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Consolidated Statement of Cash Flows

Last Updated: 2023.04.20
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IFRS

Unit: Million Yen

FY2018 FY2019 FY2020 FY2021 FY2022
Profit before income taxes 242,678 252,447 152,868 265,872 413,584
Depreciation and amortization 45,055 48,476 177,848 177,910 180,275
Impairment losses 12,376 3,444 23,074 16,908 23,150
Interest and dividend income -7,560 -12,293 -9,724 -4,628 - 9,495
Interest expenses 3,169 4,369 7,706 6,990 7,560
Foreign exchange gains -2,132 13,107 -1,503 -19,222 -114,324
Share of profit and loss of associates accounted for using the equity method -611 -562 -321 -561 -1,059
Losses on disposal of property, plant and equipment 1,176 650 1,125 985 1,136
(Increase)/decrease in trade and other receivables -2,852 -6,302 -4,164 15,334 -2,651
(Increase)/decrease in inventories -179,469 38,145 -2,665 36,749 -50,896
Increase/(decrease) in trade and other payables 9,758 -16,426 18,600 384 114,600
(Increase)/decrease in other assets -13,053 2,932 10,686 3,494 -7,125
Increase/(decrease) in other liabilities 142,212 36,881 -44,567 9,300 -9,531
Others, net 1,819 1,719 8,776 153 -27,211
Cash generated from operations 257,220 366,589 337,738 509,672 518,010
Interest and dividend income received 7,409 10,533 8,546 4,134 8,520
Interest paid -2,393 -3,848 -6,783 -6,101 -7,557
Income taxes paid -86,725 -74,263 -75,460 -80,555 -95,867
Income taxes refund 892 1,493 827 1,818 7,711
Net cash generated by operating activities 176,403 300,505 264,868 428,968 430,817
(Increase)/decrease in bank deposits with maturity over 3 months -4,305 -11,366 -5,212 -2,363 -16,742
Payments for investment securities 0 0 0 0 -117,521
Payments for property, plant and equipment -31,962 -41,567 -46,500 -56,500 -51,271
Payments for intangible assets -16,532 -24,177 -21,008 -19,624 -28,335
Payments for acquisition of Right-of-use assets - - -1,808 -846 -796
Payments for lease and guarantee deposits -4,773 -7,490 -7,171 -3,979 -5,973
Proceeds from collection of lease and guarantee deposits 3,064 4,304 6,394 4,542 5,112
Investment in an associate 0 0 0 -4,232 -
Others, net -2,671 1,541 -673 407 3,301
Net cash used in
investing activities
-57,180 -78,756 -75,981 -82,597 -212,226
Proceeds from short-term loans payable 170 355 13,472 -3,556 -12,150
Repayments of long-term loans payable -3,308 -4,433 -4,343 - -
Repayment of redemption of bonds - -30,000 - -100,000 -
Dividends paid to owners of the Parent -38,244 -48,975 -48,995 -48,993 -53,091
Capital contributions from non-controlling interests 3,803 592 - - -
Dividends paid to non-controlling interests -7,827 -8,773 -2,328 -2,342 -11,623
Repayments of financial lease obligations -5,918 -11,377 - - -
Repayments of lease liabilities - - -141,216 -148,248 -136,889
Others, net 224 182 142 155 705
Net cash used in
financing activities
198,217 -102,429 -183,268 -302,985 -213,050
Effect of exchange rate changes on the balance of cash held in foreign currencies -1,545 -32,496 1,393 40,818 175,015
Net increase/(decrease) in cash and cash equivalents 315,894 86,822 7,011 84,204 180,556
Cash and cash equivalents at the beginning of period 683,802 999,697 1,086,519 1,093,531 1,177,736
Cash and cash equivalents at the end of period 999,697 1,086,519 1,093,531 1,177,736 1,358,292
Free cash flow 119,223 221,748 188,887 346,370 218,590

*FR adopted IFRS from fiscal 2014.
*We have applied IFRS 16 Leases from the year ending August 31, 2020, however we have not rearranged the data for previous financial periods.
*"-"denotes items where the balance is zero. "0" denotes items where the balance is less than 1 million yen
*"Cash and cash equivalents" refers to cash and deposits, time deposits with a term of less than 3 months, and short-term investment securities
*Free cash flow = Net cash from operating activities + Net cash used in investment activities.

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