Takeda Pharmaceutical Company Limited
4502.T
JPX
4217
JPY+17.00(+0.40%)
As of today
Takeda Pharmaceutical Company Limited fundamentals
4502.T Cash Flow
Period Ending | Mar 31, 2025 | Mar 31, 2024 | Mar 31, 2023 | Mar 31, 2022 | Mar 31, 2021 | Mar 31, 2020 | Mar 31, 2019 | Mar 31, 2018 | Mar 31, 2017 | Mar 31, 2016 | Mar 31, 2015 | Mar 31, 2014 | Mar 31, 2013 | Mar 31, 2012 | Mar 31, 2011 | Mar 31, 2010 | Mar 31, 2009 | Mar 31, 2008 | Mar 31, 2007 | Mar 31, 2006 | Mar 31, 2005 | Mar 31, 2004 | Mar 31, 2003 | Mar 31, 2002 | Mar 31, 2001 | Mar 31, 2000 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | 107,928,000,000 | 144,067,000,000 | 317,038,000,000 | 230,166,000,000 | 376,171,000,000 | 44,290,000,000 | 109,014,000,000 | 186,708,000,000 | 115,513,000,000 | 83,480,000,000 | -143,034,000,000 | 109,558,000,000 | 129,707,000,000 | 252,478,000,000 | 371,572,000,000 | 415,829,000,000 | 398,546,000,000 | 576,842,000,000 | 625,379,000,000 | 517,957,000,000 | 441,102,000,000 | 446,144,000,000 | 431,898,000,000 | 235,656,000,000 | 263,076,000,000 | 119,625,000,000 | |
Depreciation & Amortization | 761,396,000,000 | 728,002,000,000 | 664,400,000,000 | 583,151,000,000 | 559,671,000,000 | 583,649,000,000 | 272,446,000,000 | 182,127,000,000 | 222,787,000,000 | 197,381,000,000 | 260,951,000,000 | 215,743,000,000 | 201,106,000,000 | 150,194,000,000 | 106,722,000,000 | 114,825,000,000 | 118,081,000,000 | 31,690,000,000 | 28,820,000,000 | 28,728,000,000 | 31,226,000,000 | 28,083,000,000 | 29,962,000,000 | 28,430,000,000 | 33,605,000,000 | 33,364,000,000 | |
Deferred Income Tax | 0 | -91,406,000,000 | 58,052,000,000 | 72,405,000,000 | -9,936,000,000 | -105,044,000,000 | -14,118,000,000 | 30,497,000,000 | 27,833,000,000 | 37,059,000,000 | -2,403,000,000 | 49,292,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Stock-Based Compensation | 0 | 71,510,000,000 | 60,672,000,000 | 43,374,000,000 | 37,663,000,000 | 29,122,000,000 | 20,084,000,000 | 18,610,000,000 | 17,414,000,000 | 14,714,000,000 | 20,350,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Change in Working Capital | -69,479,000,000 | -256,003,000,000 | -25,264,000,000 | 98,605,000,000 | 275,781,000,000 | 94,672,000,000 | 75,946,000,000 | 13,404,000,000 | 29,675,000,000 | -267,213,000,000 | 262,326,000,000 | -57,117,000,000 | 12,329,000,000 | 64,725,000,000 | -9,160,000,000 | 14,148,000,000 | -36,917,000,000 | -8,711,000,000 | -35,859,000,000 | -10,014,000,000 | -28,612,000,000 | -16,262,000,000 | 6,721,000,000 | 4,248,000,000 | -35,042,000,000 | -5,413,000,000 | |
Accounts Receivable Change | -58,959,000,000 | 15,104,000,000 | 75,127,000,000 | 127,294,000,000 | -9,316,000,000 | -34,826,000,000 | -13,382,000,000 | -647,000,000 | -37,315,000,000 | 12,372,000,000 | -32,515,000,000 | -42,504,000,000 | 16,591,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Inventory Change | -34,973,000,000 | -115,743,000,000 | -79,155,000,000 | -46,148,000,000 | 25,978,000,000 | 137,492,000,000 | 58,678,000,000 | 13,719,000,000 | 3,886,000,000 | -6,845,000,000 | -14,548,000,000 | -16,919,000,000 | -14,920,000,000 | 49,312,000,000 | -557,000,000 | -7,370,000,000 | -10,997,000,000 | -14,510,000,000 | -7,052,000,000 | -5,647,000,000 | -3,398,000,000 | -3,974,000,000 | -5,170,000,000 | -1,611,000,000 | -1,745,000,000 | 1,515,000,000 | |
