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Vasta Platform Ltd
VSTA
4.160
USD
+0.020
+0.48%
終値 07/17, 16:00(ET)
15分遅れの株価
0.000
USD
0.000
時間外取引 (ET)
333.67M
時価総額
0.72
直近12ヶ月PER
Vasta Platform Ltd
4.160
+0.020
+0.48%
概要
企業名
金融
財務諸表
損益計算書
貸借対照表
キャッシュフロー計算書
概要
企業名
金融
財務諸表
損益計算書
貸借対照表
キャッシュフロー計算書
四半期
四半期+年間
四半期
年間
YOY
空白行を非表示にする
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q1
営業活動によるキャッシュフロー(間接法)
継続事業の営業CF
102.85%
89.60M
--
24.53M
330.20%
68.31M
-70.73%
38.43M
164.11%
44.17M
686.09%
15.88M
-6.73%
131.30M
-51.89%
16.72M
93.56%
-2.72M
-67.42%
2.02M
441.21%
140.77M
-37.49%
34.76M
53.82%
-42.16M
-94.61%
6.20M
-138.58%
-41.26M
-34.37%
55.61M
--
-91.29M
--
115.09M
--
106.93M
148.05%
84.73M
--
-176.33M
継続事業の当期純利益
-103.61%
-1.33M
--
475.71M
-13.73%
-110.25M
22.47%
-95.09M
13602.99%
36.72M
7.98%
-96.94M
-6.68%
-122.65M
-98.99%
268.00K
89.88%
87.98M
-1.51%
-105.35M
-25.71%
-114.98M
484.85%
26.67M
46.42%
46.33M
-75.31%
-103.78M
-10.68%
-91.46M
-117.70%
-6.93M
--
31.64M
--
-59.20M
--
-82.63M
71.78%
39.14M
--
22.78M
営業損益
9.91%
76.42M
--
84.50M
8.52%
76.61M
2.78%
71.72M
-1.83%
69.53M
5.44%
70.59M
3.21%
69.78M
10.18%
70.83M
13.31%
69.87M
32.33%
66.95M
34.37%
67.61M
32.32%
64.29M
36.94%
61.66M
16.46%
50.59M
15.57%
50.31M
15.45%
48.59M
--
45.03M
--
43.44M
--
43.53M
1.99%
42.08M
--
41.26M
その他非資金項目
-39.55%
37.04M
--
-248.49M
2255.44%
30.71M
-57.13%
35.05M
21.61%
61.27M
-97.44%
1.30M
48.54%
81.76M
110.09%
50.38M
879.32%
84.14M
204.22%
50.91M
59.52%
55.05M
210.02%
23.98M
-63.67%
8.59M
263.45%
16.73M
866.31%
34.51M
-62.13%
7.74M
--
23.65M
--
-10.24M
--
-4.50M
34.53%
20.43M
--
15.19M
運転資本の増減
67.14%
-30.50M
--
-226.32M
-7.12%
68.04M
-54.73%
30.91M
-70.04%
-92.82M
160.16%
73.26M
-43.19%
68.28M
4.29%
-54.59M
-42.83%
-282.23M
-40.33%
28.16M
382.88%
120.18M
-649.73%
-57.03M
17.01%
-197.60M
-71.67%
47.19M
-131.04%
-42.49M
167.42%
10.38M
--
-238.10M
--
166.60M
--
136.87M
93.28%
-15.39M
--
-228.96M
-売上債権の増減
92.38%
-7.89M
--
-412.73M
155.12%
175.62M
-30.96%
115.47M
-16.45%
-103.56M
-18.90%
68.84M
23.18%
167.26M
-9.95%
-88.94M
-19.24%
-345.81M
-0.37%
84.88M
-20.00%
135.79M
-2842.79%
-80.89M
-14.61%
-290.00M
-10.46%
85.20M
-12.15%
169.74M
102.27%
2.95M
--
-253.04M
--
95.16M
--
193.21M
48.97%
-129.65M
--
-254.06M
-棚卸資産の増減
93.32%
