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Quarterly Consolidated Statement of Cash Flows

Last Updated: 2026.01.15
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IFRS

Unit: Million Yen

FY2025 1Q FY2025 2Q FY2025 3Q FY2025 4Q FY2026 1Q
Profit before income taxes 196,613 167,111 156,781 130,068 226,667
Depreciation and amortization 53,376 54,528 53,217 55,369 56,497
Impairment losses / (Reversal of impairment losses) 120 533 134 -189 167
Interest and dividend income -17,010 -16,911 -15,368 -16,027 -15,106
Interest expenses 3,288 3,036 3,142 3,366 3,634
Foreign exchange losses / (gains) -25,324 -6,586 2,179 -4,095 -4,280
Share of (profit) / loss of associates accounted for using the equity method -925 -574 -728 523 -937
Losses on disposal of property, plant and equipment 191 440 287 423 154
(Increase)/decrease in trade and other receivables -89,161 102,477 -69,069 43,035 -95,462
(Increase)/decrease in inventories -35,699 49,208 11,234 -54,600 -18,987
Increase/(decrease) in trade and other payables 59,672 -101,669 12,489 29,983 102,028
(Increase)/decrease in other assets -9,796 8,131 -479 -334 -6,078
Increase/(decrease) in other liabilities 25,389 -27,834 14,300 -8,002 27,354
Others, net -14,211 -1,180 13,489 -9,489 -27,182
Cash generated from operations 146,523 230,711 181,611 170,032 248,466
Interest and dividend income received 16,481 17,815 13,491 16,837 17,773
Interest paid -2,959 -3,380 -2,797 -3,733 -3,313
Income taxes paid -72,444 -35,919 -64,227 -29,651 -71,773
Income taxes refunded 97 1,303 824 - 645
Net cash generated by operating activities 87,697 210,530 128,903 153,486 191,798
(Increase)/decrease in bank deposits with original maturities of three months or longer 35,261 -221,074 39,026 -62,837 -70,983
Payments for property, plant and equipment -19,646 -60,049 -33,504 -22,334 -21,931
Payments for intangible assets -8,764 -6,112 -6,439 -6,013 -6,039
Payments for acquisition of right-of-use assets -733 -13,741 78 -1,528 -901
Payments for investment securities -78,563 -139,283 -67,238 -189,137 -99,996
Proceeds from sales and redemption of investment securities 80,077 60,433 76,536 72,102 114,193
Payments for lease and guarantee deposits -1,852 -1,029 -1,291 -1,940 -1,282
Proceeds from collection of lease and guarantee deposits 1,169 2,339 1,428 1,427 1,643
Investments in associates accounted for using the equity method -14,712 -367 118 1,873 -
Others, net 4,187 334 1,081 1,797 811
Net cash used in investing activities -3,577 -378,550 9,797 -206,592 -84,486
Increase / (decrease) in short-term loans payable -294 278 -210 566 -1,158
Repayment of redemption of bonds - - - -30,000 -
Dividends paid to owners of the Parent -68,964 -41 -73,576 -48 -79,685
Dividends paid to non-controlling interests -439 -8,760 -11,263 -5,964 -
Repayments of lease liabilities -36,607 -35,476 -36,209 -32,190 -36,909
Others, net 49 13 2 -2 13
Net cash used in financing activities -106,256 -43,985 -121,257 -67,639 -117,740
Effect of exchange rate changes on the balance of cash held in foreign currencies 27,416 -9,504 -3,012 22,223 40,887
Net increase/(decrease) in cash and cash equivalents 5,280 -221,510 14,430 -98,521 30,458
Cash and cash equivalents at the beginning of period 1,193,560 1,198,840 977,330 991,761 893,239
Cash and cash equivalents at the end of period 1,198,840 977,330 991,761 893,239 923,697
Free cash flow 84,120 -168,019 138,700 -53,105 107,311

* "-"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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