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Consolidated Statement of Cash Flows

Last Updated: 2025.10.17
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IFRS

Unit: Million Yen

FY2021 FY2022 FY2023 FY2024 FY2025
Profit before income taxes 265,872 413,584 437,918 557,201 650,574
Depreciation and amortization 177,910 180,275 186,872 204,388 216,492
Impairment losses / (Reversal of impairment losses) 16,908 23,150 3,958 -1,700 598
Interest and dividend income -4,628 - 9,495 -41,330 -66,751 -65,317
Interest expenses 6,990 7,560 9,791 11,078 12,834
Foreign exchange losses / (gains) -19,222 -114,324 -25,385 -621 -33,826
Share of (profit) / loss of associates accounted for using the equity method -561 -1,059 -1,139 -1,417 -1,704
Losses on disposal of property, plant and equipment 985 1,136 917 1,397 1,342
(Increase)/decrease in trade and other receivables 15,334 -2,651 -7,535 -17,394 -12,718
(Increase)/decrease in inventories 36,749 -50,896 46,908 -23,540 -29,855
Increase/(decrease) in trade and other payables 384 114,600 -15,909 47,320 476
(Increase)/decrease in other assets 3,494 -7,125 8,354 -876 -2,479
Increase/(decrease) in other liabilities 9,300 -9,531 -3,700 31,520 3,852
Others, net 153 -27,211 10,617 -878 -11,391
Cash generated from operations 509,672 518,010 610,338 739,726 728,879
Interest and dividend income received 4,134 8,520 22,613 56,454 64,625
Interest paid -6,101 -7,557 -9,861 -11,099 -12,869
Income taxes paid -80,555 -95,867 -160,368 -156,361 -202,242
Income taxes refunded 1,818 7,711 493 22,800 2,225
Net cash generated by operating activities 428,968 430,817 463,216 651,521 580,618
(Increase)/decrease in bank deposits with maturity over 3 months -2,363 -16,742 -204,837 19,085 -209,623
Payments for property, plant and equipment -56,500 -51,271 -61,764 -73,728 -135,535
Payments for intangible assets -19,624 -28,335 -33,542 -30,260 -27,329
Payments for acquisition of Right-of-use assets -846 -796 -1,851 -2,015 -15,924
Payments for investment securities - -117,521 -481,399 -399,523 -474,222
Proceeds from sales and redemption of investment securities - - 209,662 403,845 289,149
Payments for lease and guarantee deposits -3,979 -5,973 -4,865 -6,108 -6,113
Proceeds from collection of lease and guarantee deposits 4,542 5,112 5,578 6,302 6,364
Investment in an associate -4,232 - - - -13,087
Others, net 407 3,301 -1,381 171 7,399
Net cash used in
investing activities
-82,597 -212,226 -574,402 -82,231 -578,922
Proceeds from short-term loans payable -3,556 -12,150 -803 -52 339
Repayment of redemption of bonds -100,000 - -130,000 - -30,000
Dividends paid to owners of the Parent -48,993 -53,091 -73,064 -104,263 -142,630
Dividends paid to non-controlling interests -2,342 -11,623 -20,460 -18,369 -26,428
Repayments of lease liabilities -148,248 -136,889 -140,646 -146,403 -140,483
Others, net 155 705 413 85 63
Net cash used in
financing activities
-302,985 -213,050 -364,562 -269,003 -339,139
Effect of exchange rate changes on the balance of cash held in foreign currencies 40,818 175,015 20,735 -10,007 37,122
Net increase/(decrease) in cash and cash equivalents 84,204 180,556 -455,011 290,279 -300,320
Cash and cash equivalents at the beginning of period 1,093,531 1,177,736 1,358,292 903,280 1,193,560
Cash and cash equivalents at the end of period 1,177,736 1,358,292 903,280 1,193,560 893,239
Free cash flow 346,370 218,590 -111,185 569,290 1,695

*FR adopted IFRS from fiscal 2014.
*"-"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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