Alpen Co Ltd
TSE:3028

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Alpen Co Ltd
TSE:3028
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Price: 1 995 JPY 0.25% Market Closed
Market Cap: 76.9B JPY
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Cash Flow Statement

Cash Flow Statement
Alpen Co Ltd

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Cash Flow Statement
Currency: JPY
Sep-2007 Mar-2008 Sep-2008 Mar-2009 Sep-2009 Mar-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024
Operating Cash Flow
Net Income
(2 138)
3
2 135
522
(727)
(1 209)
188
3 712
907
2 635
9 264
11 023
10 966
12 315
9 913
7 975
7 017
3 715
4 312
(1 169)
(733)
4 336
3 971
2 125
(213)
(1 050)
1 663
3 301
11 320
15 834
10 930
8 214
6 088
4 711
1 528
2 690
Depreciation & Amortization
157
504
115
52
(57)
(47)
51
1 193
321
1 567
4 810
4 949
5 190
5 503
5 796
6 398
6 943
7 236
7 527
7 557
7 382
7 096
6 691
6 408
6 383
6 375
6 294
5 996
5 699
5 576
5 569
5 675
5 876
5 832
5 687
5 751
Other Non-Cash Items
0
1 317
309
(846)
(75)
302
411
501
501
1 740
1 729
598
648
715
745
(132)
(104)
808
217
4 685
4 038
322
1 746
2 855
2 710
3 834
4 338
2 171
2 225
1 431
926
749
1 152
2 465
2 778
2 239
Cash Taxes Paid
(2 742)
(4 615)
1 227
464
199
1 402
(1 319)
(1 355)
(1 675)
(1 687)
5 109
6 048
4 850
4 737
5 359
5 398
2 619
1 437
2 607
2 556
2 034
1 804
1 893
2 104
627
56
1 158
702
748
1 423
4 794
6 760
3 289
1 958
2 122
1 635
Cash Interest Paid
0
0
71
173
(22)
(60)
(14)
0
(28)
1
117
106
102
92
88
95
95
111
120
115
110
100
100
101
101
100
107
110
110
105
87
64
58
55
42
44
Change in Working Capital
1 800
(1 268)
(1 571)
(620)
2 627
2 250
1 076
7 174
2 755
7 105
(355)
(894)
(7 334)
(6 142)
(8 586)
(21 214)
(15 301)
(5 380)
(1 212)
(1 280)
(3 477)
3 879
8 157
4 134
(8 117)
(12 544)
(1 674)
(3 662)
15 434
24 039
(10 711)
(19 339)
(9 512)
(7 220)
161
(4 975)
Cash from Operating Activities
(181)
N/A
556
N/A
988
+78%
(892)
N/A
1 768
N/A
1 296
-27%
1 726
+33%
12 580
+629%
4 484
-64%
13 047
+191%
15 448
+18%
15 676
+1%
9 470
-40%
12 391
+31%
7 868
-37%
(6 973)
N/A
(1 445)
+79%
6 379
N/A
10 844
+70%
9 793
-10%
7 210
-26%
15 633
+117%
20 565
+32%
15 522
-25%
763
-95%
(3 385)
N/A
10 621
N/A
7 806
-27%
34 678
+344%
46 880
+35%
6 714
-86%
(4 701)
N/A
3 604
N/A
5 788
+61%
10 154
+75%
5 705
-44%
Investing Cash Flow
Capital Expenditures
947
953
240
5 381
(1 255)
(1 349)
519
(999)
(399)
(980)
(4 087)
(7 450)
(7 654)
(6 684)
(9 486)
(8 204)
(6 262)
(8 205)
(7 661)
(6 368)
(5 092)
(3 813)
(4 355)
(5 642)
(5 308)
(4 764)
(5 115)
(4 931)
(4 603)
(5 653)
(5 845)
(4 476)
(5 947)
(6 179)
(6 993)
(9 559)
Other Items
3 096
363
823
3 044
616
(115)
(843)
(1 295)
(1 594)
(1 696)
(1 853)
(4 184)
(4 073)
(5 025)
(5 906)
3 855
5 449
(3 798)
(7 063)
(3 177)
645
524
(3 318)
(1 495)
3 313
2 455
563
(330)
19
(92)
(1 742)
(3 070)
(1 521)
(565)
(907)
(949)
Cash from Investing Activities
4 043
N/A
1 316
-67%