13.92M
--
60.52M
22.20%
-45.39M
118.60%
3.89M
1195.14%
7.20M
-45.32%
-58.35M
-12.17%
-20.90M
-97.92%
556.00K
-292.13%
-33.02M
-870.17%
-40.15M
-21.03%
-18.63M
486.92%
26.79M
-188.28%
-8.42M
115.32%
5.21M
13.26%
-15.39M
-78.69%
4.56M
--
9.54M
--
-34.02M
--
-17.75M
-49.04%
21.42M
--
42.03M
-前払費用の増減
-37.32%
-6.14M
--
4.05M
57.04%
-2.57M
-465.16%
-5.89M
78.22%
-4.47M
-187.51%
-5.99M
72.23%
-1.04M
-18.85%
-20.52M
-2.04%
-2.40M
180.07%
6.84M
-17.32%
-3.75M
-1187.28%
-17.27M
-513.71%
-2.35M
-142.20%
-8.55M
68.95%
-3.20M
110.89%
1.59M
--
569.00K
--
20.25M
--
-10.30M
-296.06%
-14.58M
--
7.44M
-その他流動資産の増減
17.48%
-4.44M
--
-5.25M
14.36%
-5.45M
-5.43%
-6.11M
-204.81%
-5.38M
5.33%
-6.36M
-52.47%
-5.80M
312.21%
5.13M
-114.81%
-6.76M
-192.09%
-6.72M
-198.66%
-3.80M
93.32%
1.25M
-272.43%
-3.15M
-187.50%
-2.30M
-155.01%
-1.27M
232.78%
644.00K
--
-845.00K
--
-800.00K
--
2.31M
-106.85%
-485.00K
--
7.08M
-その他流動負債の増減
-216.12%
-7.46M
--
3.16M
309.22%
11.06M
64.11%
-20.77M
-68.58%
6.42M
109.15%
2.70M
-555.77%
-57.88M
118.50%
20.43M
-130.37%
-12.92M
-14.07%
-29.53M
93.39%
-8.83M
-51.89%
9.35M
138.59%
42.54M
-128.30%
-25.89M
-459.10%
-133.58M
-80.75%
19.44M
--
-110.25M
--
91.48M
--
37.20M
1074.57%
101.00M
--
8.60M
非経常的な投資活動によるキャッシュ
営業活動によるキャッシュフロー
102.85%
89.60M
--
24.53M
330.20%
68.31M
-70.73%
38.43M
164.11%
44.17M
686.09%
15.88M
-6.73%
131.30M
-51.89%
16.72M
93.56%
-2.72M
-67.42%
2.02M
441.21%
140.77M
-37.49%
34.76M
53.82%
-42.16M
-94.61%
6.20M
-138.58%
-41.26M
-34.37%
55.61M
--
-91.29M
--
115.09M
--
106.93M
148.05%
84.73M
--
-176.33M
投資活動によるキャッシュフロー
継続事業の投資CF
-39.63%
26.42M
--
38.89M
109.82%
21.64M
-5.80%
23.99M
-0.31%
43.76M
-69.00%
10.31M
-15.12%
25.47M
-18.94%
43.89M
12.22%
34.31M
63.04%
33.27M
110.94%
30.00M
367.30%
54.15M
260.57%
30.57M
152.23%
20.40M
-30.62%
14.22M
57.32%
11.59M
--
8.48M
--
8.09M
--
20.50M
5.68%
7.37M
--
6.97M
設備投資
-39.63%
26.42M
--
38.89M
109.82%
21.64M
-5.80%
23.99M
-0.31%
43.76M
-69.00%
10.31M
-15.12%
25.47M
-18.94%
43.89M
12.22%
34.31M
63.04%
33.27M
110.94%
30.00M
367.30%
54.15M
189.33%
30.57M
152.23%
20.40M
-30.62%
14.22M
57.32%
11.59M
--
10.57M
--
8.09M
--
20.50M
5.68%
7.37M
--
6.97M
固定資産売却による純キャッシュフロー
-83.72%
1.46M
--
19.03M
-72.85%
2.42M
-53.30%
1.91M
70.89%
8.98M
274.85%
8.90M
-70.33%
4.09M
