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Hagiwara Electric Holdings Co Ltd
TSE:7467

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Hagiwara Electric Holdings Co Ltd Logo
Hagiwara Electric Holdings Co Ltd
TSE:7467
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Price: 4 100 JPY -2.5%
Updated: Jun 17, 2024
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Cash Flow Statement

Cash Flow Statement
Hagiwara Electric Holdings Co Ltd

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Cash Flow Statement
Currency: JPY
Dec-2005 Jun-2006 Dec-2006 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
(34)
249
637
14
58
(104)
(724)
(448)
(764)
409
911
697
1 111
1 216
1 684
2 121
2 040
2 173
2 455
2 643
2 866
2 937
2 926
2 887
3 166
3 513
3 591
3 887
4 256
4 280
4 087
3 462
3 593
4 015
4 403
6 414
7 111
7 934
7 234
Depreciation & Amortization
(32)
(11)
(16)
6
25
6
29
33
114
16
96
19
104
330
336
346
374
384
364
287
209
199
195
191
193
183
172
174
186
196
215
238
247
265
282
281
294
323
352
Other Non-Cash Items
0
0
0
(1)
0
2
72
16
39
(12)
0
(80)
(73)
43
53
67
58
(337)
(273)
110
57
44
15
(99)
(106)
28
(29)
(63)
37
52
35
22
(82)
(101)
26
(830)
(411)
550
236
Cash Taxes Paid
(721)
1 039
1 598
(639)
(697)
366
461
(773)
(1 229)
53
61
58
80
594
716
713
802
889
910
1 104
1 163
962
963
977
994
1 059
1 110
1 010
933
1 454
1 740
1 207
1 405
1 492
1 134
1 628
1 876
2 327
2 575
Cash Interest Paid
(12)
1
10
7
17
3
6
(4)
(14)
(1)
17
(4)
14
65
60
56
54
54
54
49
50
51
49
45
38
35
38
41
42
46
50
41
29
34
41
62
144
220
258
Change in Working Capital
1 994
(1 740)
(3 127)
1 564
2 152
(490)
830
2 192
(290)
(2 332)
(3 059)
(1 936)
(4 547)
(4 278)
(2 122)
(2 080)
(2 148)
(2 493)
(2 358)
(3 307)
(3 137)
(1 823)
(2 343)
(1 977)
(2 250)
(5 093)
(5 564)
(3 737)
(4 061)
(3 525)
(3 247)
(2 295)
(2 871)
(5 643)
(9 615)
(15 844)
(20 015)
(13 779)
(2 688)
Cash from Operating Activities
1 928
N/A
(1 502)
N/A
(2 506)
-67%
1 583
N/A
2 235
+41%
(585)
N/A
207
N/A
1 793
+766%
(901)
N/A
(1 919)
-113%
(2 052)
-7%
(1 300)
+37%
(3 405)
-162%
(2 689)
+21%
(49)
+98%
454
N/A
324
-29%
(273)
N/A
188
N/A
(267)
N/A
(5)
+98%
1 357
N/A
793
-42%
1 002
+26%
1 003
+0%
(1 369)
N/A
(1 830)
-34%
261
N/A
418
+60%
1 003
+140%
1 090
+9%
1 427
+31%
887
-38%
(1 464)
N/A
(4 904)
-235%
(9 979)
-103%
(13 021)
-30%
(4 972)
+62%
5 134
N/A
Investing Cash Flow
Capital Expenditures
(102)
104
111
(22)
(289)
(1 006)
(992)
1 012
1 240
6
(15)
(7)
(32)
(156)
(175)
(348)
(316)
(119)
(117)
(130)
(139)
(109)
(86)
(147)
(198)
(156)
(112)
(195)
(304)
(263)
(165)
(178)
(177)
(146)
(177)
(174)
(233)
(344)
(509)
Other Items
(247)
69
59
(112)
(12)
20
(68)
(97)
(179)
152
229
313
289
90
114
(14)
(14)
79
119
30
(99)
(125)
(209)
435
291
(263)
237
34
(126)
(8)
(109)
(6)
108
148
6
(1 305)
(1 094)
91
(170)
Cash from Investing Activities
