Hokuto Corp
TSE:1379

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Hokuto Corp
TSE:1379
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Price: 1 714 JPY 0.23% Market Closed
Market Cap: 54.4B JPY
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Cash Flow Statement

Cash Flow Statement
Hokuto Corp

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Cash Flow Statement
Currency: JPY
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 Sep-2024
Operating Cash Flow
Net Income
389
1 958
220
88
723
978
129
1 023
247
1 425
641
443
5 434
8 220
5 477
3 560
5 226
5 238
5 047
5 853
5 839
4 317
2 451
4 231
4 545
3 906
4 998
4 548
4 898
2 904
4 908
6 262
4 593
3 661
1 617
(2 188)
(85)
5 017
5 046
Depreciation & Amortization
2
59
81
278
(14)
(160)
209
752
22
779
(49)
751
3 128
3 338
3 579
3 857
4 063
4 327
4 640
4 939
5 269
5 474
5 812
6 320
6 732
6 797
6 903
7 277
7 463
7 209
7 062
6 976
6 773
6 977
7 271
7 252
6 828
6 189
5 786
Other Non-Cash Items
(199)
(335)
(118)
838
64
331
237
(499)
182
552
332
2 836
3 407
179
(8)
(799)
(1 611)
(311)
(783)
(1 402)
(628)
885
1 435
27
(554)
319
(72)
(179)
401
1 095
1 114
(17)
(406)
(1 018)
(2 384)
(543)
(11)
(1 083)
389
Cash Taxes Paid
(184)
(115)
331
207
8
312
526
624
835
883
1 093
1 070
3 841
3 814
3 661
3 188
1 556
1 579
2 669
2 638
2 173
2 253
1 757
1 604
1 375
1 431
1 484
1 451
1 505
1 579
1 254
1 338
2 139
2 124
1 138
1 149
544
471
964
Cash Interest Paid
(2)
27
24
46
0
(3)
(11)
(37)
(5)
8
(20)
(14)
37
44
60
89
97
95
124
148
144
119
105
105
94
97
106
102
94
87
82
75
71
75
85
92
108
125
121
Change in Working Capital
(151)
(280)
(74)
(1 218)
(150)
30
(1 306)
(1 320)
(400)
(2 237)
(1 045)
901
(4 087)
(5 834)
(4 603)
(3 699)
(1 854)
(849)
(2 857)
(2 381)
(1 988)
(1 932)
(2 177)
(2 579)
(1 711)
(1 083)
(1 695)
(2 032)
(1 108)
(371)
(1 316)
(2 751)
(3 110)
(3 768)
(1 212)
155
(2 041)
(1 125)
1 132
Cash from Operating Activities
41
N/A
1 402
+3 320%
109
-92%
(14)
N/A
623
N/A
1 179
+89%
(731)
N/A
(44)
+94%
51
N/A
519
+918%
(121)
N/A
4 931
N/A
7 882
+60%
5 903
-25%
4 445
-25%
2 919
-34%
5 824
+100%
8 405
+44%
6 047
-28%
7 009
+16%
8 492
+21%
8 744
+3%
7 521
-14%
7 999
+6%
9 012
+13%
9 939
+10%
10 134
+2%
9 614
-5%
11 654
+21%
10 837
-7%
11 768
+9%
10 470
-11%
7 850
-25%
5 852
-25%
5 292
-10%
4 676
-12%
4 691
+0%
8 998
+92%
12 353
+37%
Investing Cash Flow
Capital Expenditures
(246)
(1 763)
(1 417)
(249)
569
(1 175)
(254)
1 994
(20)
(518)
247
(915)
(4 536)
(5 206)
(5 597)
(4 323)
(5 511)
(8 384)
(8 682)
(7 275)
(7 309)
(9 357)
(15 149)
(14 869)
(9 563)
(7 865)
(9 553)
(10 297)
(5 173)
(2 726)
(3 848)
(3 995)
(4 765)
(10 396)
(8 308)
(1 577)
(1 203)
(2 219)
(2 443)
Other Items
102
(296)
(412)
(458)
322
951
23
(138)
(41)
(58)
(107)
(185)
(129)
(296)
(184)
(742)
(1 812)
(1 057)
33
67
62
4
(165)
(78)
(948)
(1 163)
(117)
(8)
(191)
(170)
(286)
(337)
231
(1 212)
(2 369)
(2 570)
1 102
3 265
(4 668)
Cash from Investing Activities
(144)
N/A
(2 059)
-1 330%
(1 829)
+11%
(707)
+61%
891
N/A
