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Meiji Electric Industries Co Ltd
TSE:3388

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Meiji Electric Industries Co Ltd Logo
Meiji Electric Industries Co Ltd
TSE:3388
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Price: 1 719 JPY 3% Market Closed
Updated: Jun 17, 2024
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Cash Flow Statement

Cash Flow Statement
Meiji Electric Industries Co Ltd

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Cash Flow Statement
Currency: JPY
Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Sep-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Mar-2016 Sep-2016 Mar-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024
Operating Cash Flow
Net Income
93
(29)
(258)
(868)
(879)
(2 228)
527
624
1 361
1 762
649
945
1 218
1 274
1 243
1 278
1 800
2 365
2 368
2 420
2 266
2 274
2 563
3 024
4 029
4 536
4 066
4 026
3 173
2 215
2 587
2 523
2 191
3 125
3 673
3 486
Depreciation & Amortization
(1)
7
(0)
6
(8)
(36)
(12)
11
(37)
(16)
83
82
82
87
103
117
118
117
122
125
132
140
143
187
214
183
186
201
203
217
234
233
219
220
227
227
Other Non-Cash Items
0
0
(222)
(191)
72
60
32
136
6
254
115
110
107
35
(37)
73
163
(18)
(90)
(23)
(38)
(93)
(34)
25
7
124
(51)
(204)
(254)
(227)
(32)
(147)
(132)
(43)
(61)
(118)
Cash Taxes Paid
(353)
1 095
(111)
(282)
(505)
(793)
1
2
(18)
(40)
(2)
23
290
429
599
707
481
477
882
1 096
800
697
696
682
972
1 126
1 404
1 602
1 251
1 093
621
359
735
897
977
1 116
Cash Interest Paid
0
0
8
21
(6)
(17)
(1)
(1)
(3)
(1)
4
4
4
2
1
1
2
4
3
2
3
2
2
4
17
21
11
13
14
10
8
5
6
11
15
13
Change in Working Capital
45
30
531
1 313
1 323
2 146
(2 072)
(2 802)
(3 493)
(3 556)
(497)
(1 318)
(1 774)
(251)
661
(1 371)
(3 793)
(1 699)
347
(1 735)
(1 805)
(1 510)
(2 252)
(3 922)
(4 817)
(2 166)
1 346
(944)
812
1 248
(1 869)
(1 473)
(3 714)
(7 123)
(5 502)
2 139
Cash from Operating Activities
69
N/A
(59)
N/A
50
N/A
259
+417%
509
+97%
(59)
N/A
(1 525)
-2 503%
(2 031)
-33%
(2 162)
-6%
(1 556)
+28%
351
N/A
(181)
N/A
(367)
-103%
1 145
N/A
1 970
+72%
97
-95%
(1 712)
N/A
766
N/A
2 746
+259%
788
-71%
554
-30%
810
+46%
420
-48%
(687)
N/A
(568)
+17%
2 678
N/A
5 547
+107%
3 080
-44%
3 934
+28%
3 452
-12%
920
-73%
1 137
+23%
(1 436)
N/A
(3 820)
-166%
(1 663)
+56%
5 734
N/A
Investing Cash Flow
Capital Expenditures
31
164
(34)
2
36
49
1
(3)
0
(4)
(19)
(36)
(44)
(65)
(99)
(99)
(78)
(78)
(69)
(45)
(42)
(318)
(328)
(141)
(666)
(847)
(405)
(121)
(28)
(835)
(870)
(711)
(1 387)
(1 046)
(499)
(408)
Other Items
(40)
(251)
0
159
67
69
125
115
126
97
(70)
(95)
(157)
(41)
96
69
(5)