1 063
-19%
8 425
+693%
(639)
N/A
(1 464)
-129%
(324)
+78%
(2 294)
-608%
(1 993)
+13%
(2 676)
-34%
(5 940)
-122%
(11 634)
-96%
(11 727)
-1%
(11 709)
+0%
(15 392)
-31%
(4 349)
+72%
(813)
+81%
(12 003)
-1 376%
(14 724)
-23%
(9 545)
+35%
(4 447)
+53%
(3 289)
+26%
(7 673)
-133%
(7 137)
+7%
(1 995)
+72%
(2 309)
-16%
(4 552)
-97%
(5 261)
-16%
(4 584)
+13%
(5 745)
-25%
(7 587)
-32%
(7 546)
+1%
(7 468)
+1%
(6 744)
+10%
(7 900)
-17%
(10 508)
-33%
Financing Cash Flow
Net Issuance of Common Stock
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
(2 483)
0
0
0
(759)
(1 045)
(537)
0
0
Net Issuance of Debt
3 693
1 712
(200)
(3 500)
(73)
3 156
(2 006)
(2 152)
(310)
(619)
(1 856)
(1 843)
(2 655)
(2 658)
(1 947)
964
6 579
17 628
13 200
3 063
1 882
(1 818)
(2 533)
(2 573)
(4 668)
(4 865)
(1 801)
(1 282)
(1 255)
(3 166)
(4 548)
(13 132)
(14 064)
(7 348)
(5 751)
7 349
Cash Paid for Dividends
621
591
(4)
(2)
(1)
3
1
(9)
(1)
(10)
(1 214)
(1 214)
(1 416)
(1 619)
(1 618)
(1 619)
(1 620)
(1 620)
(1 612)
(1 603)
(1 628)
(1 636)
(1 619)
(1 619)
(1 620)
(1 620)
(1 619)
(1 618)
(1 592)
(1 566)
(1 762)
(1 958)
(1 947)
(1 935)
(1 929)
(1 929)
Other
43
(1)
13
139
(122)
(201)
76
(48)
109
82
(399)
(439)
(219)
(114)
(88)
(98)
(114)
(179)
(146)
(56)
(36)
(35)
(46)
(59)
(75)
(112)
(101)
(45)
(43)
(24)
(60)
(67)
(37)
(44)
(44)
(29)
Cash from Financing Activities
4 357
N/A
2 302
-47%
(191)
N/A
(3 363)
-1 661%
(196)
+94%
2 958
N/A
(1 929)
N/A
(2 209)
-15%
(202)
+91%
(547)
-171%
(3 469)
-534%
(3 496)
-1%
(4 290)
-23%
(4 391)
-2%
(3 653)
+17%
(753)
+79%
4 845
N/A
15 829
+227%
11 442
-28%
1 404
-88%
218
-84%
(3 489)
N/A
(4 198)
-20%
(4 251)
-1%
(6 363)
-50%
(6 597)
-4%
(3 521)
+47%
(5 428)
-54%
(5 373)
+1%
(4 756)
+11%
(6 370)
-34%
(15 916)
-150%
(17 093)
-7%
(9 864)
+42%
(7 975)
+19%
5 391
N/A
Change in Cash
Effect of Foreign Exchange Rates
31
(7)
6
(37)
(58)
3
(101)
(83)
(21)
(11)
48
17
12
161
297
148
99
266
187
(83)
1
58
(366)
(6)
356
3
(75)
2
61
23
53
64
61
6
6
14
Net Change in Cash
8 250
N/A
4 167
-49%
1 866
-55%
4 133
+121%
875
-79%
2 793
+219%
(628)
N/A
7 994
N/A
2 268
-72%
9 813
+333%
6 087
-38%
563
-91%
(6 535)
N/A
(3 548)
+46%
(10 880)
-207%
(11 927)
-10%
2 686
N/A
10 471
+290%
7 749
-26%
1 569
-80%
2 982
+90%
8 913
+199%
8 328
-7%
4 128
-50%
(7 239)
N/A
(12 288)
-70%
2 473
N/A
(2 881)
N/A
24 782
N/A
36 402
+47%
(7 190)
N/A
(28 099)
-291%
(20 896)
+26%
(10 814)
+48%
(5 715)
+47%
602
N/A
Free Cash Flow
Free Cash Flow
766
N/A
1 509
+97%
1 228
-19%
4 489
+266%
513
-89%
(53)
N/A
2 245
N/A
11 581
+416%
4 085
-65%
12 067
+195%
11 361
-6%
8 226
-28%
1 816
-78%
5 707
+214%
(1 618)
N/A
(15 177)
-838%
(7 707)
+49%
(1 826)
+76%
3 183
N/A
3 425
+8%
2 118
-38%
11 820
+458%
16 210
+37%
9 880
-39%
(4 545)
N/A
(8 149)
-79%
5 506
N/A
2 875
-48%
30 075
+946%
41 227
+37%
869
-98%
(9 177)
N/A
(2 343)
+74%
(391)
+83%
3 161
N/A
(3 854)
N/A

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