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Takeda Pharmaceutical Co Ltd

TAK
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18.920USD
+0.010+0.05%
Horarios del mercado 09/21, 15:11ET
59.80BCap. mercado
49.33P/E TTM

TAK Estado de Flujos de Efectivo

Puede acceder a los estados de flujo de caja anuales y trimestrales de Takeda Pharmaceutical Co Ltd para evaluar su solidez y estabilidad financieras.
Trimestral
Trimestral+Anual
Trimestral
Anual
FY2027Q1
FY2026Q4
FY2026Q3
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-47.16%702.44M
-82.61%223.19M
-0.51%2.24B
32.99%2.22B
28.76%1.33B
-24.40%1.28B
181.06%2.26B
48.73%1.67B
98.33%1.03B
-15.93%1.70B
-70.03%802.33M
-13.95%1.12B
13.71%520.55M
-25.50%2.02B
-2.39%2.68B
-27.19%1.31B
-65.04%457.78M
-22.07%2.71B
59.62%2.74B
-17.98%1.79B
19.87%1.31B
127.84%3.48B
89.86%1.72B
24.06%2.19B
32.55%1.09B
86.93%1.53B
9.24%904.99M
164.29%1.76B
142.35%824.10M
-27.48%816.71M
9.77%828.42M
-15.75%667.05M
-48.50%340.04M
5.56%1.13B
258.68%754.68M
40.82%791.75M
35.36%660.33M
179.23%1.07B
-66.96%210.40M
-8.99%562.25M
233.56%487.84M
-618.23%-1.35B
16.67%636.73M
-4.66%617.77M
31.61%146.25M
-74.54%259.86M
33.22%545.76M
-26.52%647.99M
112.28%111.13M
--1.02B
--409.68M
--881.81M
---905.03M
Ingresos netos por operaciones continuas
-14.59%710.02M
-230.31%-2.33B
338.65%677.59M
-112.56%-76.10M
30.83%831.30M
-3470.93%-706.59M
-78.61%154.47M
289.93%605.85M
-0.90%635.41M
-108.55%-19.79M
-22.01%722.27M
-175.58%-318.99M
-18.02%641.18M
364.40%231.42M
84.13%926.16M
4.20%422.04M
-37.70%782.10M
-104.82%-87.53M
-42.57%503.00M
941.03%405.03M
61.09%1.26B
12336.49%1.82B
915.19%875.86M
-92.21%38.91M
510.68%779.36M
102.89%14.60M
-75.05%86.28M
16.44%499.13M
-127.19%-189.77M
-2.57%-504.96M
-44.38%345.85M
76.77%428.66M
-46.73%698.02M
-7.10%-492.29M
65.94%621.79M
0.48%242.50M
33.26%1.31B
-52.71%-459.64M
-26.84%374.71M
-4.75%241.33M
380.02%983.27M
84.07%-301.00M
213.62%512.19M
-4.08%253.36M
-38.74%204.84M
-604.89%-1.89B
-69.44%163.31M
-40.97%264.14M
-9.43%334.37M
---268.08M
--534.41M
--447.43M
--369.18M
Pérdidas de ganancias operativas
-1.67%1.21B
-23.06%1.36B
5.68%1.30B
31.40%1.75B
-15.41%1.23B
32.17%1.77B
-7.80%1.23B
-33.57%1.33B
13.13%1.45B
-2.07%1.34B
-6.50%1.33B
54.76%2.01B
0.10%1.29B
-7.57%1.37B
1.85%1.42B
3.57%1.30B
-1.44%1.28B
3.77%1.48B
4.07%1.40B
-6.37%1.25B
-7.40%1.30B
-28.30%1.42B
30.73%1.34B
-13.45%1.34B
-21.00%1.41B
37.58%1.99B
146.20%1.03B
334.82%1.54B
416.78%1.78B
191.28%1.44B
4.64%416.76M
-14.53%355.06M
-17.06%344.80M
136.91%495.82M
9.44%398.29M
-30.41%415.43M
-3.15%415.72M
-56.03%209.29M
-14.84%363.95M
56.37%596.98M
8.84%429.23M
-29.51%475.98M
-39.29%427.35M
-16.56%381.78M
-15.21%394.38M
-10.48%675.27M
57.45%703.91M
-2.58%457.56M
0.53%465.15M
--754.31M
--447.08M
--469.69M
--462.69M
Otros artículos no monetarios
11.78%-648.08M
484.80%3.10B
-44.57%232.16M
2648.15%542.21M
-6.28%-734.60M
55.86%530.03M
147.65%418.80M
-109.69%-21.28M
-6.82%-691.18M
150.98%340.07M
-296.02%-878.98M
-12.90%219.50M
-40.84%-647.03M
-259.73%-667.02M
395.10%448.41M
49.96%252.03M
49.83%-459.42M
667.19%417.61M
-85.49%90.57M
-64.72%168.06M
-2.17%-915.69M
148.24%54.43M
178.73%624.03M
39.82%476.34M
-2122.05%-896.26M
