Kobe Bussan Co Ltd
TSE:3038

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Kobe Bussan Co Ltd Logo
Kobe Bussan Co Ltd
TSE:3038
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Price: 3 580 JPY 1.45% Market Closed
Market Cap: 790.9B JPY
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Cash Flow Statement

Cash Flow Statement
Kobe Bussan Co Ltd

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Cash Flow Statement
Currency: JPY
Jul-2007 Jan-2008 Jul-2008 Jan-2009 Jul-2009 Jan-2010 Jul-2010 Oct-2010 Jan-2011 Apr-2011 Jul-2011 Oct-2011 Apr-2012 Oct-2012 Apr-2013 Oct-2013 Apr-2014 Oct-2014 Apr-2015 Oct-2015 Apr-2016 Oct-2016 Apr-2017 Oct-2017 Apr-2018 Oct-2018 Apr-2019 Oct-2019 Apr-2020 Oct-2020 Apr-2021 Oct-2021 Apr-2022 Oct-2022 Apr-2023 Oct-2023 Apr-2024
Operating Cash Flow
Net Income
(9)
(623)
(625)
144
(355)
676
1 442
1 836
2 596
3 636
3 281
3 388
3 711
4 534
4 201
4 357
4 082
5 661
7 904
7 862
6 083
8 379
13 268
13 086
14 099
16 011
16 363
18 095
20 394
22 231
26 333
28 738
30 003
31 025
27 895
29 956
34 808
Depreciation & Amortization
38
75
258
20
77
51
129
369
890
1 111
917
989
1 210
1 418
1 575
2 184
3 139
3 650
3 090
3 238
3 321
3 232
3 153
2 964
2 856
3 058
3 319
3 461
3 633
3 632
3 624
4 151
4 576
4 896
5 111
5 195
5 610
Other Non-Cash Items
(71)
313
229
(64)
7
(124)
294
621
699
572
552
171
291
(21)
(295)
(1 482)
(883)
(72)
(1 354)
(803)
3 300
3 751
147
1 403
2 278
645
994
1 810
3 109
2 702
627
155
(774)
(1 860)
1 049
2 519
569
Cash Taxes Paid
(230)
1
(58)
(254)
(353)
187
202
212
1 374
1 382
1 828
1 816
1 521
1 628
2 507
3 351
1 953
1 205
2 702
3 224
3 103
3 393
3 346
3 444
5 450
6 408
5 008
4 823
6 720
7 328
7 923
8 874
9 068
9 499
10 098
11 051
9 751
Cash Interest Paid
0
0
0
3
7
6
20
33
67
105
132
172
205
257
320
370
430
500
559
602
657
740
693
586
554
497
467
380
305
300
240
189
123
74
72
51
37
Change in Working Capital
(847)
(52)
(10)
(201)
632
573
(543)
331
(1 114)
607
(2 164)
(2 399)
(2 912)
(2 657)
(4 017)
(4 629)
(808)
(582)
(2 765)
(3 373)
(3 676)
(3 401)
(2 696)
(3 792)
(6 995)
(6 021)
(10 063)
(4 145)
2 887
(9 022)
(19 927)
(11 783)
(3 615)
(12 479)
(10 389)
(7 326)
(10 023)
Cash from Operating Activities
(887)
N/A
(286)
+68%
(149)
+48%
(102)
+32%
361
N/A
1 176
+226%
1 322
+12%
3 158
+139%
3 072
-3%
5 926
+93%
2 587
-56%
2 147
-17%
2 298
+7%
3 274
+42%
1 465
-55%
431
-71%
5 531
+1 183%
8 657
+57%
7 181
-17%
6 924
-4%
9 028
+30%
11 961
+32%
13 872
+16%
13 661
-2%
12 238
-10%
13 693
+12%
10 613
-22%
19 221
+81%
30 023
+56%
19 543
-35%
10 657
-45%
21 261
+100%
30 190
+42%
21 582
-29%
23 666
+10%
30 344
+28%
30 964
+2%
Investing Cash Flow
Capital Expenditures
268
(743)
118
(601)
(1 001)
1 292
1 559
883
(1 628)
(2 629)
(3 224)
(3 829)
(4 156)
(4 912)
(6 041)
(8 744)
(9 453)
(6 532)
(7 861)
(11 449)
(8 728)
(4 668)
(4 986)
(6 310)
(6 619)
(7 194)
(7 076)
(9 122)
(11 206)
(12 125)
(15 088)
(18 428)
(16 202)
(11 394)
(11 063)
(9 376)
(9 164)
Other Items
42
(124)
(127)
123
(653)
7
500
453
(529)
(512)
(185)
(1 092)
(2 142)
(1 235)
(5 557)
(4 669)
(28)
(752)
951
1 475
1 676
2 188
1 745
3 239
5 518
2 258
(938)
(376)
(5 326)