-84.74%
5.26M
-8.00%
10.54M
-23.62%
2.37M
257.05%
13.79M
1287.95%
34.44M
648.75%
11.46M
98.72%
3.11M
168.08%
3.86M
242.21%
2.48M
--
-2.09M
--
1.56M
--
1.44M
-76.69%
725.00K
--
3.11M
無形資産取引による純キャッシュフロー
-28.24%
24.96M
--
19.85M
1261.12%
19.22M
3.30%
22.08M
-10.00%
34.78M
-95.43%
1.41M
31.85%
21.38M
95.97%
38.64M
24.35%
23.77M
78.62%
30.89M
56.46%
16.21M
116.49%
19.72M
80.89%
19.11M
165.06%
17.30M
-45.64%
10.36M
37.13%
9.11M
--
10.57M
--
6.53M
--
19.06M
72.05%
6.64M
--
3.86M
事業取引による純キャッシュフロー
--
--
--
--
--
--
--
--
--
--
100.00%
0.00
--
-7.00K
62.18%
-3.21M
82.39%
-26.87M
-780.89%
-45.21M
100.00%
0.00
76.88%
-8.47M
-956.68%
-152.63M
-55.20%
6.64M
--
-3.57M
-55.84%
-36.66M
--
-14.44M
--
14.82M
--
0.00
--
-23.53M
--
0.00
投資商品による純キャッシュフロー
-1554.20%
-129.83M
--
152.25M
-83.85%
21.83M
45.43%
-23.83M
-84.82%
8.93M
4421.29%
135.17M
55.77%
-43.68M
146.73%
58.82M
-59.72%
65.09M
98.63%
-3.13M
-153.88%
-98.75M
-153.60%
-125.87M
-30.01%
161.61M
67.63%
-228.23M
--
183.27M
--
234.82M
--
230.90M
--
-705.10M
--
--
--
--
--
--
非継続事業の投資CF
投資活動による純キャッシュフロー
-348.60%
-156.25M
--
113.37M
-99.85%
191.00K
30.84%
-47.82M
-397.13%
-34.83M
253.00%
124.86M
46.29%
-69.15M
106.22%
11.72M
118.11%
3.91M
66.28%
-81.61M
-177.81%
-128.75M
-201.03%
-188.49M
-110.38%
-21.59M
65.35%
-241.99M
907.17%
165.48M
703.94%
186.57M
--
207.98M
--
-698.36M
--
-20.50M
-343.21%
-30.89M
--
-6.97M
財務活動によるキャッシュフロー
継続事業の財務CF
85.43%
-5.54M
--
-149.53M
67.88%
-23.21M
89.56%
-6.95M
-20.48%
-37.99M
-203.13%
-72.25M
-549.03%
-66.56M
-210.19%
-31.53M
105.40%
228.00K
-108.56%
-23.83M
94.98%
-10.26M
92.65%
-10.16M
96.58%
-4.22M
-61.24%
278.55M
-10052.05%
-204.22M
-4218.62%
-138.24M
--
-123.42M
--
718.75M
--
2.05M
-102.75%
-3.20M
--
116.51M
負債の発行・返済による純キャッシュフロー
-28.72%
-5.54M
--
489.95M
73.10%
-16.01M
-13677.54%
-493.79M
58.39%
-4.30M
77.25%
-59.51M
59.42%
-3.58M
-82.77%
-10.33M
2.74%
-6.59M
-186.47%
-261.57M
95.43%
-8.83M
95.51%
-5.65M
-47.01%
-6.78M
133.52%
302.49M
-2027.90%
-193.47M
-416.21%
-125.86M
--
-4.61M
--
-902.30M
--
-9.09M
1026.51%
39.80M
--
-4.30M
普通株式の発行・取得による純キャッシュフロー
--
--
--
0.00
100.00%
0.00
--
0.00
--
-22.53M
--
-5.78M
--
--
--
--
100.00%
0.00
--
--
--
--
--
--
-114.10%
-12.12M
-100.75%
-11.77M
-100.00%
0.00
--
--
--
85.94M
--
1.58B
--
17.42M
-104.11%
