CHCLY Cash Flow Statement - Citizen Watch Co Ltd - Alpha Spread

Citizen Watch Co Ltd
OTC:CHCLY

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Citizen Watch Co Ltd
OTC:CHCLY
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Price: 31.45 USD
Market Cap: 1.5B USD
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Cash Flow Statement

Cash Flow Statement
Citizen Watch Co Ltd

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Cash Flow Statement
Currency: JPY
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
4 050
2 453
6 585
5 391
3 035
10 125
16 502
17 373
(9 420)
(5 618)
25 881
29 558
31 890
33 728
22 550
14 438
22 467
27 283
27 442
26 847
19 251
12 368
(15 086)
(30 615)
(13 761)
9 391
26 694
31 602
28 240
28 209
29 329
Depreciation & Amortization
(3 533)
66
3 465
64
4 354
15 801
15 350
16 011
16 702
16 301
15 631
15 701
15 692
15 988
16 034
14 847
14 151
15 011
15 374
14 835
14 347
14 598
15 438
13 889
11 557
11 516
11 191
11 106
11 200
11 420
12 327
Other Non-Cash Items
(2 431)
1 009
(362)
2 559
8 894
3 693
(2 373)
(1 907)
20 571
10 978
(13 690)
(5 873)
(6 196)
(6 445)
2 040
(2 566)
(11 310)
(5 482)
(4 574)
(4 906)
1 987
1 842
16 247
14 603
(4 419)
(2 891)
(1 336)
(2 346)
(1 293)
(934)
(963)
Cash Taxes Paid
(3 665)
623
285
(457)
321
4 493
4 300
3 663
3 519
3 283
4 428
5 833
5 682
10 851
13 385
7 618
4 182
4 775
5 260
8 756
9 636
7 633
7 107
2 108
(212)
2 627
3 120
6 409
9 035
4 946
6 272
Cash Interest Paid
525
8
677
(11)
572
1 267
1 165
1 230
1 258
1 159
1 122
921
705
572
465
474
408
387
480
441
388
433
408
359
421
403
300
295
299
332
331
Change in Working Capital
13 719
(5 446)
(7 396)
(13 382)
(13 694)
(10 620)
(8 915)
(10 315)
(9 062)
(1 583)
5 316
(4 825)
(12 330)
(15 601)
(10 618)
6 987
7 472
(5 812)
(5 703)
(12 072)
(15 688)
(9 158)
1 292
7 556
14 634
12 533
(1 797)
(19 477)
(21 571)
(7 711)
(6 129)
Cash from Operating Activities
5 264
N/A
(1 918)
N/A
2 292
N/A
(5 778)
N/A
2 179
N/A
18 999
+772%
20 564
+8%
21 162
+3%
18 791
-11%
20 078
+7%
33 138
+65%
34 561
+4%
29 056
-16%
27 670
-5%
30 006
+8%
33 706
+12%
32 780
-3%
31 000
-5%
32 539
+5%
24 704
-24%
19 897
-19%
19 786
-1%
17 891
-10%
5 433
-70%
8 011
+47%
30 549
+281%
34 752
+14%
20 885
-40%
16 576
-21%
30 984
+87%
34 564
+12%
Investing Cash Flow
Capital Expenditures
9 109
152
(2 807)
(2 351)
(5 228)
(13 910)
(15 758)
(18 936)
(19 598)
(18 136)
(14 674)
(14 166)
(17 695)
(19 928)
(22 802)
(25 033)
(22 806)
(18 794)
(16 929)
(18 155)
(23 234)
(24 919)
(19 105)
(15 240)
(12 132)
(10 450)
(11 683)
(12 634)
(16 556)
(18 716)
(17 861)
Other Items
12 381
(212)
(320)
(4 148)
(5 156)
(3 139)
623
(3 372)
(4 255)
(534)
3 674
4 959
8 449
5 024
(1 835)
(7 500)
(5 055)
5 601
9 067
7 740
3 373
1 216
3 607
6 766
4 505
5 278
2 133
(2 948)
3 030
10 388
5 164
Cash from Investing Activities
21 490
N/A
(60)
N/A
(3 127)
-5 112%