(224)
N/A
(231)
-3%
1 856
N/A
(61)
N/A
(576)
-844%
140
N/A
(1 100)
N/A
(4 665)
-324%
(5 502)
-18%
(5 781)
-5%
(5 065)
+12%
(7 323)
-45%
(9 441)
-29%
(8 649)
+8%
(7 208)
+17%
(7 247)
-1%
(9 353)
-29%
(15 314)
-64%
(14 947)
+2%
(10 511)
+30%
(9 028)
+14%
(9 670)
-7%
(10 305)
-7%
(5 364)
+48%
(2 896)
+46%
(4 134)
-43%
(4 332)
-5%
(4 534)
-5%
(11 608)
-156%
(10 677)
+8%
(4 147)
+61%
(101)
+98%
1 046
N/A
(7 111)
N/A
Financing Cash Flow
Net Issuance of Common Stock
1
(69)
8
13
66
50
(73)
(65)
0
0
1
0
(1)
0
(396)
(2 063)
(1 630)
99
117
149
191
176
176
147
102
142
(395)
(1 000)
(662)
(830)
(590)
165
181
200
155
161
205
113
5
Net Issuance of Debt
1 000
6 400
0
(3 900)
0
(1 500)
1 500
(17)
(1 500)
(1 520)
(1 513)
(4 023)
460
3 219
1 087
2 472
5 734
3 014
2 844
2 579
2 820
2 884
10 370
9 563
2 731
3 238
4 971
4 123
(2 447)
(2 107)
(1 831)
(3 065)
1 112
4 721
(853)
2 637
(119)
(7 621)
106
Cash Paid for Dividends
(232)
(227)
(100)
(101)
(67)
(68)
(68)
(67)
(99)
(95)
(99)
(99)
(1 848)
(1 851)
(1 885)
(1 880)
(1 821)
(1 811)
(1 910)
(1 911)
(1 885)
(1 895)
(1 938)
(1 930)
(1 931)
(1 931)
(1 930)
(1 928)
(1 903)
(1 900)
(1 900)
(1 901)
(1 908)
(1 908)
(1 908)
(1 909)
(1 274)
(1 273)
(1 590)
Other
0
0
0
0
0
0
0
0
(10)
0
0
(10)
0
(2)
(4)
(2)
(2)
(1)
0
(1)
0
(1)
0
(1)
0
(2)
(4)
(1)
0
0
(2)
0
(2)
(1)
0
(1)
(3)
(8)
(17)
Cash from Financing Activities
769
N/A
6 104
+694%
(92)
N/A
(3 988)
-4 235%
(1)
+100%
(1 518)
-151 700%
1 359
N/A
(149)
N/A
(1 609)
-980%
(1 615)
0%
(1 611)
+0%
(4 122)
-156%
(1 389)
+66%
1 366
N/A
(1 198)
N/A
(1 473)
-23%
2 281
N/A
1 301
-43%
1 052
-19%
817
-22%
1 126
+38%
1 164
+3%
8 607
+639%
7 779
-10%
901
-88%
1 447
+61%
2 642
+83%
1 194
-55%
(5 012)
N/A
(4 837)
+3%
(4 322)
+11%
(4 801)
-11%
(615)
+87%
3 012
N/A
(2 606)
N/A
888
N/A
(1 191)
N/A
(8 789)
-638%
(1 496)
+83%
Change in Cash
Effect of Foreign Exchange Rates
(1)
160
214
(295)
(118)
(83)
(98)
197
(27)
(45)
(28)
(21)
(255)
(36)
104
493
626
34
59
42
(11)
(43)
(113)
(18)
68
(44)
17
37
(63)
(31)
(19)
95
202
310
689
231
57
334
(57)
Net Change in Cash
665
N/A
5 607
+743%
(1 598)
N/A
(5 004)
-213%
1 395
N/A
(646)
N/A
299
N/A
1 860
+522%
(1 646)
N/A
(1 717)
-4%
(1 620)
+6%
(312)
+81%
1 573
N/A
1 731
+10%
(2 430)
N/A
(3 126)
-29%
1 408
N/A
299
-79%
(1 491)
N/A
660
N/A
2 360
+258%
512
-78%
701
+37%
813
+16%
(530)
N/A
2 314
N/A
3 123
+35%
540
-83%
1 215
+125%
3 073
+153%
3 293
+7%
1 432
-57%
2 903
+103%
(2 434)
N/A
(7 302)
-200%
1 648
N/A
3 456
+110%
1 589
-54%
3 689
+132%
Free Cash Flow
Free Cash Flow
(205)
N/A
(361)
-76%
(1 308)
-262%
(263)
+80%
1 192
N/A
4
-100%
(985)
N/A
1 950
N/A
31
-98%
1
-97%
126
+12 500%
4 016
+3 087%
3 346
-17%
697
-79%
(1 152)
N/A
(1 404)
-22%
313
N/A
21
-93%
(2 635)
N/A
(266)
+90%
1 183
N/A
(613)
N/A
(7 628)
-1 144%
(6 870)
+10%
(551)
+92%
2 074
N/A
581
-72%
(683)
N/A
6 481
N/A
8 111
+25%
7 920
-2%
6 475
-18%
3 085
-52%
(4 544)
N/A
(3 016)
+34%
3 099
N/A
3 488
+13%
6 779
+94%
9 910
+46%

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