Neojapan Inc
TSE:3921

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Neojapan Inc
TSE:3921
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Price: 1 778 JPY 0.68%
Market Cap: ¥25.1B

Cash Flow Statement

Cash Flow Statement
Neojapan Inc

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Cash Flow Statement
Currency: JPY
Jan-2017 Jul-2017 Jan-2018 Jul-2018 Jan-2019 Jul-2019 Jan-2020 Jul-2020 Jan-2021 Jul-2021 Jan-2022 Jul-2022 Jan-2023 Jul-2023 Jan-2024 Jul-2024 Jan-2025 Jul-2025
Operating Cash Flow
Net Income
432
495
454
497
537
580
714
949
970
1 108
1 259
1 223
1 332
1 335
1 398
1 604
2 051
2 449
Depreciation & Amortization
123
67
109
172
153
121
117
130
150
165
248
310
273
251
238
238
312
356
Other Non-Cash Items
(26)
(14)
(9)
5
3
(0)
16
(8)
(10)
(75)
(39)
2
(88)
(95)
(73)
(83)
(56)
(67)
Cash Taxes Paid
104
137
150
134
143
170
186
280
324
360
403
443
484
502
533
489
480
683
Cash Interest Paid
0
0
0
0
0
0
0
0
1
0
0
0
0
(0)
0
0
0
0
Change in Working Capital
(150)
(79)
(130)
(158)
3
(41)
(84)
(157)
(119)
(144)
(283)
(275)
(327)
(386)
(535)
(308)
(245)
(440)
Cash from Operating Activities
379
N/A
469
+24%
423
-10%
516
+22%
696
+35%
660
-5%
764
+16%
914
+20%
990
+8%
1 055
+7%
1 186
+12%
1 261
+6%
1 190
-6%
1 106
-7%
1 027
-7%
1 452
+41%
2 062
+42%
2 298
+11%
Investing Cash Flow
Capital Expenditures
(56)
(124)
(179)
(169)
(146)
(131)
(205)
(200)
(192)
(288)
(292)
(253)
(233)
(237)
(274)
(299)
(314)
(366)
Other Items
(140)
(156)
(48)
(140)
(421)
(402)
(260)
(211)
(36)
(49)
(34)
(7)
59
32
(85)
(217)
(139)
85
Cash from Investing Activities
(195)
N/A
(279)
-43%
(227)
+19%
(310)
-36%
(567)
-83%
(533)
+6%
(465)
+13%
(411)
+11%
(228)
+45%
(337)
-48%
(326)
+3%
(260)
+20%
(174)
+33%
(205)
-18%
(359)
-75%
(516)
-44%
(453)
+12%
(280)
+38%
Financing Cash Flow
Net Issuance of Common Stock
33
0
14
15
2
5
6
3
7
6
3
3
1
(90)
(90)
(951)
(950)
3
Net Issuance of Debt
0
0
0
0
0
0
(18)
(46)
(53)
(115)
(101)
0
0
0
0
0
0
0
Cash Paid for Dividends
(29)
(31)
(31)
(82)
(81)
(89)
(89)
(111)
(111)
(164)
(164)
(209)
(209)
(298)
(298)
(341)
(537)
(559)
Other
(0)
0
0
0
0
0
0
0
15
23
6
(2)
1
1
(1)
(1)
(2)
(3)
Cash from Financing Activities
4
N/A
2
-58%
(17)
N/A
(67)
-291%
(80)
-20%
(84)
-5%
(102)
-21%
(155)
-52%
(143)
+8%
(250)
-75%
(256)
-2%
(219)
+14%
(207)
+5%
(388)
-87%
(390)
0%
(1 293)
-232%
(1 488)
-15%
(559)
+62%
Change in Cash
Effect of Foreign Exchange Rates
(0)
0
(1)
0
0
(0)
0
(0)
(6)
13
37
77
49
25
44
18
19
(5)
Net Change in Cash
187
N/A
192
+2%
179
-7%
140
-22%
50
-65%
43
-14%
198
+363%
348
+76%
614
+76%
481
-22%
641
+33%
858
+34%
858
0%
538
-37%
323
-40%
(339)
N/A
139
N/A
1 454
+942%
Free Cash Flow
Free Cash Flow
323
N/A
345
+7%
245
-29%
347
+42%
550
+59%
529
-4%
560
+6%
714
+28%
798
+12%
767
-4%
894
+17%
1 008
+13%
957
-5%
869
-9%
753
-13%
1 153
+53%
1 748
+52%
1 932
+11%