Welcia Holdings Co Ltd
TSE:3141

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Welcia Holdings Co Ltd Logo
Welcia Holdings Co Ltd
TSE:3141
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Price: 1 877.5 JPY 0.91% Market Closed
Market Cap: 388.9B JPY
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Cash Flow Statement

Cash Flow Statement
Welcia Holdings Co Ltd

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Cash Flow Statement
Currency: JPY
May-2010 Aug-2010 Nov-2010 Feb-2011 May-2011 Aug-2011 Feb-2012 Aug-2012 Feb-2013 Aug-2013 Feb-2014 Aug-2014 Feb-2015 Aug-2015 Feb-2016 Aug-2016 Feb-2017 Aug-2017 Feb-2018 Aug-2018 Feb-2019 Aug-2019 Feb-2020 Aug-2020 Feb-2021 Aug-2021 Feb-2022 Aug-2022 Feb-2023 Aug-2023 Feb-2024 Aug-2024
Operating Cash Flow
Net Income
1 308
3 387
6 532
9 112
9 302
9 112
10 981
11 753
11 594
12 131
13 731
13 654
5 689
13 530
16 511
20 660
23 184
26 575
26 777
27 394
28 511
31 401
35 936
44 442
41 311
38 759
42 410
45 072
44 566
43 486
40 333
34 553
Depreciation & Amortization
591
1 674
4 114
5 215
4 380
4 500
4 810
5 339
5 998
6 549
6 817
7 135
4 049
8 672
10 283
11 287
11 953
12 515
13 266
14 254
14 496
15 051
15 663
16 038
16 975
17 839
18 961
21 115
23 225
24 129
24 392
24 481
Other Non-Cash Items
(1 091)
856
3 491
3 765
3 803
3 197
1 811
(255)
85
1 218
(270)
170
1 143
1 557
3 373
2 921
2 368
2 942
5 120
6 348
6 639
4 899
6 425
5 088
5 647
5 568
6 664
6 691
7 745
8 314
9 452
8 869
Cash Taxes Paid
101
104
3 767
3 721
4 496
4 533
5 572
6 458
4 258
3 553
4 941
4 963
2 759
5 188
5 584
7 007
7 163
8 607
10 083
11 273
12 604
12 571
13 261
15 410
16 737
15 145
15 379
17 567
18 883
19 693
19 735
14 998
Cash Interest Paid
0
54
234
280
203
194
174
162
174
197
200
204
97
213
224
199
248
268
252
294
312
349
401
420
423
441
493
531
582
658
715
748
Change in Working Capital
(636)
2 296
(1 853)
(4 004)
(2 553)
(5 181)
(5 955)
(8 914)
(3 998)
10 864
(5 474)
(4 440)
(6 937)
(17 181)
(11 082)
2 400
(4 202)
(7 626)
(9 261)
(12 199)
(14 774)
11 317
12 130
(39 942)
(17 496)
(21 617)
(51 807)
(20 838)
(15 241)
(24 463)
(27 647)
23 884
Cash from Operating Activities
172
N/A
8 213
+4 675%
12 284
+50%
14 088
+15%
14 932
+6%
11 628
-22%
11 647
+0%
7 923
-32%
13 679
+73%
30 762
+125%
14 804
-52%
16 519
+12%
3 944
-76%
6 578
+67%
19 085
+190%
37 268
+95%
33 303
-11%
34 406
+3%
35 902
+4%
35 797
0%
34 872
-3%
62 668
+80%
70 154
+12%
25 626
-63%
46 437
+81%
40 549
-13%
16 228
-60%
52 040
+221%
60 295
+16%
51 466
-15%
46 530
-10%
91 787
+97%
Investing Cash Flow
Capital Expenditures
939
(1 072)
(4 766)
(5 653)
(5 505)
(4 580)
(7 213)
(9 261)
(9 314)
(8 910)
(8 729)
(10 672)
(5 187)
(9 800)
(10 185)
(11 532)
(12 922)
(14 020)
(14 508)
(15 519)
(16 151)
(15 898)
(15 594)
(14 237)
(14 461)
(18 402)
(20 153)
(20 928)
(19 801)
(16 153)
(18 358)
(17 073)
Other Items
9 255
8 913
(263)
(461)
(166)
(39)
39
(1 422)
(2 492)
(2 396)
(2 062)
(4 511)
(9 601)
(2 695)
5 332
