Sankyo Co Ltd
TSE:6417

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Sankyo Co Ltd
TSE:6417
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Price: 2 062 JPY 0.37% Market Closed
Market Cap: 452.3B JPY
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Cash Flow Statement

Cash Flow Statement
Sankyo Co Ltd

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Cash Flow Statement
Currency: JPY
Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Sep-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Mar-2016 Sep-2016 Mar-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024 Sep-2024
Operating Cash Flow
Net Income
10 068
8 260
1 614
(13 575)
(14 545)
6 673
7 398
(2 472)
10 849
6 203
(6 893)
14 763
(5 085)
6 905
30 486
36 826
32 899
9 491
29 228
29 547
(4 007)
13 031
31 441
16 581
2 572
3 685
438
8 055
16 861
18 340
18 086
14 449
12 776
7 727
11 950
25 523
49 581
66 259
82 411
75 276
65 612
Depreciation & Amortization
192
385
(32)
(152)
44
286
(13)
(48)
94
728
57
1 168
(396)
953
3 992
3 306
4 035
4 975
4 794
4 406
4 500
5 352
5 747
5 670
5 245
3 708
2 986
3 215
3 187
3 144
3 418
3 521
2 997
2 398
2 344
2 113
1 860
1 838
2 303
2 916
2 818
Other Non-Cash Items
(119)
34
31
790
59
(383)
(880)
(2 574)
242
2 294
751
(854)
(1 117)
(937)
(398)
4 171
3 179
(2 185)
(2 569)
(1 383)
(1 485)
(1 977)
(1 637)
2 641
3 626
1 837
1 107
2 544
2 648
3 474
3 192
(1 400)
(1 093)
(697)
(3 416)
(3 711)
(4 193)
(7 148)
(3 439)
(1 906)
(2 618)
Cash Taxes Paid
12 780
20 246
(8 333)
(8 884)
(8 735)
(11 479)
12 837
10 906
(7 848)
(5 513)
(6 136)
(6 139)
(8 356)
(8 356)
21 100
15 620
15 948
14 019
2 761
2 925
8 453
7 263
3 749
5 289
4 537
3 203
1 478
1 215
2 122
2 660
4 584
5 423
924
(467)
207
225
3 862
4 467
19 386
28 372
19 341
Cash Interest Paid
(36)
(55)
0
7
0
(7)
1
2
(1)
(2)
0
0
0
0
0
2
3
1
53
53
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Change in Working Capital
(20 002)
(33 144)
13 766
17 473
(972)
13 375
(2 516)
(15 839)
8 828
7 440
22 381
19 372
20 048
25 963
(24 282)
(31 128)
(23 977)
(6 892)
4 290
6 920
928
8 907
(5 955)
(7 589)
5 508
(681)
1 329
2 149
(916)
(8 131)
(9 543)
2 400
5 886
1 135
1 189
(1 218)
(23 767)
(25 845)
(35 530)
(28 697)
(10 714)
Cash from Operating Activities
(9 861)
N/A
(24 465)
-148%
15 379
N/A
4 536
-71%
(15 414)
N/A
19 951
N/A
3 989
-80%
(20 933)
N/A
20 013
N/A
16 665
-17%
16 296
-2%
34 449
+111%
13 450
-61%
32 884
+144%
9 798
-70%
13 175
+34%
16 136
+22%
5 389
-67%
35 743
+563%
39 490
+10%
(64)
N/A
25 313
N/A
29 596
+17%
17 303
-42%
16 951
-2%
8 549
-50%
5 860
-31%
15 963
+172%
21 780
+36%
16 827
-23%
15 153
-10%
18 970
+25%
20 568
+8%
10 563
-49%
12 067
+14%
22 707
+88%
23 481
+3%
35 104
+49%
45 745
+30%
47 589
+4%
55 098
+16%
Investing Cash Flow
Capital Expenditures
(192)
(2 491)
(55)
8 861
(811)
(7 255)
942
6 693
(2 185)
(3 567)
2 511
1 769
4 972
4 411
(1 957)
(1 969)
(3 404)
(4 165)
(3 403)
(3 197)
(3 624)
(5 251)
(5 284)
(4 783)
(4 725)
(3 917)
(3 562)
(2 930)
(2 333)
(2 387)
(2 627)
(2 938)
(2 184)
(1 547)
(1 963)
(1 968)
(2 129)
(2 690)
(3 305)
(2 966)
(3 393)
Other Items
1 787
(18 744)
(512)
(6 663)
(7 909)
12 955
4 157
4 183
(5 643)
(7 982)
4 591
4 274
8 514
8 671
(1 952)
3 014
1 330
(11 435)
(1 522)
4 647
729
10 352
14 057
16 158
36 561
24 464
11 328
21 350
8 015
(1 980)
349
(18 810)
16 966
31 185
4 825
10 845
5 707
9 345