-185.62%-112.83M
270.30%223.88M
391.01%340.69M
57.69%-40.33M
-73.55%131.77M
-3.75%-131.46M
-39.54%-117.07M
-5.19%-95.33M
-54.68%498.23M
53.01%-126.71M
51.78%-83.90M
90.58%-90.63M
150.25%1.10B
-1356.73%-269.65M
-204.19%-173.98M
-151.51%-962.50M
-200.51%-2.19B
89.12%-18.51M
107.54%166.98M
-157.14%-382.69M
450.84%2.18B
-219.25%-170.16M
119.79%80.46M
-150.21%-148.83M
--395.15M
--142.70M
---406.60M
--296.39M
Cambio en el capital de trabajo
-1376.28%-1.02B
-6440.45%-1.08B
-141.92%-166.81M
87.23%-64.88M
88.03%-68.88M
-105.25%-16.50M
671.79%397.93M
-100.18%-507.91M
37.48%-575.50M
-65.61%314.64M
-133.46%-69.59M
4.00%-253.73M
26.58%-920.57M
-28.66%914.95M
-69.42%208.01M
-499.75%-264.29M
-43.75%-1.25B
-49.46%1.28B
398.36%680.25M
-75.73%66.11M
-73.06%-872.22M
208.24%2.54B
-375.56%-228.00M
1652.82%272.41M
-143.16%-504.01M
-26.29%823.28M
133.44%82.74M
75.29%-17.54M
60.31%-207.27M
36.66%1.12B
-12.41%-247.41M
-84.76%-70.99M
-40.17%-522.25M
30.84%817.34M
26.89%-220.09M
-135.20%-38.42M
3.97%-372.57M
-24.31%624.69M
-318.75%-301.06M
134.00%109.15M
-146.65%-387.98M
110.70%825.30M
68.41%-71.90M
-45.60%-321.08M
67.75%-157.30M
-21.74%391.70M
-23.00%-227.56M
-162.23%-220.51M
60.80%-487.69M
--500.51M
---185.00M
--354.37M
---1.24B
-Cambio en cuentas por cobrar
-238.34%-444.93M
-550.64%-617.78M
-186.97%-71.44M
3.70%-63.57M
201.03%321.63M
-119.44%-94.95M
-15.83%82.14M
-157.40%-66.01M
50.88%-318.34M
-3.76%488.38M
-1.70%97.58M
39.52%114.99M
-384.30%-648.11M
46.38%507.44M
-91.70%99.27M
170.08%82.42M
64.91%-133.82M
-7.25%346.65M
360.89%1.20B
-150.62%-117.60M
-56.23%-381.36M
17.32%373.74M
-234.99%-458.27M
377.20%232.32M
40.86%-244.10M
-60.73%318.57M
73.99%-136.80M
-171.89%-83.81M
-11.96%-412.77M
15.34%811.30M
-34.58%-525.86M
80.06%-30.82M
-134.61%-368.68M
24.33%703.42M
19.51%-390.75M
-21.08%-154.58M
52.32%-157.14M
5.69%565.77M
-293.42%-485.44M
36.71%-127.66M
-465.29%-329.59M
158.61%535.30M
37.82%-123.39M
8.96%-201.70M
38.27%-58.31M
-56.22%206.99M
19.81%-198.43M
-182.13%-221.55M
89.71%-94.45M
--472.75M
---247.45M
--269.75M
---918.02M
-Cambio en el inventario
-139.56%-209.42M
446.26%118.47M
-280.17%-247.97M
30.55%-187.92M
-30.08%-87.42M
-140.61%-34.21M
139.86%137.63M
17.54%-270.60M
67.22%-67.20M
125.23%84.24M
-140.59%-345.25M
-620.72%-328.16M
-201.94%-205.03M
-530.61%-333.84M
-15.33%-143.51M
-30.70%-45.53M
64.54%-67.90M
-128.87%-52.94M
-530.70%-124.43M
-149.40%-34.84M
-364.33%-191.51M
-56.14%183.40M
-85.46%28.89M
-58.46%70.52M
-108.52%-41.24M
-38.12%418.16M
256.04%198.70M
312.27%169.77M
534.85%484.11M
1045.89%675.73M
-40.57%55.81M
-483.60%-79.98M
-128.16%-111.33M
424.12%58.97M
129.05%93.90M
-73.69%20.85M
28.58%-48.79M
-130.65%-18.19M
28.53%41.00M
199.85%79.23M
-12.81%-68.32M
-27.08%59.35M
343.39%31.90M
-16.00%-79.35M
59.24%-60.56M
203.41%81.39M
63.30%-13.11M
-688.80%-68.41M
-133.75%-148.57M
---78.70M
---35.71M
--11.62M
---63.56M
-Cambio en otros pasivos corrientes
-86.62%-218.83M
-1558.35%-610.48M
157.37%131.09M
145.63%79.30M
-296.20%-117.26M
174.05%41.86M
116.88%50.93M
-392.83%-173.77M
-67.00%59.77M
-119.22%-56.53M
-196.68%-301.82M
321.66%59.34M
155.08%181.11M
2366.31%294.15M
168.77%312.18M
-133.75%-26.77M
-351.72%-328.81M
