JVCkenwood Corp
TSE:6632

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JVCkenwood Corp
TSE:6632
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Price: 1 478 JPY 1.2% Market Closed
Market Cap: 222.9B JPY
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Cash Flow Statement

Cash Flow Statement
JVCkenwood Corp

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Cash Flow Statement
Currency: JPY
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
(2 264)
844
1 099
6 816
6 365
4 855
4 754
4 148
4 062
2 964
(1 141)
(1 259)
429
4 609
10 412
5 940
6 894
7 200
7 739
6 401
7 155
5 926
4 146
2 877
(1 860)
(3 418)
1 313
4 533
10 438
9 869
5 638
8 515
6 251
12 568
24 781
21 161
25 495
25 117
16 750
18 245
20 322
Depreciation & Amortization
11 148
11 077
10 862
10 465
11 403
11 673
12 027
12 234
12 163
12 290
12 726
15 417
16 494
17 553
18 394
16 862
17 259
17 370
17 642
17 794
18 486
19 107
19 639
20 199
19 904
19 904
19 785
19 316
19 223
18 693
17 874
17 120
16 754
16 867
17 157
17 615
17 824
17 943
18 120
18 182
18 123
Other Non-Cash Items
(297)
(2 222)
(3 197)
(3 847)
(5 302)
(4 604)
(4 578)
(3 271)
(2 802)
(1 298)
4 437
9 001
5 259
2 808
(2 865)
313
(72)
590
368
1 610
1 463
1 820
1 852
1 666
2 160
2 809
2 374
4 059
1 436
159
167
(1 531)
700
1 379
(7 567)
(6 398)
(5 928)
(6 874)
2 863
700
329
Cash Taxes Paid
1 589
1 952
2 188
2 112
2 797
2 691
2 572
2 838
2 879
2 835
2 881
2 834
2 195
2 278
2 388
2 431
2 429
2 705
2 388
2 083
2 067
1 750
1 828
1 669
1 350
1 366
1 377
1 683
2 121
2 303
2 368
2 092
2 044
2 224
2 591
3 146
4 083
4 638
4 983
5 622
4 892
Cash Interest Paid
2 055
1 950
1 928
1 781
1 786
1 799
1 778
1 537
1 370
1 101
941
1 213
1 189
1 193
1 184
915
886
880
907
863
905
942
974
1 035
1 031
1 027
1 010
958
986
922
923
923
912
985
1 030
1 048
1 094
1 168
1 245
1 320
1 354
Change in Working Capital
3 556
5 298
3 857
(5 394)
(276)
(862)
(2 269)
(853)
(4 469)
(3 399)
(4 693)
(4 300)
3 270
1 332
2 326
(4 873)
(8 838)
(6 025)
(7 740)
(4 834)
(2 289)
(4 963)
(1 896)
(4 311)
(3 657)
1 627
3 181
8 950
3 467
(7 843)
(11 589)
(13 965)
(8 999)
(6 549)
(5 176)
(3 537)
(11 756)
(5 577)
(1 340)
(24)
6 946
Cash from Operating Activities
12 143
N/A
14 997
+24%
12 621
-16%
8 576
-32%
12 190
+42%
11 062
-9%
9 934
-10%
12 258
+23%
8 954
-27%
10 557
+18%
11 329
+7%
18 859
+66%
25 309
+34%
26 018
+3%
27 840
+7%
18 242
-34%
15 243
-16%
19 135
+26%
18 009
-6%
20 971
+16%
24 815
+18%
21 890
-12%
23 741
+8%
20 431
-14%
16 547
-19%
20 922
+26%
26 653
+27%
36 858
+38%
34 564
-6%
20 878
-40%
12 090
-42%
10 139
-16%
14 706
+45%
24 265
+65%
29 195
+20%
28 841
-1%
25 635
-11%
30 609
+19%
36 393
+19%
37 103
+2%
45 720
+23%
Investing Cash Flow
Capital Expenditures
(8 437)
(8 156)
(8 456)
(11 476)
(12 941)
(13 639)
(14 852)
(14 913)
(14 966)
(17 724)
(17 917)
(20 411)
(21 098)
(19 539)
(20 453)
(18 029)
(18 971)
(19 534)
(20 376)
(20 617)
(20 987)
(21 214)
(21 031)
(21 115)
(19 576)
(17 855)
(15 676)
(13 912)
(13 586)
(13 943)
(15 246)
(15 962)
(16 974)
(16 571)
(16 100)
(15 812)
(14 651)
(16 808)
(18 225)
(21 009)
(23 071)
Other Items
(3 196)
(2 644)
(2 875)
7 619
6 618
6 136
6 423
6 518
7 850
8 471
7 601
2 721
3 302
4 342
7 276
3 194
1 068
(1 532)
(6 233)
(5 151)
(3 331)
(1 553)
1 148
1 440
1 742
924
1 753
2 108
6 890
7 370
6 774
6 158
915
181
10 919
8 483
7 241
9 285
(1 080)
4 947
6 129
Cash from Investing Activities
