
60.91B
-29.21%
92.81B
-58.87%
57.09B
-37.01%
131.10B
-34.13%
138.80B
--
208.13B
--
210.72B
Gastos de capital
53.76%
155.69B
19.51%
100.78B
20.54%
101.26B
61.44%
84.33B
-39.01%
84.00B
-29.19%
52.23B
--
137.73B
--
73.77B
-30.41%
93.86B
-59.41%
63.85B
-37.64%
134.88B
-26.69%
157.32B
--
216.31B
--
214.61B
Flujo de efectivo neto por disposición de activos fijos
61.96%
151.92B
10.97%
90.96B
37.77%
93.81B
65.83%
81.97B
-50.27%
68.09B
-18.85%
49.43B
--
136.92B
--
60.91B
-29.21%
92.81B
-58.87%
57.09B
-37.01%
131.10B
-34.13%
138.80B
--
208.13B
--
210.72B
Flujo de efectivo neto de transacciones comerciales
16803.69%
50.37B
64.76%
-16.32B
-90.15%
298.00M
-2.16%
-46.31B
-97.92%
3.03B
-279.96%
-45.33B
--
145.55B
--
25.19B
--
220.00M
--
--
--
0.00
--
948.00M
--
--
--
--
Flujo de efectivo neto de productos de inversión
241.14%
8.13T
-359.93%
-4.54T
127.06%
2.38T
-14.71%
1.75T
-4871.31%
-8.80T
117.77%
2.05T
--
184.50B
--
-11.52T
-30.91%
-4.70T
-17.93%
-140.99B
-18.24%
-3.59T
-104.73%
-119.55B
--
-3.03T
--
2.53T
Flujo de efectivo neto de otras actividades de inversión
-276.35%
-5.59T
-65.95%
-1.47T
-41.09%
3.17T
74.55%
-885.80B
202.31%
5.38T
-149.91%
-3.48T
--
1.78T
--
6.97T
-157.61%
-2.11T
107.85%
319.41B
243.16%
3.66T
56.37%
-4.07T
--
-2.55T
--
-9.32T
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
-55.34%
2.44T
-935.08%
-6.12T
256.45%
5.46T
147.96%
732.54B
-276.86%
-3.49T
66.69%
-1.53T
--
1.97T
--
-4.59T
-11016.83%
-6.90T
102.81%
121.33B
98.93%
-62.02B
38.26%
-4.33T
--
-5.80T
--
-7.01T
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
48.57%
10.22T
40.01%
1.24T
2958.92%
6.88T
-49.86%
885.79B
123.24%
224.82B
-81.71%
1.77T
--
-967.25B
--
9.66T
255.35%
3.10T
-95.39%
306.62B
-130.36%
-2.00T
25.62%
6.65T
--
6.58T
--
5.29T
Flujo de efectivo neto por emisión/amortización de deuda
-1.63%
4.75T
265.99%
5.00T
189.85%
4.83T
-175.90%
-3.01T
-150.22%
-5.38T
-18.60%
3.97T
--
-2.15T
--
4.87T
-15.22%
-4.13T
163.52%
4.26T
-30.93%
-3.59T
41.92%
1.62T
--
-2.74T
--
1.14T
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
-119.86%
-963.00M
232.95%
347.00M
-351.55%
-438.00M
72.70%
-261.00M
70.69%
-97.00M
84.27%
-956.00M
--
-331.00M
--
-6.08B
60.00%
-2.00M
27.22%
-1.17B
0.00%
-5.00M
-12.58%
-1.60B
--
-5.00M
--
-1.42B
Pagos de dividendos en efectivo
17.64%
126.94B
6.20%
107.84B
6.23%
107.91B
6.67%
101.55B
6.64%
101.58B
-0.05%
95.20B
--
95.26B
--
95.24B
0.01%
95.25B
0.03%
95.16B
-0.01%
95.24B
0.38%
95.14B
--
95.25B
--
94.78B
Flujo de efectivo neto de otras actividades de financiación
162.87%
5.58T
-189.82%
-3.64T
-63.08%
2.12T
286.56%
4.05T
400.38%
5.75T
-145.06%
-2.17T
--
1.15T
--
4.82T
350.36%
7.25T
-177.86%
-4.00T
-82.89%
1.61T
20.95%
5.14T
--
9.41T
--
4.25T
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
48.57%
10.22T
40.01%
1.24T
2958.92%
6.88T
-49.86%
885.79B
123.24%
224.82B
-81.71%
1.77T
--
-967.25B
--
9.66T
255.35%
3.10T
-95.39%
306.62B
-130.36%
-2.00T
25.62%
6.65T
--
6.58T
--
5.29T
Flujo de efectivo neto
Saldo de efectivo inicial
12.89%
62.73T
30.32%
67.99T
16.20%
55.57T
7.06%
52.17T
10.61%
47.83T
16.17%
48.73T
--
43.24T
--
41.95T
3270.00%
47.02T
2925.45%
48.17T
-0.94%
1.40T
20.38%
1.59T
--
1.41T
--
1.32T
Cambios en el flujo de efectivo del período actual
-8.38%
11.38T
-254.70%
-5.26T
185.64%
12.42T
474.40%
3.40T
-20.90%
4.35T
-170.59%
-907.77B
--
5.50T
--
1.29T
-563.87%
-1.35T
-484.15%
-1.15T
58.21%
290.57B
-329.14%
-196.92B
--
183.65B
--
85.94B
Efecto de los cambios del tipo de cambio
116.79%
149.47B
-5.39%
1.65T
-200.80%
-890.10B
1986.99%
1.75T
143.93%
883.05B
166.26%
83.75B
--
362.01B
--
-126.40B
-690.14%
-115.59B
40942.73%
321.77B
-130.19%
-14.63B
101.30%
784.00M
--
48.45B
--
-60.35B
Saldo de efectivo final
9.00%
74.11T
12.89%
62.73T
30.32%
67.99T
16.20%
55.57T
7.06%
52.17T
10.61%
47.83T
--
48.73T
--
43.24T
2609.21%
45.67T
3270.00%
47.02T
5.88%
1.69T
-0.94%
1.40T
--
1.59T
--
1.41T
Flujo de caja libre
-281.14%
-1.58T
-4021.39%
-2.14T
-86.86%
873.14B
95.96%
-51.81B
66.45%
6.64T
65.65%
-1.28T
--
3.99T
--
-3.73T
10.69%
2.47T
26.69%
-1.96T
358.65%
2.23T
-262.93%
-2.68T
--
-861.77B
--
1.64T
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
--
--
--
--
--
--
--
--
--
--
--
--
--
KeyAI
Por favor, acceda para usar KeyAI.
Entrar
Regístrese