-99.25%11.93M
---453.95M
--79.32M
---72.79M
--1.60B
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Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-47.16%702.44M
-82.61%223.19M
-0.51%2.24B
32.99%2.22B
28.76%1.33B
-24.40%1.28B
181.06%2.26B
48.73%1.67B
98.33%1.03B
-15.93%1.70B
-70.03%802.33M
-13.95%1.12B
13.71%520.55M
-25.50%2.02B
-2.39%2.68B
-27.19%1.31B
-65.04%457.78M
-22.07%2.71B
59.62%2.74B
-17.98%1.79B
19.87%1.31B
127.84%3.48B
89.86%1.72B
24.06%2.19B
32.55%1.09B
86.93%1.53B
9.24%904.99M
164.29%1.76B
142.35%824.10M
-27.48%816.71M
9.77%828.42M
-15.75%667.05M
-48.50%340.04M
5.56%1.13B
258.68%754.68M
40.82%791.75M
35.36%660.33M
179.23%1.07B
-66.96%210.40M
-8.99%562.25M
233.56%487.84M
-618.23%-1.35B
16.67%636.73M
-4.66%617.77M
31.61%146.25M
-74.54%259.86M
33.22%545.76M
-26.52%647.99M
112.28%111.13M
--1.02B
--409.68M
--881.81M
---905.03M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
39.38%640.34M
-36.94%400.60M
291.00%1.44B
-14.07%342.75M
-49.99%459.42M
49.43%635.27M
-30.06%367.10M
-2.81%398.86M
-52.42%918.72M
-87.09%425.11M
33.35%524.91M
48.05%410.41M
163.63%1.93B
749.09%3.29B
-6.53%393.63M
-27.10%277.20M
90.32%732.37M
-61.10%387.97M
12.99%421.12M
1986.98%380.25M
0.72%384.80M
111.10%997.36M
-47.81%372.70M
-94.12%18.22M
-3.08%382.05M
57629.12%472.45M
151.27%714.11M
51.61%309.72M
50.47%394.18M
-100.37%-821.24K
75.49%284.20M
-58.05%204.29M
4.97%261.96M
-31.65%222.94M
-47.87%161.94M
124.11%486.96M
84.11%249.56M
48.71%326.16M
71.69%310.63M
11.69%217.29M
8.03%135.55M
81.92%219.32M
-19.66%180.93M
157.63%194.54M
-49.95%125.47M
-16.20%120.56M
54.20%225.21M
-63.59%75.51M
68.12%250.71M
--143.87M
--146.05M
--207.40M
--149.12M
Gastos de capital
28.89%647.21M
-36.91%400.94M
290.97%1.44B
-14.11%342.75M
-45.35%502.13M
49.48%635.49M
-30.30%367.15M
-14.32%399.05M
-52.42%918.78M
-87.12%425.13M
33.81%526.73M
67.77%465.77M
163.55%1.93B
727.75%3.30B
-6.57%393.63M
-27.51%277.63M
90.03%732.62M
-61.32%398.76M
1.94%421.32M
-0.87%382.98M
0.85%385.52M
75.44%1.03B
-42.26%413.28M
24.74%386.34M
-3.28%382.29M
44.54%587.58M
151.62%715.83M
51.05%309.72M
25.38%395.26M
76.98%406.52M
56.67%284.48M
-57.89%205.05M
26.26%315.24M
-32.07%229.69M
-43.21%181.58M
123.95%486.96M
76.70%249.67M
53.15%338.13M
75.95%319.76M
10.60%217.44M
12.42%141.29M
14.99%220.78M
-19.94%181.74M
12.18%196.60M
-67.77%125.68M
-14.23%192.00M
48.67%226.99M
-30.85%175.25M
161.21%389.89M
--223.87M
--152.68M
--253.45M
--149.26M
Flujo de efectivo neto por disposición de activos fijos
18.97%330.48M
-12.21%293.37M
-6.95%271.85M
-20.01%260.15M
-27.46%277.78M
13.54%334.19M
-8.62%292.16M
65.67%325.23M
16.21%382.93M
13.50%294.32M
22.85%319.72M
-1.78%196.31M
5.12%329.50M
-1.39%259.31M
10.60%260.26M
-25.47%199.87M
15.55%313.46M
-12.20%262.97M
22.47%235.31M
351.26%268.17M
24.29%271.28M
28.65%299.51M
-39.14%192.15M
-145.71%-106.73M
-20.20%218.26M
247.08%232.82M
165.09%315.72M
49.65%233.51M
124.18%273.51M
-198.11%-158.29M
28.71%119.10M
-19.23%156.03M
-5.19%122.00M
2.50%161.34M
-25.26%92.53M
32.88%193.19M
14.87%128.68M
75.99%157.40M
-2.39%123.80M
29.35%145.39M
39.75%112.02M
175.35%89.44M
67.31%126.83M
143.06%112.40M
334.80%80.16M
-31.56%32.48M
-1.12%75.81M
-63.40%46.25M