(6 499)
-108%
(10 384)
-60%
(17 049)
-64%
(15 135)
+11%
(22 308)
-47%
(23 853)
-7%
(18 670)
+22%
(11 000)
+41%
(9 207)
+16%
(9 246)
0%
(14 904)
-61%
(24 637)
-65%
(32 533)
-32%
(27 861)
+14%
(13 193)
+53%
(7 862)
+40%
(10 415)
-32%
(19 861)
-91%
(23 703)
-19%
(15 498)
+35%
(8 474)
+45%
(7 627)
+10%
(5 172)
+32%
(9 550)
-85%
(15 582)
-63%
(13 526)
+13%
(8 328)
+38%
(12 697)
-52%
Financing Cash Flow
Net Issuance of Common Stock
20 019
0
(1)
(1)
(2)
(3)
(1)
(1)
(1)
(3)
(6)
(6)
(6)
(5 007)
(5 006)
(3)
(2)
(3)
(3)
(3)
(2)
(3 001)
(3 001)
0
1
0
(7 157)
(10 081)
(30 631)
(40 596)
(12 891)
Net Issuance of Debt
(43 591)
(926)
(423)
(5 950)
(7 472)
(26 543)
(677)
(1 007)
1 171
19 046
3 311
(13 033)
(9 296)
(9 055)
(1 646)
(15 885)
(14 745)
(549)
(4 684)
7 202
2 138
(9 092)
4 035
36 685
19 657
(15 004)
(8 785)
(9 187)
(1 102)
(124)
(2 674)
Cash Paid for Dividends
5 800
(320)
(320)
(320)
(320)
(2 255)
(2 430)
(2 592)
(2 916)
(2 591)
(2 591)
(4 211)
(5 183)
(5 183)
(5 297)
(5 411)
(5 410)
(5 410)
(5 410)
(7 001)
(7 480)
(6 367)
(6 936)
0
(782)
(1 564)
(3 599)
(5 504)
(7 078)
(9 314)
(9 809)
Other
(164)
(7)
(44)
(68)
115
(79)
(90)
1 884
1 841
(652)
(533)
(71)
4 740
4 719
(256)
(502)
(469)
(587)
(1 619)
(1 815)
(544)
(747)
(1 147)
(928)
(540)
(65)
(415)
(442)
(1 251)
(1 781)
(1 620)
Cash from Financing Activities
(17 936)
N/A
(1 253)
+93%
(788)
+37%
(6 339)
-704%
(7 679)
-21%
(28 880)
-276%
(3 198)
+89%
(1 716)
+46%
95
N/A
15 800
+16 532%
181
-99%
(17 321)
N/A
(9 745)
+44%
(14 526)
-49%
(12 205)
+16%
(21 801)
-79%
(20 626)
+5%
(6 549)
+68%
(11 716)
-79%
(1 617)
+86%
(5 888)
-264%
(19 207)
-226%
(7 049)
+63%
32 004
N/A
18 336
-43%
(16 633)
N/A
(19 956)
-20%
(25 214)
-26%
(40 062)
-59%
(51 815)
-29%
(26 994)
+48%
Change in Cash
Effect of Foreign Exchange Rates
3 982
(2 446)
(2 873)
(3 132)
(1 333)
(2 420)
(1 494)
486
3 547
5 882
2 824
3 573
2 550
(13)
(3 398)
(6 876)
(1 448)
4 491
(192)
(332)
(270)
(3 648)
(1 880)
32
2 843
4 002
6 430
12 955
4 976
2 675
6 264
Net Change in Cash
12 800
N/A
(5 677)
N/A
(4 496)
+21%
(21 748)
-384%
(17 217)
+21%
(29 350)
-70%
737
N/A
(2 376)
N/A
(1 420)
+40%
23 090
N/A
25 143
+9%
11 606
-54%
12 615
+9%
(1 773)
N/A
(10 234)
-477%
(27 504)
-169%
(17 155)
+38%
15 749
N/A
12 769
-19%
12 340
-3%
(6 122)
N/A
(26 772)
-337%
(6 536)
+76%
28 995
N/A
21 563
-26%
12 746
-41%
11 676
-8%
(6 956)
N/A
(32 036)
-361%
(26 484)
+17%
1 137
N/A
Free Cash Flow
Free Cash Flow
14 373
N/A
(1 766)
N/A
(515)
+71%
(8 129)
-1 478%
(3 049)
+62%
5 089
N/A
4 806
-6%
2 226
-54%
(807)
N/A
1 942
N/A
18 464
+851%
20 395
+10%
11 361
-44%
7 742
-32%
7 204
-7%
8 673
+20%
9 974
+15%
12 206
+22%
15 610
+28%
6 549
-58%
(3 337)
N/A
(5 133)
-54%
(1 214)
+76%
(9 807)
-708%
(4 121)
+58%
20 099
N/A
23 069
+15%
8 251
-64%
20
-100%
12 268
+61 240%
16 703
+36%

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