PCRFF Dividend: Panasonic Holdings Corp Yield Insights
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PCRFF
Panasonic Holdings Corp (PCRFF) Price
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PCRFF Financial
Panasonic Holdings Corp
$10.83
-3.64%
$-0.41
$10.83
0%
$0
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Income
Balance sheet
Cash flow
Annual
Quarterly
PCRFF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
--
8,458,185
8,496,420
8,378,942
7,388,791
6,698,794
Revenue Growth (YoY)
--
0%
1%
13%
10%
-11%
Cost of Revenue
--
5,807,277
5,999,397
6,116,920
5,304,578
4,723,943
Gross Profit
--
2,650,908
2,497,023
2,262,022
2,084,213
1,974,851
Selling, General & Admin
--
1,989,676
1,945,254
1,798,174
1,593,617
1,546,425
Research & Development
--
--
--
--
--
--
Operating Expenses
--
2,175,713
2,110,195
1,943,826
1,761,578
1,723,174
Other Non Operating Income (Expenses)
--
-204
-1,402
3,376
5,547
6,979
Pretax Income
--
486,289
425,239
316,409
360,395
260,820
Income Tax Expense
--
101,893
-40,204
35,853
94,957
76,926
Net Income
--
366,193
443,978
265,493
255,323
165,072
Net Income Growth
--
-18%
67%
4%
55%
-27%
Shares Outstanding (Diluted)
--
2,335.09
2,334.93
2,334.76
2,334.57
2,334.33
Shares Change (YoY)
--
0%
0%
0%
0%
0%
EPS (Diluted)
--
156.82
190.15
113.71
109.37
70.71
EPS Growth
--
-18%
67%
4%
55%
-27%
Free Cash Flow
-129,350
-72,426
219,699
150,856
-44,694
207,117
Free Cash Flow Per Share
--
-31.01
94.09
64.61
-19.14
88.72
Gross Margin
--
31.34%
29.38%
26.99%
28.2%
29.48%
Operating Margin
--
5.61%
4.55%
3.79%
4.36%
3.75%
Profit Margin
--
4.32%
5.22%
3.16%
3.45%
2.46%
Free Cash Flow Margin
--
-0.85%
2.58%
1.8%
-0.6%
3.09%
EBITDA
--
880,924
786,812
700,485
661,783
569,249
EBITDA Margin
--
10.41%
9.26%
8.36%
8.95%
8.49%
D&A For EBITDA
401,322
405,729
399,984
382,289
339,148
317,572
EBIT
--
475,195
386,828
318,196
322,635
251,677
EBIT Margin
--
5.61%
4.55%
3.79%
4.36%
3.75%
Effective Tax Rate
--
20.95%
-9.45%
11.33%
26.34%
29.49%
Follow-Up Questions
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