-129.59%-34.14M
--47.46M
--76.67M
--126.34M
--115.39M
Flujo de efectivo neto por transacciones con activos intangibles
70.59%309.86M
-64.38%107.23M
1452.59%1.16B
12.17%82.60M
-66.10%181.64M
130.20%301.08M
-63.48%74.94M
-65.61%73.64M
-66.54%535.78M
-95.69%130.79M
53.84%205.19M
176.86%214.10M
282.25%1.60B
2328.04%3.03B
-28.22%133.38M
-31.01%77.33M
268.99%418.91M
-82.09%124.99M
2.91%185.81M
-10.30%112.08M
-30.69%113.53M
191.21%697.85M
-54.68%180.56M
63.96%124.95M
35.73%163.79M
52.18%239.64M
141.31%398.39M
57.94%76.21M
-13.78%120.67M
155.65%157.47M
137.85%165.10M
-83.58%48.25M
15.78%139.96M
-63.50%61.60M
-62.85%69.41M
308.59%293.77M
413.80%120.89M
29.93%168.76M
245.36%186.83M
-12.47%71.90M
-48.08%23.53M
47.47%129.89M
-63.79%54.10M
180.66%82.14M
-84.09%45.31M
-8.64%88.08M
115.34%149.41M
-63.89%29.27M
744.31%284.85M
--96.41M
--69.38M
--81.06M
--33.74M
Flujo de efectivo neto de transacciones comerciales
-66.52%65.59M
-95.66%3.26M
153.18%20.67M
-93.52%2.30M
899.15%195.93M
-41.96%75.16M
--8.17M
76250.18%35.45M
635.03%19.61M
118.93%129.50M
--0.00
---46.55K
--2.67M
-70.50%59.15M
----
----
----
-94.63%200.51M
-121.71%-192.46M
-100.00%0.00
---231.64M
366.09%3.73B
970986.98%886.57M
-91.37%300.16M
----
103.10%800.88M
-102.86%-91.32K
--3.48B
92.02%-42.76M
-26803.56%-25.86B
692.53%3.19M
----
-171.44%-536.10M
98.13%-96.13M
-97.42%402.23K
----
22.68%750.46M
---5.15B
1419.68%15.56M
--0.00
1198.51%611.73M
--0.00
---1.18M
--0.00
---55.69M
----
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---33.72M
Flujo de efectivo neto de productos de inversión
-176.68%-4.68M
-100.61%-2.41M
75.13%-103.18M
105.72%9.05M
103.48%6.11M
1116.52%393.15M
-2934.02%-414.84M
-1483.03%-158.11M
-18604.48%-175.72M
244.50%32.32M
-225.11%-13.67M
-113.97%-9.99M
-103.89%-939.47K
-2627.45%-22.37M
-36.74%10.93M
-12.17%71.52M
195.77%24.17M
104.31%884.89K
-90.79%17.28M
142.62%81.43M
-106.53%-25.23M
-258.88%-20.53M
436.33%187.67M
-85.68%33.56M
271.08%386.48M
-93.15%12.92M
750.42%34.99M
187.16%234.32M
-37.50%104.15M
843.01%188.60M
-109.37%-5.38M
201.34%81.60M
104.50%166.65M
-64.75%20.00M
-56.70%57.43M
-88.69%27.08M
115.57%81.49M
-88.09%56.73M
140.45%132.62M
852.08%239.42M
---523.30M
2435.74%476.45M
-137.77%-327.86M
-24.85%25.15M
-100.00%0.00
-8.62%18.79M
178.60%867.95M
-85.52%33.46M
2415.21%525.27M
--20.56M
---1.10B
--231.13M
--20.88M
Flujo de efectivo neto de otras actividades de inversión
-16.28%29.60M
0.42%32.21M
-32.54%16.78M
-30.16%19.10M
17.58%35.36M
122.42%32.07M
1.45%24.87M
55.34%27.34M
70.80%30.07M
-7819.82%-143.04M
23.94%24.52M
-10.57%17.60M
517.27%17.61M
83.13%-1.81M
483.47%19.78M
117.01%19.68M
690.36%2.85M
24.27%-10.70M
73.65%-5.16M
117.43%9.07M
-126.50%-483.14K
-428.86%-14.13M
-1239.82%-19.58M
-221.50%-52.03M
103.66%1.82M
-100.02%-2.67M
99.99%-1.46M
-83.21%42.83M
-110.40%-49.80M
2231.47%14.53B
-66566.32%-14.44B
223.13%255.05M
51.78%478.63M
-2016.73%-681.51M
123.25%21.72M
-179.18%-207.15M
4097.64%315.35M
14487.07%35.56M
-724.76%-93.44M
-6628.77%-74.20M
-145.91%-7.89M
-158.95%-247.14K
-27.74%14.96M
-121.28%-1.10M
32.76%17.18M
-97.64%419.22K
-23.59%20.70M
170.21%5.18M
1833.56%12.94M
--17.73M
--27.08M
---7.38M
---746.57K
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