Accounts Payable Change | -7,118,000,000 | -9,895,000,000 | -53,135,000,000 | 75,549,000,000 | 210,020,000,000 | -29,932,000,000 | -16,413,000,000 | 6,862,000,000 | 42,557,000,000 | 17,910,000,000 | -7,082,000,000 | -42,329,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Other Working Capital Change | 31,571,000,000 | -145,469,000,000 | 31,899,000,000 | -58,090,000,000 | 49,099,000,000 | 21,938,000,000 | 47,063,000,000 | -6,530,000,000 | 20,547,000,000 | -290,650,000,000 | 316,471,000,000 | 44,635,000,000 | 27,249,000,000 | 15,413,000,000 | -8,603,000,000 | 21,518,000,000 | -25,920,000,000 | 5,799,000,000 | -28,807,000,000 | -4,367,000,000 | -25,214,000,000 | -12,288,000,000 | 11,891,000,000 | 5,859,000,000 | -33,297,000,000 | -6,928,000,000 | |
Other Non-Cash Items | 162,648,000,000 | 120,174,000,000 | -97,742,000,000 | 95,404,000,000 | -228,419,000,000 | 23,063,000,000 | -134,893,000,000 | -53,492,000,000 | 25,488,000,000 | 22,096,000,000 | -80,021,000,000 | 44,636,000,000 | -35,433,000,000 | -130,827,000,000 | -142,196,000,000 | -163,634,000,000 | -153,437,000,000 | -307,326,000,000 | -409,060,000,000 | -163,096,000,000 | -148,177,000,000 | -146,843,000,000 | -205,132,000,000 | -27,748,000,000 | -48,977,000,000 | 11,386,000,000 | |
Net Cash Provided by Operating Activities | 962,493,000,000 | 716,344,000,000 | 977,156,000,000 | 1,123,105,000,000 | 1,010,931,000,000 | 669,752,000,000 | 328,479,000,000 | 377,854,000,000 | 261,363,000,000 | 25,491,000,000 | 182,517,000,000 | 148,335,000,000 | 307,709,000,000 | 336,570,000,000 | 326,938,000,000 | 381,168,000,000 | 326,273,000,000 | 292,495,000,000 | 209,280,000,000 | 373,575,000,000 | 295,539,000,000 | 311,122,000,000 | 263,449,000,000 | 240,586,000,000 | 212,662,000,000 | 158,962,000,000 | |
Investments in Property, Plant & Equipment | -347,841,000,000 | -175,420,000,000 | -633,689,000,000 | -186,037,000,000 | -236,468,000,000 | -217,710,000,000 | -134,114,000,000 | -128,262,000,000 | -112,027,000,000 | -84,857,000,000 | -108,718,000,000 | -78,519,000,000 | -95,763,000,000 | -61,904,000,000 | -124,165,000,000 | -86,960,000,000 | -39,464,000,000 | -32,618,000,000 | -29,151,000,000 | -32,093,000,000 | -53,669,000,000 | -54,160,000,000 | -33,477,000,000 | -37,523,000,000 | -26,941,000,000 | -35,423,000,000 | |
Net Acquisitions | 20,634,000,000 | -4,735,000,000 | 7,958,000,000 | -21,476,000,000 | 530,388,000,000 | 456,656,000,000 | -2,873,555,000,000 | 56,752,000,000 | -524,739,000,000 | -7,052,000,000 | -20,430,000,000 | -3,342,000,000 | -80,817,000,000 | -1,040,017,000,000 | 690,000,000 | 753,000,000 | 559,000,000 | -1,756,000,000 | 15,076,000,000 | 10,772,000,000 | -29,093,000,000 | 3,094,000,000 | 60,409,000,000 | 58,911,000,000 | 16,535,000,000 | 3,019,000,000 | |
Purchases of Investments | -98,540,000,000 | -40,066,000,000 | -10,151,000,000 | -8,341,000,000 | -12,596,000,000 | -7,551,000,000 | -17,099,000,000 | -88,657,000,000 | -82,106,000,000 | -40,017,000,000 | -3,571,000,000 | -141,686,000,000 | -1,982,000,000 | -572,000,000 | -4,054,000,000 | -23,928,000,000 | -892,672,000,000 | -253,092,000,000 | -331,023,000,000 | -469,862,000,000 | -391,290,000,000 | -273,949,000,000 | -180,231,000,000 | -38,945,000,000 | -207,099,000,000 | -1,017,000,000 | |
Sales & Maturities of Investments | 87,133,000,000 | 8,021,000,000 | 22,254,000,000 | 16,921,000,000 | 74,604,000,000 | 49,402,000,000 | 65,035,000,000 | 40,743,000,000 | 75,268,000,000 | 56,454,000,000 | 165,357,000,000 | 52,269,000,000 | 60,278,000,000 | 489,000,000 | 24,383,000,000 | 13,208,000,000 | 142,116,000,000 | 365,981,000,000 | 516,977,000,000 | 497,256,000,000 | 395,865,000,000 | 165,835,000,000 | 265,076,000,000 | 232,119,000,000 | 198,840,000,000 | 164,348,000,000 | |
