FreeBit Co Ltd
TSE:3843

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FreeBit Co Ltd
TSE:3843
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Price: 1 363 JPY -0.94% Market Closed
Market Cap: 27.2B JPY
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Cash Flow Statement

Cash Flow Statement
FreeBit Co Ltd

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Cash Flow Statement
Currency: JPY
Jul-2008 Jan-2009 Jul-2009 Jan-2010 Jul-2010 Oct-2010 Jan-2011 Apr-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
421
889
(121)
(738)
(494)
(483)
(552)
(1 156)
(513)
582
(30)
(264)
559
910
1 282
1 518
1 483
1 446
1 624
660
(338)
784
1 689
2 159
2 286
1 253
2 840
3 682
3 244
2 671
2 439
3 443
4 942
5 878
Depreciation & Amortization
179
433
(29)
(88)
43
417
406
750
1 217
1 025
1 182
1 371
1 391
1 346
1 284
1 280
1 255
1 255
1 289
1 491
1 778
1 782
1 770
2 380
2 879
3 049
2 686
1 722
1 181
1 062
1 028
928
830
767
Other Non-Cash Items
6
(35)
(185)
(303)
250
410
644
1 545
1 404
898
1 375
836
115
217
7
(315)
(26)
469
677
550
681
962
639
769
617
1 633
1 242
71
429
241
288
369
65
(0)
Cash Taxes Paid
(3)
(14)
30
57
67
200
192
209
264
298
222
242
264
268
275
310
585
730
579
644
664
687
839
899
1 443
2 043
1 162
623
1 092
1 203
1 126
1 198
1 309
1 131
Cash Interest Paid
14
22
(0)
12
7
48
53
95
171
142
134
126
101
93
84
73
53
45
44
47
45
90
129
133
144
163
161
115
101
102
115
114
105
100
Change in Working Capital
39
214
234
397
(445)
(856)
(1 171)
(1 115)
(472)
(532)
(458)
(249)
(669)
(754)
(152)
(275)
(933)
(1 419)
(285)
1 111
(1 330)
(2 487)
(1 642)
(2 139)
(2 680)
(4 430)
(223)
1 648
(2 375)
(1 641)
(1 416)
(1 417)
(1 526)
(2 419)
Cash from Operating Activities
646
N/A
1 501
+132%
(101)
N/A
(733)
-626%
(646)
+12%
(512)
+21%
(673)
-32%
25
N/A
1 636
+6 549%
1 973
+21%
2 069
+5%
1 694
-18%
1 396
-18%
1 720
+23%
2 421
+41%
2 207
-9%
1 779
-19%
1 752
-2%
3 305
+89%
3 812
+15%
791
-79%
1 042
+32%
2 456
+136%
3 170
+29%
3 103
-2%
1 505
-51%
6 546
+335%
7 123
+9%
2 479
-65%
2 334
-6%
2 338
+0%
3 322
+42%
4 312
+30%
4 226
-2%
Investing Cash Flow
Capital Expenditures
11
(713)
(39)
688
(78)
(159)
(44)
(87)
(248)
(266)
(477)
(768)
(658)
(536)
(480)
(436)
(506)
(628)
(595)
(882)
(1 315)
(1 223)
(1 130)
(1 262)
(1 158)
(1 047)
(1 285)
(940)
(328)
(261)
(378)
(669)
(1 404)
(1 420)
Other Items
32
3 669
(76)
(572)
(52)
(456)
(196)
(244)
(445)
17
154
(64)
250
301
140
(88)
(36)
119
(1 037)
(1 410)
(798)
(917)
(2 500)
(2 426)
(731)
(823)
(1 460)
(1 716)
(564)
772
489
24
342
335
Cash from Investing Activities
43
N/A
2 955
+6 837%