-147.64%-549.83M
-172.49%-367.55M
-100.44%-1.50B
36.80%-312.31M
78.75%-222.03M
66.81%-134.88M
-45.68%-748.90M
-22.68%-494.19M
45.34%-1.04B
87.53%-406.34M
-41.65%-514.06M
-116.58%-402.84M
-170.99%-1.91B
-1552.10%-3.26B
39.66%-362.92M
35.81%-186.00M
-9.84%-705.35M
-107.30%-197.28M
-188.19%-601.46M
-209.97%-289.75M
-10370.69%-642.16M
697.45%2.70B
200.19%681.97M
-92.35%263.47M
101.63%6.25M
103.04%338.68M
95.38%-680.67M
2501.87%3.44B
-150.42%-382.59M
-1036.83%-11.15B
-17769.39%-14.72B
119.84%132.37M
-117.02%-152.78M
81.80%-980.58M
67.80%-82.39M
-1181.08%-667.03M
1731.88%897.73M
-2197.37%-5.39B
48.31%-255.89M
69.46%-52.07M
66.45%-55.01M
353.46%256.88M
-174.61%-495.01M
-362.46%-170.50M
-157.03%-163.98M
4.00%-101.35M
154.24%663.43M
-325.60%-36.87M
276.71%287.51M
---105.58M
---1.22B
--16.34M
---162.70M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
22.09%-1.03B
86.77%-241.96M
73.56%-1.06B
128.00%153.28M
-159.92%-1.33B
-657.65%-1.83B
-755.54%-4.02B
25.69%-547.35M
912.70%2.21B
-311.04%-241.44M
84.93%-469.79M
-391.32%-736.53M
81.05%-272.25M
106.74%114.40M
-163.89%-3.12B
92.19%-149.91M
59.36%-1.44B
46.88%-1.70B
52.67%-1.18B
3.53%-1.92B
-130.27%-3.54B
-180.46%-3.19B
-4879.22%-2.50B
64.43%-1.99B
-13.94%-1.54B
-107.99%-1.14B
-100.36%-50.13M
-4766.81%-5.59B
-89.05%-1.35B
1158.22%14.26B
2402.11%13.81B
27.98%-114.91M
8.64%-712.77M
-158.98%-1.35B
-3.95%-599.76M
-36.84%-159.55M
-170.20%-780.21M
522.76%2.28B
-6.22%-576.99M
-42.02%-116.60M
260.28%1.11B
133.69%366.75M
-2.46%-543.20M
64.14%-82.10M
9.50%-693.43M
-929.29%-1.09B
11.52%-530.16M
-109.41%-228.97M
-19.43%-766.26M
---105.76M
---599.15M
--2.43B
---641.58M
Flujo de efectivo neto por emisión/amortización de deuda
-48184.94%-70.76M
88.37%-162.27M
97.88%-64.58M
151.85%237.19M
-100.00%147.16K
-1378.24%-1.39B
-707.99%-3.05B
29.09%-457.46M
345.83%3.18B
-143.74%-94.35M
124.26%501.93M
-776.34%-645.08M
357.72%712.61M
115.17%215.73M
-617.18%-2.07B
95.99%-73.61M
88.02%-276.50M
54.32%-1.42B
132.36%400.09M
-16.60%-1.83B
-798.89%-2.31B
-195.47%-3.11B
-204.45%-1.24B
71.26%-1.57B
-144.11%-256.82M
-131.41%-1.05B
28394.43%1.18B
-65824.27%-5.48B
-1562.18%-105.21M
362.80%3.36B
28.72%-4.18M
98.51%-8.31M
81.69%-6.33M
-153.01%-1.28B
-100.33%-5.87M
-11686.28%-557.28M
-101.76%-34.57M
426.41%2.41B
--1.77B
---4.73M
--1.96B
145.61%457.51M
----
----
----
-50129.23%-1.00B
45.62%1.11M
87.71%-778.39K
-29.06%916.09K
---2.00M
--759.73K
---6.33M
--1.29M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
98.17%-6.31M
100.00%0.00
--0.00
--0.00
-2650.73%-345.17M
---342.53M
--0.00
--0.00
24.77%-12.55M
--0.00
--0.00
--0.00
91.68%-16.68M
100.00%0.00
100.00%0.00
--0.00
-765.45%-200.54M
-696137.23%-192.31M
-1530008.12%-434.94M
100.00%0.00
-15.08%-23.17M
75.37%-27.62K
-211.28%-28.43K
99.92%-28.68K
-72886.30%-20.14M
-53.60%-112.13K
83.34%-9.13K
-77702.73%-34.45M
99.73%-27.59K
33.30%-73.00K
60.03%-54.80K
66.31%-44.28K
93.91%-10.31M
-25.06%-109.44K
-121.81%-137.12K
99.35%-131.41K
17.79%-169.13M
-19.51%-87.51K
63.56%-61.82K
-13379.20%-20.12M
-14.52%-205.72M
51.48%-73.23K
-99.37%-169.66K
98.95%-149.24K
-15.20%-179.64M
-119.15%-150.92K
31.07%-85.10K
-13912.01%-14.27M
-220710.99%-155.94M