74
20
(102)
(78)
7
25
(5)
(54)
(57)
(40)
112
89
(51)
(13)
1
(11)
148
153
81
Cash from Investing Activities
(10)
N/A
(87)
-801%
(34)
+61%
161
N/A
102
-36%
118
+15%
126
+6%
111
-11%
126
+13%
94
-26%
(89)
N/A
(131)
-47%
(201)
-54%
(106)
+47%
(3)
+97%
(30)
-921%
(83)
-181%
(4)
+95%
(49)
-1 034%
(147)
-197%
(121)
+18%
(311)
-158%
(303)
+3%
(145)
+52%
(720)
-395%
(904)
-26%
(445)
+51%
(9)
+98%
61
N/A
(885)
N/A
(883)
+0%
(710)
+20%
(1 398)
-97%
(898)
+36%
(346)
+61%
(326)
+6%
Financing Cash Flow
Net Issuance of Common Stock
0
0
(30)
(150)
30
150
0
0
0
0
0
0
0
0
0
(154)
(154)
0
0
0
0
0
(0)
(0)
0
(0)
0
(0)
0
0
0
1 096
0
0
0
0
Net Issuance of Debt
200
600
50
(350)
250
550
0
0
0
0
0
0
(2)
(14)
(24)
(24)
576
(24)
(624)
(20)
(15)
(14)
(14)
1 186
2 363
(54)
(2 470)
(1 255)
45
25
(121)
82
131
2 256
1 501
(2 475)
Cash Paid for Dividends
60
30
30
34
10
151
28
24
30
30
(176)
(176)
(147)
(147)
(175)
(176)
(202)
(201)
(458)
(629)
(458)
(458)
(458)
(458)
(630)
(858)
(939)
(825)
(826)
(769)
(688)
(688)
(571)
(595)
(658)
(658)
Other
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(0)
0
(0)
0
(0)
0
(0)
0
(0)
0
(0)
0
0
(0)
(0)
0
0
0
(0)
Cash from Financing Activities
260
N/A
630
+142%
50
-92%
(466)
N/A
290
N/A
851
+193%
28
-97%
24
-17%
30
+26%
30
N/A
(176)
N/A
(176)
0%
(149)
+15%
(161)
-8%
(199)
-24%
(354)
-78%
220
N/A
(225)
N/A
(1 082)
-381%
(650)
+40%
(473)
+27%
(472)
+0%
(472)
0%
728
N/A
1 733
+138%
(913)
N/A
(3 409)
-273%
(2 081)
+39%
(781)
+62%
(744)
+5%
(809)
-9%
490
N/A
656
+34%
1 661
+153%
842
-49%
(3 133)
N/A
Change in Cash
Effect of Foreign Exchange Rates
(5)
(26)
(96)
(104)
139
144
(50)
(74)
(74)
(91)
(23)
(21)
(15)
89
166
171
64
122
166
(18)
(255)
(77)
93
(19)
(33)
(59)
(38)
3
(21)
(68)
97
148
325
184
113
182
Net Change in Cash
314
N/A
460
+46%
(30)
N/A
(150)
-399%
1 041
N/A
1 054
+1%
(1 422)
N/A
(1 971)
-39%
(2 081)
-6%
(1 524)
+27%
63
N/A
(509)
N/A
(732)
-44%
967
N/A
1 934
+100%
(116)
N/A
(1 512)
-1 201%
659
N/A
1 781
+170%
(27)
N/A
(295)
-994%
(50)
+83%
(262)
-422%
(123)
+53%
413
N/A
802
+94%
1 655
+106%
993
-40%
3 192
+221%
1 755
-45%
(675)
N/A
1 064
N/A
(1 854)
N/A
(2 873)
-55%
(1 053)
+63%
2 457
N/A
Free Cash Flow
Free Cash Flow
99
N/A
106
+7%
16
-85%
261
+1 519%
545
+109%
(10)
N/A
(1 524)
-15 945%
(2 035)
-33%
(2 162)
-6%
(1 560)
+28%
331
N/A
(218)
N/A
(411)
-89%
1 080
N/A
1 871
+73%
(2)
N/A
(1 790)
-89 410%
688
N/A
2 677
+289%
743
-72%
512
-31%
492
-4%
92
-81%
(827)
N/A
(1 233)
-49%
1 831
N/A
5 141
+181%
2 958
-42%
3 906
+32%
2 618
-33%
51
-98%
426
+738%
(2 824)
N/A
(4 866)
-72%
(2 162)
+56%
5 326
N/A

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