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Quarterly Consolidated Statement of Cash Flows

Last Updated: 2023.07.20
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IFRS

Unit: Million Yen

FY2022 3Q FY2022 4Q FY2023 1Q FY2023 2Q FY2023 3Q
Profit before income taxes 136,689 64,328 126,812 103,687 128,704
Depreciation and amortization 46,281 45,739 46,743 46,509 45,958
Impairment losses 8,840 8,223 62 721 1,148
Interest and dividend income -2,329 -4,096 -8,385 -8,689 -11,085
Interest expenses 1,733 2,468 2,588 2,488 2,376
Foreign exchange losses / (gains) -54,286 -36,461 -3,936 5,699 -9,683
Share of profit and loss of an associate accounted for using the equity method -367 -116 -449 -185 -430
Losses on disposal of property, plant and equipment 237 235 83 168 267
(Increase)/decrease in trade and other receivables -25,095 26,915 -64,396 48,715 -26,313
(Increase)/decrease in inventories 17,729 -118,734 -88,050 133,295 53,934
Increase/(decrease) in trade and other payables 11,904 117,125 38,315 -144,504 19,419
(Increase)/decrease in other assets 1,428 -4,189 -3,396 5,302 5,796
Increase/(decrease) in other liabilities -36,789 26,089 17,243 -13,667 -22,904
Others, net -6,713 -22,940 12,834 10,624 -1,341
Cash generated from operations 99,262 104,588 76,067 190,165 185,844
Interest and dividend income received 2,028 3,896 6,349 5,381 4,936
Interest paid -1,793 -2,874 -2,134 -2,967 -2,047
Income taxes paid -25,945 -14,459 -81,592 -13,815 -50,290
Income taxes refund 423 1,036 1 -1 -
Net cash generated by operating activities 73,976 92,186 -1,309 178,763 138,442
(Increase)/decrease in bank deposits with original maturities of three months or longer 7,080 11,591 -74,686 -74,778 -11,677
Payments for investment securities - -117,521 -279,335 -67,663 -59,711
Proceeds from sales and issurance of investment securities 0 0 - 79,549 61,413
Payments for property, plant and equipment -15,884 -8,460 -14,761 -22,867 -14,236
Payments for intangible assets -6,910 -9,243 -6,798 -9,669 -8,666
Payments for acquisition of right-of-use assets -171 -242 -434 -350 -993
Payments for lease and guarantee deposits -1,889 -2,078 -968 -1,233 -1,130
Proceeds from collection of lease and guarantee deposits 1,080 1,520 1,567 759 1,355
Payments for acquisition of investments in associates - - - - -
Others, net 146 2,972 -935 -154 570
Net cash used in investing activities -16,548 -121,462 -376,354 -96,407 -33,076
Proceeds from short-term loans payable 36 -265 381 -1,170 933
Repayments of long-term loans payable - - - - -
Repayment of redemption of bonds - - - -50,000 -
Dividends paid to owners of the Parent -28,576 - -34,697 -141 -37,975
Dividends paid to non-controlling interests -6,373 - - -6,306 -10,085
Repayments of lease liabilities -31,840 -38,141 -34,875 -32,983 -34,195
Others, net -28 163 49 40 303
Net cash used in financing activities -66,782 -38,242 -69,141 -90,559 -81,019
Effect of exchange rate changes on the balance of cash held in foreign currencies 80,815 56,897 2,554 -17,231 9,614
Net increase/(decrease) in cash and cash equivalents 71,460 -10,619 -444,250 -25,435 33,962
Cash and cash equivalents at the beginning of period 1,297,451 1,368,912 1,358,292 914,041 888,605
Cash and cash equivalents at the end of period 1,368,912 1,358,292 914,041 888,605 922,567
Free cash flow 57,427 -29,275 -377,663 82,355 105,366

* "-"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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