---68.86K
---123.46K
---101.82K
---70.62K
Pagos de dividendos en efectivo
-3.16%941.20M
-16.59%55.67M
3.27%973.49M
-5.77%57.01M
5.54%971.87M
10.66%66.74M
-0.16%942.65M
0.38%60.51M
-1.79%920.86M
-22.12%60.31M
-5.83%944.21M
-20.81%60.28M
-2.30%937.65M
-5.42%77.44M
-12.32%1.00B
-9.40%76.12M
-20.26%959.73M
2.48%81.88M
-9.20%1.14B
1.74%84.02M
-4.27%1.20B
2.73%79.90M
3.36%1.26B
10.65%82.58M
2.98%1.26B
18.62%77.78M
107.42%1.22B
30.11%74.63M
110.19%1.22B
9.92%65.57M
-0.19%587.49M
-12.38%57.36M
1.22%580.82M
-10.87%59.65M
5.49%588.59M
-8.03%65.47M
-7.65%573.82M
-5.85%66.93M
4.37%557.96M
3.99%71.18M
23.42%621.36M
-11.40%71.08M
2.83%534.58M
-25.30%68.45M
-15.27%503.46M
-12.56%80.23M
-11.37%519.86M
0.82%91.63M
-5.18%594.22M
--91.76M
--586.53M
--90.89M
--626.69M
Flujo de efectivo neto de otras actividades de financiación
-65.14%-14.71M
5.16%-24.02M
1.55%-24.45M
8.47%-26.89M
71.29%-8.91M
70.81%-25.33M
9.72%-24.83M
5.73%-29.38M
-1.64%-31.03M
-263.39%-86.78M
40.24%-27.51M
-17434.23%-31.17M
-25521.68%-30.53M
-17142.35%-23.88M
-1394.74%-46.03M
-55.27%-177.75K
---119.15K
5.98%-138.50K
-778.44%-3.08M
99.97%-114.48K
----
97.91%-147.32K
97.70%-350.58K
-4181.59%-332.95M
94.76%-1.12M
-100.06%-7.05M
-100.11%-15.21M
84.19%-7.78M
81.40%-21.45M
102782.66%10.97B
278878.78%14.40B
-110.62%-49.20M
-4181.70%-115.31M
81.41%-10.68M
99.71%-5.17M
2351.90%463.33M
89.71%-2.69M
-192.98%-57.44M
-21053.10%-1.79B
-52.43%-20.58M
-153.15%-26.16M
-280.86%-19.61M
25.35%-8.45M
88.96%-13.50M
39.26%-10.34M
56.90%-5.15M
14.63%-11.32M
-104.83%-122.29M
-5.68%-17.02M
---11.94M
---13.26M
--2.53B
---16.10M
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
22.09%-1.03B
86.77%-241.96M
73.56%-1.06B
128.00%153.28M
-159.92%-1.33B
-657.65%-1.83B
-755.54%-4.02B
25.69%-547.35M
912.70%2.21B
-311.04%-241.44M
84.93%-469.79M
-391.32%-736.53M
81.05%-272.25M
106.74%114.40M
-163.89%-3.12B
92.19%-149.91M
59.36%-1.44B
46.88%-1.70B
52.67%-1.18B
3.53%-1.92B
-130.27%-3.54B
-180.46%-3.19B
-4879.22%-2.50B
64.43%-1.99B
-13.94%-1.54B
-107.99%-1.14B
-100.36%-50.13M
-4766.81%-5.59B
-89.05%-1.35B
1158.22%14.26B
2402.11%13.81B
27.98%-114.91M
8.64%-712.77M
-158.98%-1.35B
-3.95%-599.76M
-36.84%-159.55M
-170.20%-780.21M
522.76%2.28B
-6.22%-576.99M
-42.02%-116.60M
260.28%1.11B
133.69%366.75M
-2.46%-543.20M
64.14%-82.10M
9.50%-693.43M
-929.29%-1.09B
11.52%-530.16M
-109.41%-228.97M
-19.43%-766.26M
---105.76M
---599.15M
--2.43B
---641.58M
Flujo de efectivo neto
Saldo de efectivo inicial
44.82%3.73B
22.52%4.15B
-20.04%4.45B
-57.07%2.27B
-15.61%2.58B
77.70%3.39B
156.29%5.57B
151.45%5.29B
-20.22%3.05B
-62.58%1.91B
-64.99%2.17B
-52.36%2.10B
-39.53%3.83B
-8.63%5.09B
17.32%6.20B
-23.42%4.42B
-28.16%6.33B
-1.99%5.57B
-11.53%5.29B
2.29%5.77B
46.26%8.81B
7.09%5.69B
20.44%5.98B
2.57%5.64B
-6.73%6.02B
95.36%5.31B
71.37%4.96B
168.16%5.50B
145.22%6.46B
-32.30%2.72B
-26.47%2.90B
-45.88%2.05B
-8.80%2.63B
-17.95%4.02B
-27.96%3.94B
-31.84%3.79B
-34.73%2.89B
-4.70%4.89B
5.97%5.47B
16.26%5.56B
-16.19%4.42B
-21.64%5.13B
-11.02%5.16B
-16.22%4.78B
-18.68%5.28B
12.33%6.55B
-14.91%5.80B
45.60%5.70B
17.93%6.49B
--5.83B
--6.82B
--3.92B
--5.50B
Cambios en el flujo de efectivo del período actual
-257.95%-840.53M
