First Brothers Co Ltd
TSE:3454

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First Brothers Co Ltd
TSE:3454
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Price: 1 175 JPY 1.03%
Market Cap: 16.5B JPY
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Cash Flow Statement

Cash Flow Statement
First Brothers Co Ltd

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Cash Flow Statement
Currency: JPY
May-2016 Nov-2016 May-2017 Nov-2017 May-2018 Nov-2018 May-2019 Nov-2019 May-2020 Nov-2020 May-2021 Nov-2021 May-2022 Nov-2022 May-2023 Nov-2023 May-2024
Operating Cash Flow
Net Income
2 008
3 619
3 743
3 108
4 293
4 643
1 889
2 813
2 554
3 029
5 805
4 379
2 768
1 343
3 681
0
1 710
Depreciation & Amortization
197
257
291
308
331
328
358
540
674
735
794
832
946
1 094
1 208
1 274
1 290
Other Non-Cash Items
214
161
123
114
85
246
312
312
427
(541)
(815)
504
622
652
(248)
(500)
374
Cash Taxes Paid
1 065
1 478
1 535
1 363
730
1 443
1 723
2 381
864
(492)
861
1 547
1 920
1 187
139
179
1 771
Cash Interest Paid
158
183
198
219
237
227
249
334
398
430
425
475
549
562
601
633
619
Change in Working Capital
(15 382)
(11 876)
(6 107)
(4 739)
(779)
(8 670)
(21 721)
(9 094)
(11 142)
(8 106)
5 235
(5 505)
(6 568)
(7 715)
(6 626)
(2 444)
(7 190)
Cash from Operating Activities
(12 964)
N/A
(7 839)
+40%
(1 950)
+75%
(1 209)
+38%
3 930
N/A
(3 453)
N/A
(19 163)
-455%
(5 430)
+72%
(7 487)
-38%
(4 883)
+35%
11 019
N/A
210
-98%
(2 232)
N/A
(4 627)
-107%
(1 984)
+57%
3 016
N/A
(3 816)
N/A
Investing Cash Flow
Capital Expenditures
(235)
(15)
58
(29)
(53)
(37)
(5)
(56)
(58)
(5)
4
(9)
(546)
(2 560)
(3 662)
(1 976)
(554)
Other Items
(809)
(300)
448
252
246
(59)
(1 816)
(1 870)
(89)
(1 984)
(2 011)
(391)
(771)
(590)
(288)
391
443
Cash from Investing Activities
(1 044)
N/A
(316)
+70%
506
N/A
223
-56%
193
-13%
(96)
N/A
(1 822)
-1 798%
(1 926)
-6%
(147)
+92%
(1 989)
-1 257%
(2 007)
-1%
(400)
+80%
(1 317)
-229%
(3 149)
-139%
(3 950)
-25%
(1 585)
+60%
(111)
+93%
Financing Cash Flow
Net Issuance of Common Stock
(286)
(286)
0
0
0
0
0
0
12
12
0
0
0
0
0
0
0
Net Issuance of Debt
13 570
10 124
3 491
1 800
(943)
5 293
17 861
7 573
5 448
5 700
(1 903)
5 089
3 383
4 677
4 873
(781)
674
Cash Paid for Dividends
0
0
(350)
(350)
(210)
(210)
(252)
(252)
(294)
(294)
(336)
(336)
(378)
(378)
(420)
(420)
(446)
Other
0
(27)
(27)
(0)
0
(0)
(0)
0
0
(0)
(0)
(0)
(0)
(8)
(21)
(6)
5
Cash from Financing Activities
13 284
N/A
9 811
-26%
3 114
-68%
1 450
-53%
(1 153)
N/A
5 083
N/A
17 608
+246%
7 320
-58%
5 166
-29%
5 417
+5%
(2 240)
N/A
4 753
N/A
3 005
-37%
4 291
+43%
4 431
+3%
(1 207)
N/A
233
N/A
Change in Cash
Effect of Foreign Exchange Rates
(4)
(3)
(0)
4
4
2
1
(3)
(1)
(2)
1
3
0
0
0
0
0
Net Change in Cash
(728)
N/A
1 653
N/A
1 670
+1%
468
-72%
2 974
+536%
1 536
-48%
(3 375)
N/A
(39)
+99%
(2 469)
-6 234%
(1 457)
+41%
6 774
N/A
4 566
-33%
(544)
N/A
(3 486)
-540%
(1 503)
+57%
225
N/A
(3 694)
N/A
Free Cash Flow
Free Cash Flow
(13 200)
N/A
(7 854)
+40%
(1 892)
+76%
(1 238)
+35%
3 878
N/A
(3 490)
N/A
(19 168)
-449%
(5 486)
+71%
(7 545)
-38%
(4 888)
+35%
11 023
N/A
201
-98%
(2 779)
N/A
(7 187)
-159%
(5 646)
+21%
1 040
N/A
(4 371)
N/A

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