(3 617)
(5 112)
(6 863)
(22 218)
(23 080)
(7 804)
(5 882)
(11 865)
(6 801)
(1 686)
(7 429)
(16 935)
(25 772)
(16 267)
(6 026)
(3 670)
592
Cash from Investing Activities
10 194
N/A
7 841
-23%
(5 029)
N/A
(6 114)
-22%
(5 671)
+7%
(4 619)
+19%
(7 174)
-55%
(10 683)
-49%
(11 806)
-11%
(11 306)
+4%
(10 791)
+5%
(15 183)
-41%
(14 788)
+3%
(12 495)
+16%
(4 853)
+61%
(15 149)
-212%
(18 034)
-19%
(20 883)
-16%
(36 726)
-76%
(38 599)
-5%
(23 955)
+38%
(21 780)
+9%
(27 459)
-26%
(21 038)
+23%
(16 147)
+23%
(25 831)
-60%
(37 088)
-44%
(46 700)
-26%
(36 068)
+23%
(22 179)
+39%
(22 028)
+1%
(16 481)
+25%
Financing Cash Flow
Net Issuance of Common Stock
1
1
0
0
0
0
(4)
(5)
(1)
(3)
13 398
13 400
(1)
(2)
(2 448)
(2 556)
(113)
(834)
(832)
(4)
(4)
(3)
(3)
(508)
(5 512)
(5 007)
1 986
3 595
2 757
(7 825)
(7 858)
2 653
Net Issuance of Debt
(16 106)
(18 510)
(3 227)
(5 321)
(6 612)
(6 227)
(2 244)
264
(3 181)
(8 154)
(7 885)
(5 697)
(5 309)
(9 113)
(5 502)
(8 623)
(10 790)
(664)
1 704
(6 621)
(3 528)
(11 140)
(18 128)
(11 112)
(6 673)
(7 515)
(3 355)
13 472
(11 103)
(23 152)
(12 334)
(23 824)
Cash Paid for Dividends
(573)
(573)
(547)
(547)
(587)
(587)
(629)
(705)
(831)
(925)
(1 020)
(1 243)
(686)
(1 521)
(2 057)
(2 374)
(2 462)
(2 985)
(3 352)
(3 877)
(4 400)
(4 399)
(4 609)
(5 239)
(5 659)
(5 973)
(6 287)
(6 288)
(6 502)
(6 707)
(6 912)
(7 126)
Other
8
0
(5)
(5)
(13)
(5)
(4)
(5)
(7)
(25)
(43)
(51)
(29)
(195)
(11)
424
468
1 243
1 231
536
584
532
499
383
874
2 227
374
(1 161)
(1)
292
292
(3)
Cash from Financing Activities
(16 670)
N/A
(19 082)
-14%
(3 779)
+80%
(5 873)
-55%
(7 212)
-23%
(6 819)
+5%
(2 881)
+58%
(451)
+84%
(4 020)
-791%
(9 107)
-127%
4 450
N/A
6 409
+44%
(6 025)
N/A
(10 831)
-80%
(10 018)
+8%
(13 129)
-31%
(12 897)
+2%
(3 240)
+75%
(1 249)
+61%
(9 966)
-698%
(7 348)
+26%
(15 010)
-104%
(22 241)
-48%
(16 476)
+26%
(16 970)
-3%
(16 268)
+4%
(7 282)
+55%
9 618
N/A
(14 849)
N/A
(37 392)
-152%
(26 812)
+28%
(28 300)
-6%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
14
15
(3)
(15)
(4)
30
45
21
(2)
(9)
(8)
(1)
18
31
43
123
92
55
68
13
Net Change in Cash
(6 304)
N/A
(3 028)
+52%
3 476
N/A
2 101
-40%
2 049
-2%
190
-91%
1 592
+738%
(3 211)
N/A
(2 147)
+33%
10 349
N/A
8 463
-18%
7 745
-8%
(16 855)
N/A
(16 733)
+1%
4 211
N/A
8 975
+113%
2 368
-74%
10 313
+336%
(2 028)
N/A
(12 747)
-529%
3 567
N/A
25 869
+625%
20 446
-21%
(11 889)
N/A
13 338
N/A
(1 519)
N/A
(28 099)
-1 750%
15 081
N/A
9 470
-37%
(8 050)
N/A
(2 242)
+72%
47 019
N/A
Free Cash Flow
Free Cash Flow
1 111
N/A
7 141
+543%
7 518
+5%
8 435
+12%
9 427
+12%
7 048
-25%
4 434
-37%
(1 338)
N/A
4 365
N/A
21 852
+401%
6 075
-72%
5 847
-4%
(1 243)
N/A
(3 222)
-159%
8 900
N/A
25 736
+189%
20 381
-21%
20 386
+0%
21 394
+5%
20 278
-5%
18 721
-8%
46 770
+150%
54 560
+17%
11 389
-79%
31 976
+181%
22 147
-31%
(3 925)
N/A
31 112
N/A
40 494
+30%
35 313
-13%
28 172
-20%
74 714
+165%

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