(11 633)
N/A
(10 800)
+7%
(11 331)
-5%
(3 857)
+66%
(6 323)
-64%
(7 503)
-19%
(8 429)
-12%
(8 395)
+0%
(7 116)
+15%
(9 253)
-30%
(10 316)
-11%
(17 690)
-71%
(17 796)
-1%
(15 197)
+15%
(13 177)
+13%
(14 835)
-13%
(17 903)
-21%
(21 066)
-18%
(26 609)
-26%
(25 768)
+3%
(24 318)
+6%
(22 767)
+6%
(19 883)
+13%
(19 675)
+1%
(17 834)
+9%
(16 931)
+5%
(13 923)
+18%
(11 804)
+15%
(6 696)
+43%
(6 573)
+2%
(8 472)
-29%
(9 804)
-16%
(16 059)
-64%
(16 390)
-2%
(5 181)
+68%
(7 329)
-41%
(7 410)
-1%
(7 523)
-2%
(19 305)
-157%
(16 062)
+17%
(16 942)
-5%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
7 258
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(4 500)
(4 500)
(7 001)
(7 001)
(2 501)
Net Issuance of Debt
(10 382)
(18 273)
(12 455)
(8 263)
(10 967)
(3 221)
(6 099)
(9 876)
(3 634)
(2 935)
(967)
(599)
726
(5 808)
(7 009)
(3 718)
(3 496)
498
2 370
3 266
304
1 101
(2 303)
19
822
2 775
5 585
(3 854)
(5 181)
(10 579)
(12 195)
(10 007)
(9 705)
(12 696)
(17 605)
(12 332)
(11 835)
(10 590)
(6 569)
(10 283)
(16 138)
Cash Paid for Dividends
0
0
0
(693)
(693)
(693)
(693)
(693)
(694)
(694)
(694)
(694)
(694)
(694)
(694)
(694)
(833)
(833)
(833)
(833)
(983)
(983)
(983)
(983)
(819)
(819)
(819)
(819)
(819)
(819)
(819)
(819)
(980)
(980)
(980)
(980)
(1 961)
(1 961)
(1 961)
(1 961)
(1 809)
Other
(1 769)
(886)
(804)
749
(1 129)
(2 607)
(2 769)
(4 398)
(2 608)
(2 697)
(2 383)
(759)
(738)
645
(1 407)
(2 631)
(1 900)
2 262
(1 123)
(1 212)
(1 679)
(6 258)
(836)
(701)
(641)
(407)
(408)
(669)
(754)
(735)
(743)
(447)
(514)
(719)
(711)
(720)
(533)
(209)
(122)
(108)
(258)
Cash from Financing Activities
(12 151)
N/A
(19 159)
-58%
(13 259)
+31%
(7 514)
+43%
(12 789)
-70%
(6 521)
+49%
(9 561)
-47%
(14 967)
-57%
(6 936)
+54%
(6 326)
+9%
(4 044)
+36%
(2 052)
+49%
(706)
+66%
(5 857)
-730%
(9 110)
-56%
(7 043)
+23%
(6 229)
+12%
1 927
N/A
7 672
+298%
8 479
+11%
4 900
-42%
1 118
-77%
(4 122)
N/A
(1 665)
+60%
(638)
+62%
1 549
N/A
4 358
+181%
(5 342)
N/A
(6 754)
-26%
(12 133)
-80%
(13 757)
-13%
(11 273)
+18%
(11 199)
+1%
(14 395)
-29%
(19 296)
-34%
(14 032)
+27%
(18 829)
-34%
(17 260)
+8%
(15 653)
+9%
(19 353)
-24%
(20 706)
-7%
Change in Cash
Effect of Foreign Exchange Rates
1 103
2 997
2 582
0
3 571
263
(1 703)
(1 796)
(4 774)
(3 561)
(1 188)
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
(10 538)
N/A
(11 965)
-14%
(9 387)
+22%
(2 795)
+70%
(3 351)
-20%
(2 699)
+19%
(9 759)
-262%
(12 900)
-32%
(9 872)
+23%
(8 583)
+13%
(4 219)
+51%
(883)
+79%
6 807
N/A
4 964
-27%
5 553
+12%
(3 636)
N/A
(8 889)
-144%
(4)
+100%
(928)
-23 100%
3 682
N/A
5 397
+47%
241
-96%
(264)
N/A
(909)
-244%
(1 925)
-112%
5 540
N/A
17 088
+208%
19 712
+15%
21 114
+7%
2 172
-90%
(10 139)
N/A
(10 938)
-8%
(12 552)
-15%
(6 520)
+48%
4 718
N/A
7 480
+59%
(604)
N/A
5 826
N/A
1 435
-75%
1 688
+18%
8 072
+378%
Free Cash Flow
Free Cash Flow
3 706
N/A
6 841
+85%
4 165
-39%
(2 900)
N/A
(751)
+74%
(2 577)
-243%
(4 918)
-91%
(2 655)
+46%
(6 012)
-126%
(7 167)
-19%
(6 588)
+8%
(1 552)
+76%
4 211
N/A
6 479
+54%
7 387
+14%
213
-97%
(3 728)
N/A
(399)
+89%
(2 367)
-493%
354
N/A
3 828
+981%
676
-82%
2 710
+301%
(684)
N/A
(3 029)
-343%
3 067
N/A
10 977
+258%
22 946
+109%
20 978
-9%
6 935
-67%
(3 156)
N/A
(5 823)
-85%
(2 268)
+61%
7 694
N/A
13 095
+70%
13 029
-1%
10 984
-16%
13 801
+26%
18 168
+32%
16 094
-11%
22 649
+41%

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