(349)
N/A
173
N/A
170
-2%
(134)
N/A
(301)
-125%
(986)
-228%
(1 060)
-8%
915
N/A
1 061
+16%
158
-85%
214
+35%
306
+43%
257
-16%
(66)
N/A
(61)
+8%
(362)
-493%
(330)
+9%
(40)
+88%
2
N/A
(100)
N/A
(238)
-138%
(234)
+2%
(295)
-26%
288
N/A
93
-68%
(419)
N/A
125
N/A
(161)
N/A
(430)
-167%
(271)
+37%
(274)
-1%
(184)
+33%
(69)
+63%
2
N/A
(171)
N/A
(1 479)
-765%
(1 327)
+10%
(253)
+81%
(679)
-168%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
(52)
0
52
0
0
0
0
0
0
0
0
0
1 952
1 952
0
0
0
(341)
(341)
0
1 219
2 098
898
0
16
16
14
14
0
0
0
3 279
3 464
Net Issuance of Debt
(1 383)
1 120
2 665
(1 240)
(2 165)
960
1 260
(1 230)
(1 230)
215
115
165
1 815
1 350
841
2 047
956
201
(446)
(619)
156
609
500
(324)
(255)
2 187
2 364
274
(939)
(315)
437
2 081
2 000
757
4 480
12 804
17 601
7 237
(2 707)
Cash Paid for Dividends
(12)
(42)
(67)
(17)
(35)
(15)
(33)
15
54
57
41
39
37
(187)
(194)
(227)
(262)
(288)
(306)
(419)
(480)
(499)
(582)
(581)
(575)
(651)
(691)
(792)
(907)
(925)
(929)
(926)
(749)
(709)
(796)
(883)
(1 061)
(1 369)
(1 777)
Other
(298)
0
0
0
0
0
0
(1)
(5)
(1)
(4)
(2)
(6)
(12)
(16)
(24)
(22)
(21)
(27)
(30)
(33)
(34)
(30)
(29)
(29)
(26)
(21)
(5)
1 985
1 963
(43)
(92)
(100)
(107)
(120)
(117)
(119)
(138)
(165)
Cash from Financing Activities
(1 693)
N/A
1 078
N/A
2 598
+141%
(1 257)
N/A
(2 200)
-75%
945
N/A
1 175
+24%
(1 216)
N/A
(1 129)
+7%
271
N/A
152
-44%
202
+33%
1 846
+814%
1 151
-38%
631
-45%
1 796
+185%
672
-63%
(108)
N/A
1 173
N/A
884
-25%
(357)
N/A
76
N/A
(112)
N/A
(1 275)
-1 038%
(1 200)
+6%
1 510
N/A
2 871
+90%
1 575
-45%
1 037
-34%
742
-28%
(519)
N/A
1 079
N/A
1 165
+8%
(45)
N/A
3 564
N/A
11 804
+231%
16 421
+39%
9 009
-45%
(1 185)
N/A
Change in Cash
Effect of Foreign Exchange Rates
7
(2)
(11)
(2)
(5)
(51)
(34)
87
42
(32)
(50)
(39)
(45)
(40)
(25)
(4)
115
244
224
43
157
215
(36)
(300)
(64)
168
(2)
(18)
(57)
(98)
(52)
1
(23)
140
304
640
340
240
331
Net Change in Cash
(107)
N/A
(253)
-136%
251
N/A
190
-24%
(271)
N/A
(677)
-150%
288
N/A
1 579
+448%
(927)
N/A
(1 522)
-64%
(1 736)
-14%
(831)
+52%
(1 347)
-62%
(1 644)
-22%
496
N/A
1 884
+280%
781
-59%
(177)
N/A
1 587
N/A
560
-65%
(443)
N/A
1 414
N/A
350
-75%
(285)
N/A
(168)
+41%
(110)
+35%
1 164
N/A
1 657
+42%
968
-42%
1 376
+42%
245
-82%
2 323
+848%
1 960
-16%
(1 367)
N/A
(1 207)
+12%
986
N/A
2 413
+145%
4 024
+67%
3 601
-11%
Free Cash Flow
Free Cash Flow
1 826
N/A
(1 398)
N/A
(2 395)
-71%
1 561
N/A
1 946
+25%
(1 591)
N/A
(785)
+51%
2 805
N/A
339
-88%
(1 913)
N/A
(2 067)
-8%
(1 307)
+37%
(3 437)
-163%
(2 845)
+17%
(224)
+92%
106
N/A
8
-92%
(392)
N/A
71
N/A
(397)
N/A
(144)
+64%
1 248
N/A
707
-43%
855
+21%
805
-6%
(1 525)
N/A
(1 942)
-27%
66
N/A
114
+73%
740
+549%
925
+25%
1 249
+35%
710
-43%
(1 610)
N/A
(5 081)
-216%
(10 153)
-100%
(13 254)
-31%
(5 316)
+60%
4 625
N/A

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