Other Investing Activities | -46,741,000,000 | -251,662,000,000 | 6,526,000,000 | 808,000,000 | 37,602,000,000 | 11,322,000,000 | 124,035,000,000 | 26,082,000,000 | -12,087,000,000 | 4,264,000,000 | 58,709,000,000 | 12,667,000,000 | 6,908,000,000 | 8,040,000,000 | 3,891,000,000 | -20,594,000,000 | 22,205,000,000 | 23,234,000,000 | -55,487,000,000 | 493,000,000 | 5,882,000,000 | 19,858,000,000 | 28,371,000,000 | -89,323,000,000 | -39,584,000,000 | -182,602,000,000 | |
Net Cash Used for Investing Activities | -385,355,000,000 | -463,862,000,000 | -607,102,000,000 | -198,125,000,000 | 393,530,000,000 | 292,119,000,000 | -2,835,698,000,000 | -93,342,000,000 | -655,691,000,000 | -71,208,000,000 | 91,347,000,000 | -158,611,000,000 | -111,376,000,000 | -1,093,964,000,000 | -99,255,000,000 | -117,521,000,000 | -767,256,000,000 | 101,749,000,000 | 116,392,000,000 | 6,566,000,000 | -72,305,000,000 | -139,322,000,000 | 140,148,000,000 | 125,239,000,000 | -58,249,000,000 | -51,675,000,000 | |
Debt Repayment | -222,260,000,000 | 1,513,000,000 | -325,071,000,000 | -600,477,000,000 | -656,064,000,000 | -586,090,000,000 | 3,161,504,000,000 | -153,136,000,000 | 471,421,000,000 | 45,922,000,000 | -119,501,000,000 | 248,897,000,000 | -4,863,000,000 | 539,297,000,000 | -663,000,000 | -1,137,000,000 | -170,000,000 | -2,187,000,000 | -1,888,000,000 | -2,252,000,000 | 2,699,000,000 | 2,524,000,000 | -2,048,000,000 | -1,994,000,000 | -4,937,000,000 | 1,108,000,000 | |
Common Stock Issued | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Common Stock Repurchased | -51,860,000,000 | -2,326,000,000 | -26,929,000,000 | -77,531,000,000 | -2,141,000,000 | -3,737,000,000 | -1,172,000,000 | -18,756,000,000 | -23,117,000,000 | -22,346,000,000 | -17,587,000,000 | -37,000,000 | -24,000,000 | -16,000,000 | -50,000,000 | -34,000,000 | -280,268,000,000 | -128,758,000,000 | -213,734,000,000 | -156,000,000 | -166,000,000 | 0 | 0 | 0 | 0 | 0 | |
Dividends Paid | -302,498,000,000 | -287,188,000,000 | -279,416,000,000 | -283,665,000,000 | -283,357,000,000 | -282,582,000,000 | -142,952,000,000 | -141,893,000,000 | -141,688,000,000 | -141,538,000,000 | -141,637,000,000 | -142,133,000,000 | -142,118,000,000 | -142,013,000,000 | -142,055,000,000 | -143,554,000,000 | -142,446,000,000 | -129,167,000,000 | -98,757,000,000 | -85,529,000,000 | -74,958,000,000 | -60,869,000,000 | -54,435,000,000 | -48,541,000,000 | -36,610,000,000 | -28,009,000,000 | |
Other Financing Activities | -61,823,000,000 | -66,415,000,000 | -77,732,000,000 | -108,592,000,000 | -146,792,000,000 | -132,804,000,000 | -71,143,000,000 | -12,441,000,000 | -16,720,000,000 | -6,877,000,000 | -22,273,000,000 | -5,323,000,000 | -5,197,000,000 | -3,479,000,000 | -3,776,000,000 | -3,321,000,000 | -2,956,000,000 | -1,970,000,000 | -1,563,000,000 | -1,353,000,000 | -1,487,000,000 | -999,000,000 | -2,507,000,000 | -2,123,000,000 | -363,000,000 | -1,006,000,000 | |
Net Cash Used/Provided by Financing Activities | -638,441,000,000 | -354,416,000,000 | -709,148,000,000 | -1,070,265,000,000 | -1,088,354,000,000 | -1,005,213,000,000 | 2,946,237,000,000 | -326,226,000,000 | 289,896,000,000 | -124,839,000,000 | -300,998,000,000 | 101,441,000,000 | -150,559,000,000 | 393,789,000,000 | -146,544,000,000 | -148,046,000,000 | -425,840,000,000 | -262,082,000,000 | -315,942,000,000 | -89,290,000,000 | -73,912,000,000 | -59,344,000,000 | -58,990,000,000 | -52,658,000,000 | -41,910,000,000 | -27,907,000,000 | |