(115)
N/A
116
N/A
(131)
N/A
(616)
-372%
(240)
+61%
(331)
-38%
(693)
-109%
(248)
+64%
(323)
-30%
(832)
-158%
(408)
+51%
(235)
+42%
(340)
-45%
(524)
-54%
(542)
-3%
(509)
+6%
(1 633)
-221%
(2 291)
-40%
(2 113)
+8%
(2 141)
-1%
(3 630)
-70%
(3 688)
-2%
(1 889)
+49%
(1 870)
+1%
(2 745)
-47%
(2 656)
+3%
(892)
+66%
511
N/A
110
-78%
(645)
N/A
(1 062)
-65%
(1 085)
-2%
Financing Cash Flow
Net Issuance of Common Stock
78
(83)
972
2 087
(1 233)
(1 280)
(2 444)
(2 442)
2
4
(122)
(125)
0
0
0
0
2 641
(298)
0
0
0
0
0
0
0
(226)
(1 206)
(979)
(2 027)
(2 497)
(470)
1 471
0
0
Net Issuance of Debt
(419)
(3 586)
400
(317)
40
237
1 154
558
(482)
(852)
(1 477)
(678)
(772)
(1 327)
(918)
(2 371)
(2 073)
188
822
1 049
1 698
4 701
5 565
2 512
(181)
1 137
484
(1 394)
(2 016)
142
3 188
544
(2 794)
(2 102)
Cash Paid for Dividends
0
0
(114)
(137)
(57)
(66)
(43)
(43)
(88)
(88)
(147)
(147)
(136)
(136)
(136)
(135)
(157)
(157)
(156)
(156)
(157)
(157)
(156)
(156)
(156)
(156)
(153)
(153)
(146)
(146)
(141)
(141)
(159)
(159)
Other
(0)
(4)
(11)
(30)
7
(5)
9
(1)
(41)
(34)
(36)
(36)
(34)
(29)
183
166
(53)
(39)
(41)
(49)
(47)
(39)
(2)
(36)
(133)
(129)
(114)
(46)
(52)
(229)
(2 871)
(3 984)
(1 548)
(459)
Cash from Financing Activities
(341)
N/A
(3 673)
-977%
1 247
N/A
1 603
+29%
(1 243)
N/A
(1 115)
+10%
(1 325)
-19%
(1 928)
-46%
(609)
+68%
(971)
-59%
(1 781)
-83%
(987)
+45%
(942)
+5%
(1 492)
-58%
(871)
+42%
585
N/A
358
-39%
(306)
N/A
612
N/A
844
+38%
1 494
+77%
4 505
+201%
5 406
+20%
2 321
-57%
(470)
N/A
626
N/A
(988)
N/A
(2 572)
-160%
(4 242)
-65%
(2 731)
+36%
(294)
+89%
(2 111)
-617%
(3 031)
-44%
(2 720)
+10%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
(2)
(2)
(2)
(2)
(0)
0
0
0
1
5
9
8
(5)
(9)
(5)
(27)
(22)
1
(0)
0
(0)
(1)
1
5
7
8
17
(2)
(22)
(4)
Net Change in Cash
347
N/A
783
+125%
1 032
+32%
987
-4%
(2 022)
N/A
(2 245)
-11%
(2 241)
+0%
(2 237)
+0%
334
N/A
753
+126%
(36)
N/A
(125)
-252%
48
N/A
(2)
N/A
1 220
N/A
2 277
+87%
1 590
-30%
928
-42%
2 279
+146%
2 338
+3%
151
-94%
3 407
+2 161%
4 231
+24%
1 803
-57%
744
-59%
260
-65%
2 814
+982%
1 901
-32%
(2 648)
N/A
122
N/A
2 171
+1 684%
565
-74%
198
-65%
417
+111%
Free Cash Flow
Free Cash Flow
657
N/A
787
+20%
(139)
N/A
(45)
+68%
(724)
-1 513%
(671)
+7%
(717)
-7%
(62)
+91%
1 387
N/A
1 707
+23%
1 591
-7%
926
-42%
738
-20%
1 184
+60%
1 941
+64%
1 772
-9%
1 273
-28%
1 124
-12%
2 710
+141%
2 930
+8%
(524)
N/A
(181)
+65%
1 326
N/A
1 908
+44%
1 945
+2%
458
-76%
5 261
+1 048%
6 183
+18%
2 151
-65%
2 072
-4%
1 960
-5%
2 653
+35%
2 907
+10%
2 806
-3%

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