-5.17M
--
125.91M
その他財務活動による純キャッシュフロー
--
--
--
-639.48M
-3.52%
-7.20M
873.08%
486.84M
47.36%
-11.16M
-102.93%
-6.96M
-4325.44%
-62.97M
-369.90%
-21.20M
-53.51%
6.82M
2053.76%
237.73M
86.76%
-1.42M
63.56%
-4.51M
107.17%
14.68M
-127.58%
-12.17M
-71.21%
-10.75M
67.28%
-12.38M
--
-204.75M
--
44.11M
--
-6.28M
-641.14%
-37.84M
--
-5.11M
非経常的な財務活動による純キャッシュフロー
財務活動による純キャッシュフロー
85.43%
-5.54M
--
-149.53M
67.88%
-23.21M
89.56%
-6.95M
-20.48%
-37.99M
-203.13%
-72.25M
-549.03%
-66.56M
-210.19%
-31.53M
105.40%
228.00K
-108.56%
-23.83M
94.98%
-10.26M
92.65%
-10.16M
96.58%
-4.22M
-61.24%
278.55M
-10052.05%
-204.22M
-4218.62%
-138.24M
--
-123.42M
--
718.75M
--
2.05M
-102.75%
-3.20M
--
116.51M
純キャッシュフロー
現金および現金同等物の期首残高
-11.82%
84.53M
--
96.16M
32.93%
50.87M
57.48%
67.21M
109.47%
95.86M
-74.10%
38.27M
-70.77%
42.68M
-85.23%
45.77M
-88.26%
44.34M
-55.90%
147.76M
-64.83%
146.00M
-0.41%
309.89M
18.87%
377.86M
83.71%
335.10M
341.93%
415.09M
618.82%
311.16M
--
317.88M
--
182.41M
--
93.93M
-57.66%
43.29M
--
102.23M
当期キャッシュフロー増減
-151.96%
-72.19M
--
-11.63M
-33.87%
45.29M
-270.49%
-16.35M
-828.69%
-28.65M
166.22%
68.49M
-350.11%
-4.41M
98.12%
-3.08M
102.09%
1.42M
-341.84%
-103.42M
102.21%
1.76M
-257.69%
-163.90M
-910.39%
-67.97M
-68.43%
42.76M
-190.41%
-80.00M
105.25%
103.94M
--
-6.73M
--
135.47M
--
88.48M
175.82%
50.64M
--
-66.79M
現金および現金同等物の期末残高
-81.63%
12.35M
--
84.53M
-9.92%
96.16M
32.93%
50.87M
57.48%
67.21M
140.75%
106.76M
-74.10%
38.27M
-70.77%
42.68M
-85.23%
45.77M
-88.26%
44.34M
-55.90%
147.76M
-64.83%
146.00M
-0.41%
309.89M
18.87%
377.86M
83.71%
335.10M
341.93%
415.09M
--
311.16M
--
317.88M
--
182.41M
164.99%
93.93M
--
35.45M
フリーキャッシュフロー
15234.71%
63.18M
--
-14.36M
738.31%
46.68M
-86.36%
14.44M
101.52%
412.00K
117.82%
5.57M
-4.46%
105.83M
-40.13%
-27.17M
49.09%
-37.03M
-120.01%
-31.25M
299.65%
110.77M
-144.05%
-19.39M
28.59%
-72.73M
-113.27%
-14.20M
-164.19%
-55.48M
-43.10%
44.02M
--
-101.86M
--
107.00M
--
86.43M
142.21%
77.37M
--
-183.30M
通貨単位
USD
USD
USD
USD
USD
USD
USD
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USD
USD
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USD
USD
USD
USD
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USD
USD
USD
監査意見
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