49.22%-379.36M
92.67%-173.42M
497.31%2.15B
-110.16%-234.82M
-166.72%-747.13M
-1066.11%-2.36B
3140.51%360.08M
248.34%2.31B
199.37%1.12B
76.91%-202.79M
-98.93%11.11M
-2.65%-1.56B
-216.83%-1.13B
-186.69%-878.31M
351.11%1.04B
46.54%-1.52B
-69.95%964.57M
908.02%1.01B
-205.48%-414.23M
-528.22%-2.84B
395.40%3.21B
-155.45%-125.38M
184.46%392.71M
54.67%-451.71M
-82.44%647.87M
228.89%226.12M
-161.34%-464.99M
-76.80%-996.40M
377.53%3.69B
-305.08%-175.44M
6249.59%757.99M
-155.26%-563.58M
36.64%-1.33B
116.15%85.55M
-103.44%-12.33M
-20.09%1.02B
-109.25%-2.10B
-31.92%-529.69M
35.43%357.95M
300.96%1.28B
5.30%-1.00B
-147.16%-401.51M
-50.70%264.31M
-51.08%-635.09M
-247.23%-1.06B
171.89%851.44M
-84.19%536.07M
74.09%-420.36M
--719.03M
---1.18B
--3.39B
---1.62B
Efecto de los cambios del tipo de cambio
344.61%39.84M
110.47%6.96M
-1.13%146.61M
131.55%86.71M
-114.19%-16.29M
-195.26%-66.48M
796.97%148.28M
-1133.26%-274.84M
8.48%114.82M
4529.06%69.79M
71.43%-21.27M
-61.99%26.60M
-36.79%105.84M
-101.07%-1.58M
-239.24%-74.46M
10087.40%69.97M
452.62%167.45M
-33.93%147.81M
274.89%53.48M
101.03%686.86K
302.41%30.30M
384.49%223.72M
-158.89%-30.58M
15.87%-66.77M
84.44%-14.97M
65.85%-78.64M
159.07%51.92M
-319.35%-79.36M
-2065.64%-96.22M
-86.46%-230.27M
-774.74%-87.90M
60.71%36.18M
-109.87%-4.44M
-25.01%-123.49M
-95.97%13.03M
163.19%22.51M
116.80%45.02M
64.66%-98.78M
953274.79%323.44M
64.68%-35.63M
-452.30%-267.99M
-117.47%-279.49M
-100.02%-33.93K
-165.53%-100.86M
244.25%76.07M
-42.40%-128.52M
-24.47%172.41M
159.11%153.92M
-160.74%-52.73M
---90.25M
--228.28M
--59.40M
--86.81M
Saldo de efectivo final
23.44%2.89B
42.83%3.77B
33.59%4.28B
-21.74%4.42B
-56.34%2.34B
-12.76%2.64B
62.61%3.20B
167.16%5.65B
136.35%5.36B
-23.70%3.03B
-63.02%1.97B
-61.24%2.11B
-52.84%2.27B
-39.35%3.97B
-15.48%5.33B
1.94%5.46B
-19.42%4.81B
-26.51%6.54B
7.68%6.30B
-11.24%5.35B
7.18%5.97B
49.32%8.90B
12.77%5.85B
19.86%6.03B
2.02%5.57B
-7.00%5.96B
90.73%5.19B
79.20%5.03B
163.86%5.46B
138.51%6.41B
-32.40%2.72B
-25.62%2.81B
-47.03%2.07B
-3.92%2.69B
-18.50%4.02B
-36.17%3.77B
-31.46%3.91B
-32.34%2.80B
3.78%4.94B
17.26%5.91B
22.76%5.70B
-24.79%4.13B
-28.45%4.76B
-19.18%5.04B
-23.52%4.64B
-16.16%5.49B
18.10%6.65B
-14.60%6.24B
56.39%6.07B
--6.55B
--5.63B
--7.31B
--3.88B
Flujo de caja libre
-93.32%55.24M
-127.43%-177.76M
-57.19%808.12M
47.76%1.88B
628.05%827.18M
-49.08%648.05M
585.01%1.89B
93.36%1.27B
108.06%113.62M
199.33%1.27B
-87.93%275.60M
-36.01%658.11M
-413.14%-1.41B
-155.42%-1.28B
-1.64%2.28B
-27.10%1.03B
-129.75%-274.84M
-5.54%2.31B
77.89%2.32B
-21.66%1.41B
30.12%923.87M
160.63%2.45B
589.80%1.30B
23.92%1.80B
65.57%710.02M
128.94%939.11M
-65.22%189.17M
214.55%1.45B
1629.27%428.84M
-54.25%410.19M
-5.09%543.93M
51.58%462.00M
-93.96%24.80M
23.01%896.54M
624.08%573.10M
-11.61%304.78M
18.50%410.66M
146.50%728.84M
-124.03%-109.35M
-18.13%344.81M
1584.42%346.55M
-2409.98%-1.57B
42.74%455.00M
-10.91%421.17M
107.38%20.57M
-91.48%67.85M
24.03%318.76M
-24.77%472.74M
73.56%-278.76M
--796.75M
--257.00M
--628.37M
---1.05B
Unidad monetaria
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Opiniones de evaluación
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Preguntas frecuentes

