0R1E.L Cash Flow Statement


* In Millions (except for per share items) of JPY
Period Ending: LTM
(Last Twelve Months)
2023
03-31
2022
03-31
2021
03-31
2020
03-31
2019
03-31
2018
03-31
2017
03-31
2016
03-31
2015
03-31
2014
03-31
2013
03-31
Report Filing: 2023-03-31 2022-03-31 2021-03-31 2020-03-31 2019-03-31 2018-03-31 2017-03-31 2016-03-31 2015-03-31 2014-03-31 2013-03-31
Net Income/Starting Line 432768000000 477692000000 480376000000 258642000000 194010000000 139591000000 102574000000 16505000000 41843000000 -23222000000 7099000000
Cash From Operating Activities 322843000000 289661000000 612106000000 347753000000 170529000000 152208000000 19101000000 55190000000 60293000000 -23114000000 -40390000000
Depreciation and Amortization 11040000000 10527000000 10798000000 9557000000 9564000000 9064000000 8366000000 9139000000 9011000000 9918000000 12637000000
Deferred Income Tax 0 0 0 0 0 0 0 0 0 0 0
Stock Based Compensation 0 0 0 0 0 0 0 0 0 0 0
Other Non-Cash Items -78197000000 -78917000000 31249000000 9621000000 71659000000 95025000000 -52854000000 -2301000000 11135000000 -24224000000 45654000000
Changes in Working Capital -15434000000 -47283000000 82560000000 80357000000 -34295000000 -26843000000 -7920000000 21736000000 -1696000000 14414000000 -105780000000
Accounts Receivable 31513000000 8134000000 -527000000 -55372000000 -8416000000 51585000000 -65706000000 15444000000 -24198000000 20374000000 1691000000
Inventory -45792000000 -84563000000 7244000000 43230000000 8484000000 -107454000000 -155000000 34501000000 88204000000 35529000000 -83608000000
Accounts Payable 9025000000 25125000000 22002000000 20832000000 -51349000000 9368000000 51528000000 -21556000000 0 0 0
Deferred Revenue -10180000000 4021000000 53841000000 71667000000 16986000000 19658000000 6413000000 -6653000000 -65702000000 -41489000000 -23863000000
Other Working Capital 0 0 0 0 0 0 0 0 0 0 0
Cash From Investing Activities 111507000000 93699000000 -136533000000 -188433000000 45353000000 61387000000 69518000000 -71740000000 -105394000000 -20084000000 89104000000
Investments in Property Plant and Equipment -22190000000 -7587000000 -7011000000 -9843000000 -10736000000 -9609000000 -10458000000 -4670000000 -4582000000 -19540000000 -5788000000
Payments for Acquisitions 94000000 7000000 4853000000 833000000 1000000 3719000000 544000000 1574000000 0 0 0
Purchases of Securities -1305001000000 -1297819000000 -1421600000000 -982039000000 -866086000000 -1087617000000 -1218082000000 -1747569000000 0 0 0
Proceeds from Sales and Maturities of Securities 1438206000000 1399121000000 1283770000000 806464000000 922636000000 1158144000000 1305507000000 1679300000000 0 0 0
Other Investing Activities 398000000 -21000000 3454000000 -3847000000 -457000000 -3251000000 -7992000000 -375000000 -100812000000 -544000000 94892000000
Cash From Financing Activities -290973000000 -337010000000 -194938000000 -111031000000 -109037000000 -61311000000 -14435000000 -2996000000 -11916000000 -127163000000 -12873000000
Debt Repayment 0 0 0 0 0 0 0 0 0 0 0
Common Stock Issued 0 0 0 0 0 3609000000 0 21987000000 0 0 0
Common Stock Repurchased -50733000000 -95350000000 0 -43000000 -31038000000 -78000000 -38000000 -42000000 -27000000 -114266000000 0
Dividends Paid -238700000000 -240560000000 -194021000000 -108331000000 0 -64829000000 -14384000000 -24929000000 -11835000000 -12802000000 -12801000000
Other Financing Activities -1540000000 -1099000000 -916000000 -2656000000 -18000000 -13000000 -12000000 -12000000 -54000000 -95000000 -72000000
Effect of Forex Changes on Cash 28474000000 44288000000 30042000000 -12264000000 -5948000000 1222000000 -1306000000 -3898000000 -2710000000 42233000000 26368000000
Net Change in Cash 171851000000 90639000000 310677000000 36024000000 100898000000 153507000000 72878000000 -23444000000 -59727000000 -128128000000 62209000000
Cash at Beginning of Period 1022718000000 932079000000 621402000000 585378000000 484480000000 330973000000 258095000000 281539000000 0 0 0
Cash at End of Period 1194569000000 1022718000000 932079000000 621402000000 585378000000 484480000000 330973000000 258095000000 -59727000000 -128128000000 62209000000
Free Cash Flow 300653000000 282074000000 605095000000 337910000000 159793000000 142599000000 8643000000 50520000000 55711000000 -42654000000 -46178000000
Operating Cash Flow 322843000000 289661000000 612106000000 347753000000 170529000000 152208000000 19101000000 55190000000 60293000000 -23114000000 -40390000000
Capital Expenditure -22190000000 -7587000000 -7011000000 -9843000000 -10736000000 -9609000000 -10458000000 -4670000000 -4582000000 -19540000000 -5788000000

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