9 964
18 084
12 850
Cash from Investing Activities
1 595
N/A
(21 235)
N/A
(567)
+97%
2 198
N/A
(8 720)
N/A
5 700
N/A
5 099
-11%
10 876
+113%
(7 828)
N/A
(11 549)
-48%
7 102
N/A
6 043
-15%
13 486
+123%
13 082
-3%
(3 909)
N/A
1 045
N/A
(2 074)
N/A
(15 600)
-652%
(4 925)
+68%
1 450
N/A
(2 895)
N/A
5 101
N/A
8 773
+72%
11 375
+30%
31 836
+180%
20 547
-35%
7 766
-62%
18 420
+137%
5 682
-69%
(4 367)
N/A
(2 278)
+48%
(21 748)
-855%
14 782
N/A
29 638
+101%
2 862
-90%
8 877
+210%
3 578
-60%
6 655
+86%
6 659
+0%
15 118
+127%
9 457
-37%
Financing Cash Flow
Net Issuance of Common Stock
3
(346)
(2)
17
5
5
(7 333)
(7 329)
7 335
7 330
(764)
(4 172)
(5 836)
(8 355)
(7 917)
(3 721)
(2)
(2)
(2)
(5)
(5)
(36 635)
(55 319)
(20 005)
(1 320)
(2)
(3)
(2)
(2)
(2)
(68 544)
(68 544)
(1)
(1)
0
(9 236)
(10 000)
(766)
(27 758)
(96 529)
(68 748)
Net Issuance of Debt
130
7 530
0
0
0
0
(25)
(72)
4
19
8
(5)
17
7
(34)
(24)
(17)
(10)
(3 175)
(3 174)
(5)
(6)
20 093
20 092
(6)
(5)
(5)
(5)
(5)
(4)
(4)
(3)
(20 001)
(20 000)
0
0
0
0
0
0
0
Cash Paid for Dividends
(2 443)
(3 426)
(1 949)
(3 411)
1 462
1 462
(4 873)
(7 234)
2 512
2 512
0
0
75
75
(14 250)
(14 112)
(14 044)
(14 044)
(14 044)
(14 044)
(14 043)
(14 043)
(13 443)
(12 532)
(12 199)
(12 176)
(12 176)
(12 176)
(12 176)
(12 176)
(12 176)
(10 675)
(9 174)
(9 176)
(9 177)
(7 654)
(5 978)
(6 396)
(8 709)
(13 346)
(19 155)
Other
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(1)
0
0
(1)
(1)
(2)
(98)
(97)
(1)
(1)
(1)
0
(1)
(2)
(1)
0
(1)
(2)
0
0
0
0
(1)
0
0
0
Cash from Financing Activities
(2 310)
N/A
3 758
N/A
(1 951)
N/A
(3 394)
-74%
1 467
N/A
1 467
N/A
(12 231)
N/A
(14 635)
-20%
9 851
N/A
9 861
+0%
(756)
N/A
(4 177)
-453%
(5 744)
-38%
(8 273)
-44%
(22 201)
-168%
(17 858)
+20%
(14 064)
+21%
(14 056)
+0%
(17 222)
-23%
(17 224)
0%
(14 055)
+18%
(50 782)
-261%
(48 766)
+4%
(12 446)
+74%
(13 526)
-9%
(12 184)
+10%
(12 183)
+0%
(12 184)
0%
(12 185)
0%
(12 183)
+0%
(80 724)
-563%
(79 223)
+2%
(29 178)
+63%
(29 177)
+0%
(9 178)
+69%
(16 890)
-84%
(15 978)
+5%
(7 163)
+55%
(36 467)
-409%
(109 875)
-201%
(87 903)
+20%
Change in Cash
Effect of Foreign Exchange Rates
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
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Change in Cash
(10 576)
N/A
(41 942)
-297%
12 861
N/A
3 340
-74%
(22 667)
N/A
27 118
N/A
(3 143)
N/A
(24 692)
-686%
22 036
N/A
14 977
-32%
22 642
+51%
36 315
+60%
21 192
-42%
37 693
+78%
(16 312)
N/A
(3 638)
+78%
(2)
+100%
(24 267)
-1 213 250%
13 596
N/A
23 716
+74%
(17 014)
N/A
(20 368)
-20%
(10 397)
+49%
16 232
N/A
35 261
+117%
16 912
-52%
1 443
-91%
22 199
+1 438%
15 277
-31%
277
-98%
(67 849)
N/A
(82 001)
-21%
6 172
N/A
11 024
+79%
5 751
-48%
14 694
+156%
11 081
-25%
34 596
+212%
15 937
-54%
(47 168)
N/A
(23 348)
+51%
Free Cash Flow
Free Cash Flow
(10 053)
N/A
(26 956)
-168%
15 324
N/A
13 397
-13%
(16 225)
N/A
12 696
N/A
4 931
-61%
(14 240)
N/A
17 828
N/A
13 098
-27%
18 807
+44%
36 218
+93%
18 422
-49%
37 295
+102%
7 841
-79%
11 206
+43%
12 732
+14%
1 224
-90%
32 340
+2 542%
36 293
+12%
(3 688)
N/A
20 062
N/A
24 312
+21%
12 520
-49%
12 226
-2%
4 632
-62%
2 298
-50%
13 033
+467%
19 447
+49%
14 440
-26%
12 526
-13%
16 032
+28%
18 384
+15%
9 016
-51%
10 104
+12%
20 739
+105%
21 352
+3%
32 414
+52%
42 440
+31%
44 623
+5%
51 705
+16%

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