(5 189)
646
1 021
(864)
(1 089)
2 650
2 555
1 557
Cash from Investing Activities
310
N/A
(867)
N/A
(9)
+99%
(478)
-5 211%
(1 654)
-246%
1 299
N/A
2 058
+58%
1 337
-35%
(2 156)
N/A
(3 140)
-46%
(3 407)
-9%
(4 921)
-44%
(6 298)
-28%
(6 147)
+2%
(11 597)
-89%
(13 413)
-16%
(9 482)
+29%
(7 284)
+23%
(6 910)
+5%
(9 974)
-44%
(7 052)
+29%
(2 480)
+65%
(3 241)
-31%
(3 071)
+5%
(1 101)
+64%
(4 936)
-348%
(8 014)
-62%
(9 498)
-19%
(16 532)
-74%
(17 314)
-5%
(14 442)
+17%
(17 407)
-21%
(17 066)
+2%
(12 483)
+27%
(8 413)
+33%
(6 821)
+19%
(7 607)
-12%
Financing Cash Flow
Net Issuance of Common Stock
(8 822)
123
440
(20)
0
39
45
(70)
(328)
(355)
(355)
(240)
0
0
0
(1 996)
(1 982)
50
(2 918)
(8 245)
(5 290)
2
46
509
661
525
465
417
392
246
268
1 316
1 535
769
742
1 125
1 139
Net Issuance of Debt
0
0
(101)
1 998
4 636
(1 999)
(5 328)
2 556
7 004
9 859
13 036
5 037
6 540
14 341
12 342
10 782
17 283
11 448
26 262
27 221
3 935
(2 828)
1 436
1 126
(8 583)
(10 593)
(11 063)
(10 971)
170
(1 809)
(15 458)
(14 599)
(945)
(157)
1 925
3 781
(5 114)
Cash Paid for Dividends
(251)
7
7
1
1
(38)
(38)
(38)
(319)
(319)
(319)
(319)
(352)
(352)
(470)
(470)
(491)
(491)
(563)
(563)
(1 045)
(1 045)
(1 176)
(1 176)
(1 319)
(1 319)
(1 734)
(1 734)
(2 150)
(2 150)
(3 242)
(3 242)
(4 363)
(4 363)
(4 824)
(4 824)
(4 859)
Other
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(2)
(30)
(31)
(32)
(619)
(651)
(63)
(2)
(1)
(1)
0
(85)
(78)
9
1
(1)
(2)
(1)
0
(2)
0
Cash from Financing Activities
(9 073)
N/A
130
N/A
346
+166%
1 979
+472%
4 638
+134%
(1 998)
N/A
(5 322)
-166%
2 447
N/A
6 358
+160%
9 185
+44%
12 362
+35%
4 478
-64%
6 188
+38%
13 989
+126%
11 872
-15%
8 317
-30%
14 809
+78%
10 977
-26%
22 750
+107%
18 381
-19%
(3 019)
N/A
(4 522)
-50%
243
N/A
457
+88%
(9 242)
N/A
(11 388)
-23%
(12 332)
-8%
(12 373)
0%
(1 666)
+87%
(3 704)
-122%
(18 431)
-398%
(16 526)
+10%
(3 775)
+77%
(3 752)
+1%
(2 156)
+43%
80
N/A
(8 836)
N/A
Change in Cash
Effect of Foreign Exchange Rates
21
(12)
(24)
(269)
(416)
259
410
380
(8)
55
(48)
54
71
350
420
656
743
737
1 536
1 079
(656)
(1 093)
(33)
527
113
183
273
58
149
42
469
1 098
1 838
3 695
2 043
1 909
2 964
Net Change in Cash
(9 629)
N/A
(1 035)
+89%
164
N/A
1 130
+589%
2 929
+159%
736
-75%
(1 532)
N/A
7 322
N/A
7 266
-1%
12 026
+66%
11 494
-4%
1 758
-85%
2 259
+28%
11 466
+408%
2 160
-81%
(4 009)
N/A
11 601
N/A
13 087
+13%
24 557
+88%
16 410
-33%
(1 699)
N/A
3 866
N/A
10 841
+180%
11 574
+7%
2 008
-83%
(2 448)
N/A
(9 460)
-286%
(2 592)
+73%
11 974
N/A
(1 433)
N/A
(21 747)
-1 418%
(11 574)
+47%
11 187
N/A
9 042
-19%
15 140
+67%
25 512
+69%
17 485
-31%
Free Cash Flow
Free Cash Flow
(619)
N/A
(1 029)
-66%
(31)
+97%
(703)
-2 168%
(640)
+9%
2 468
N/A
2 881
+17%
4 041
+40%
1 444
-64%
3 297
+128%
(637)
N/A
(1 682)
-164%
(1 858)
-10%
(1 638)
+12%
(4 576)
-179%
(8 313)
-82%
(3 922)
+53%
2 125
N/A
(680)
N/A
(4 525)
-565%
300
N/A
7 293
+2 331%
8 886
+22%
7 351
-17%
5 619
-24%
6 499
+16%
3 537
-46%
10 099
+186%
18 817
+86%
7 418
-61%
(4 431)
N/A
2 833
N/A
13 988
+394%
10 188
-27%
12 603
+24%
20 968
+66%
21 800
+4%

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