¿Qué es el flujo de caja operativo?

El flujo de caja operativo es el efectivo generado o utilizado por las operaciones comerciales principales de una empresa. Ajusta los ingresos netos para partidas no monetarias y cambios en el capital de trabajo, como depreciación, cuentas por cobrar, inventario y cuentas por pagar. Un flujo de caja operativo sólido puede indicar que la empresa está convirtiendo las ventas y ganancias en efectivo real.

¿Cuánto flujo de caja operativo generó Takeda Pharmaceutical Co Ltd?

Takeda Pharmaceutical Co Ltd generó un flujo de caja operativo de 5.83B en el año fiscal 2025, reflejando el efectivo generado por sus operaciones comerciales principales.

¿Cómo cambió el flujo de caja operativo de Takeda Pharmaceutical Co Ltd año tras año?

El flujo de caja operativo de Takeda Pharmaceutical Co Ltd aumentó un -9.93% interanual.

¿Qué es el flujo de caja de inversión?

El flujo de caja de inversión muestra el efectivo usado para o generado por actividades relacionadas con inversiones, como gastos de capital, compras o ventas de inversiones, adquisiciones y desinversiones. Un flujo de caja de inversión negativo no siempre es malo –puede reflejar un gasto en crecimiento futuro–, pero los inversores deben comprobar si esas inversiones respaldan o no su rentabilidad a largo plazo.

¿Cuánto gasta Takeda Pharmaceutical Co Ltd en gastos de capital?

Takeda Pharmaceutical Co Ltd gastó 2.60B en gastos de capital en el trimestre más reciente.

¿Qué es el flujo de caja de financiación?

El flujo de caja de financiación muestra cómo una empresa obtiene capital o lo devuelve a inversores y acreedores. Puede incluir emisión de deuda, reembolso de deuda, emisión de acciones, recompra de acciones, pagos de dividendos y financiación de arrendamientos. Un flujo de caja de financiación positivo puede mostrar nuevo capital obtenido, mientras que un flujo de caja de financiación negativo puede reflejar reembolso de deuda, dividendos o recompras.

¿Cómo ha cambiado el flujo de caja de financiación de Takeda Pharmaceutical Co Ltd?

Takeda Pharmaceutical Co Ltd empleó -2.38B en actividades de financiación en el último trimestre.

¿Qué es el flujo de caja libre, y por qué es importante para TAK?

El flujo de caja libre es el efectivo que le queda a una empresa después de financiar los gastos de capital necesarios para mantener o hacer crecer el negocio. Suele emplearse para evaluar la flexibilidad financiera, la capacidad de pago de la deuda, la sostenibilidad de los dividendos, el potencial de recompra y la calidad de la valoración. Los inversores deben comparar el flujo de caja libre con los ingresos netos, el crecimiento de los ingresos y los gastos de capital.

¿Cuál fue el flujo de caja libre de Takeda Pharmaceutical Co Ltd en el último trimestre?

El flujo de caja libre fue de 3.23B, y esto refleja un cambio de -21.09% en comparación con el año anterior.
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