Effect of Forex Changes on Cash | 0 | 26,204,000,000 | 22,929,000,000 | 28,758,000,000 | 12,501,000,000 | -21,766,000,000 | -31,269,000,000 | -4,565,000,000 | -5,743,000,000 | -33,260,000,000 | 16,329,000,000 | 29,303,000,000 | 45,558,000,000 | -54,858,000,000 | -60,910,000,000 | -21,204,000,000 | 11,665,000,000 | -166,616,000,000 | 11,729,000,000 | 71,060,000,000 | 15,199,000,000 | -59,330,000,000 | -19,965,000,000 | 23,474,000,000 | 8,361,000,000 | -4,920,000,000 | |
Net Change in Cash | 0 | -75,730,000,000 | -316,165,000,000 | -116,527,000,000 | 328,608,000,000 | -65,108,000,000 | 407,120,000,000 | -46,730,000,000 | -131,971,000,000 | -203,817,000,000 | -10,805,000,000 | 120,468,000,000 | 91,333,000,000 | -418,463,000,000 | 20,230,000,000 | 94,398,000,000 | -855,158,000,000 | -34,454,000,000 | 21,459,000,000 | 361,911,000,000 | 188,240,000,000 | 53,126,000,000 | 324,642,000,000 | 336,641,000,000 | 119,757,000,000 | 77,957,000,000 | |
Cash at End of Period | 385,113,000,000 | 457,800,000,000 | 533,530,000,000 | 849,695,000,000 | 966,222,000,000 | 637,614,000,000 | 702,093,000,000 | 294,522,000,000 | 319,455,000,000 | 451,426,000,000 | 655,243,000,000 | 666,048,000,000 | 545,580,000,000 | 454,247,000,000 | 872,710,000,000 | 852,480,000,000 | 758,082,000,000 | 1,613,240,000,000 | 1,647,694,000,000 | 1,626,235,000,000 | 1,264,324,000,000 | 1,076,084,000,000 | 1,022,958,000,000 | 698,316,000,000 | 361,675,000,000 | 241,918,000,000 | |
Cash at Beginning of Period | 205,190,000,000 | 533,530,000,000 | 849,695,000,000 | 966,222,000,000 | 637,614,000,000 | 702,722,000,000 | 294,973,000,000 | 341,252,000,000 | 451,426,000,000 | 655,243,000,000 | 666,048,000,000 | 545,580,000,000 | 454,247,000,000 | 872,710,000,000 | 852,480,000,000 | 758,082,000,000 | 1,613,240,000,000 | 1,647,694,000,000 | 1,626,235,000,000 | 1,264,324,000,000 | 1,076,084,000,000 | 1,022,958,000,000 | 698,316,000,000 | 361,675,000,000 | 241,918,000,000 | 163,961,000,000 | |
Operating Cash Flow | 962,493,000,000 | 716,344,000,000 | 977,156,000,000 | 1,123,105,000,000 | 1,010,931,000,000 | 669,752,000,000 | 328,479,000,000 | 377,854,000,000 | 261,363,000,000 | 25,491,000,000 | 182,517,000,000 | 148,335,000,000 | 307,709,000,000 | 336,570,000,000 | 326,938,000,000 | 381,168,000,000 | 326,273,000,000 | 292,495,000,000 | 209,280,000,000 | 373,575,000,000 | 295,539,000,000 | 311,122,000,000 | 263,449,000,000 | 240,586,000,000 | 212,662,000,000 | 158,962,000,000 | |
Capital Expenditure | -200,795,000,000 | -480,730,000,000 | -633,689,000,000 | -186,037,000,000 | -236,468,000,000 | -217,710,000,000 | -134,114,000,000 | -128,262,000,000 | -112,027,000,000 | -84,857,000,000 | -108,718,000,000 | -78,519,000,000 | -95,763,000,000 | -61,904,000,000 | -124,165,000,000 | -86,960,000,000 | -39,464,000,000 | -32,618,000,000 | -29,151,000,000 | -32,093,000,000 | -53,669,000,000 | -54,160,000,000 | -33,477,000,000 | -37,523,000,000 | -26,941,000,000 | -35,423,000,000 | |
Free Cash Flow | 761,698,000,000 | 235,614,000,000 | 343,467,000,000 | 937,068,000,000 | 774,463,000,000 | 452,042,000,000 | 194,365,000,000 | 249,592,000,000 | 149,336,000,000 | -59,366,000,000 | 73,799,000,000 | 69,816,000,000 | 211,946,000,000 | 274,666,000,000 | 202,773,000,000 | 294,208,000,000 | 286,809,000,000 | 259,877,000,000 | 180,129,000,000 | 341,482,000,000 | 241,870,000,000 | 256,962,000,000 | 229,972,000,000 | 203,063,000,000 | 185,721,000,000 | 123,539,000,000 |