Seiko Electric Co Ltd
TSE:6653

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Seiko Electric Co Ltd
TSE:6653
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Price: 1 110 JPY -0.36% Market Closed
Market Cap: 14.8B JPY
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Cash Flow Statement

Cash Flow Statement
Seiko Electric Co Ltd

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Cash Flow Statement
Currency: JPY
Mar-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024
Operating Cash Flow
Net Income
122
122
33
(341)
(401)
22
449
188
64
185
377
357
529
853
576
594
1 052
985
877
926
943
966
1 006
1 023
1 347
1 560
1 540
1 630
1 612
1 742
1 816
2 165
Depreciation & Amortization
(21)
(63)
3
254
310
234
227
230
255
292
306
290
281
288
290
299
309
297
308
318
305
304
317
333
339
322
342
391
392
384
388
399
Other Non-Cash Items
(14)
3
379
458
449
427
9
(11)
16
37
6
30
(1 764)
(1 803)
(3)
(10)
(169)
(178)
(39)
(53)
(57)
(59)
(61)
(59)
(23)
(23)
(57)
(55)
(113)
(184)
(178)
(340)
Cash Taxes Paid
3
(5)
(5)
21
21
21
22
24
24
25
24
43
60
170
231
453
590
354
207
292
299
358
352
308
306
460
612
540
441
508
593
572
Cash Interest Paid
(3)
2
12
29
36
31
30
34
36
37
36
33
34
36
39
37
36
37
39
36
29
25
25
25
26
21
23
34
32
34
34
27
Change in Working Capital
14
(799)
(929)
(51)
3 607
271
(447)
(1 955)
(539)
776
(199)
(43)
1 322
1 009
1 044
865
(1 029)
(3 561)
(1 737)
563
(355)
(939)
455
(1 072)
(2 307)
752
(186)
(3 421)
(1 970)
340
1 163
644
Cash from Operating Activities
101
N/A
(737)
N/A
(514)
+30%
320
N/A
3 965
+1 139%
954
-76%
238
-75%
(1 548)
N/A
(204)
+87%
1 290
N/A
490
-62%
634
+29%
368
-42%
347
-6%
1 907
+450%
1 748
-8%
163
-91%
(2 457)
N/A
(591)
+76%
1 754
N/A
836
-52%
272
-67%
1 717
+531%
225
-87%
(644)
N/A
2 611
N/A
1 639
-37%
(1 455)
N/A
(79)
+95%
2 282
N/A
3 189
+40%
2 868
-10%
Investing Cash Flow
Capital Expenditures
33
118
90
(76)
(93)
(73)
(64)
(235)
(900)
(956)
(267)
(151)
(104)
(28)
(174)
(205)
(118)
(119)
(102)
(34)
(75)
(119)
(345)
(669)
(610)
(1 197)
(1 750)
(1 121)
(547)
(479)
(952)
(894)
Other Items
56
(22)
(60)
7
(1 479)
(84)
(22)
1 438
72
81
(67)
(80)
(119)
(124)
(107)
(3)
65
(244)
(298)
(47)
30
34
(3)
(2)
(7)
(51)
(35)
48
49
125
181
280
Cash from Investing Activities
89
N/A
96
+8%
30
-69%
(69)
N/A
(1 572)
-2 178%
(157)
+90%
(86)
+45%
1 203
N/A
(828)
N/A
(875)
-6%
(334)
+62%
(231)
+31%
(223)
+3%
(152)
+32%
(281)
-85%
(208)
+26%
(53)
+75%
(363)
-585%
(400)
-10%
(81)
+80%
(45)
+44%
(85)
-89%
(348)
-309%
(671)
-93%
(617)
+8%
(1 248)
-102%
(1 785)
-43%
(1 073)
+40%
(498)
+54%
(354)
+29%
(771)
-118%
(614)
+20%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
90
541
541
0
0
0
(10)
(19)
(21)
(176)
(164)
0
0
0
0
557
557
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
207
767
1 248
172
(2 053)
(263)
(330)
2
907
457
(137)
(233)
37
107
(1 108)
(131)
15
660
826
(1 618)
(862)
(357)
(1 053)
1 232
1 761
220
460
2 360
1 466
(2 360)
(2 103)
(905)
Cash Paid for Dividends
(26)
(26)
(26)
(53)
(53)
(106)
(106)
(129)
(136)
(89)
(88)
(118)
(118)
(117)
(117)
(127)
(137)
(171)
(171)
(183)
(182)
(212)
(265)
(241)
(241)
(302)
(302)
(363)
(424)
(364)
(395)
(425)
Other
0
0
0
0
0
0
0
(2)
(2)
(3)
(2)
0
(1)
(3)
(2)
0
0
(1)
(1)
(2)
(2)
(2)
(1)
0
(2)
(3)
(4)
(3)
(2)
0
(1)
(3)
Cash from Financing Activities
181
N/A
741
+309%
1 222
+65%
119
-90%
(2 106)
N/A
(279)
+87%
105
N/A
412
+292%
769
+87%
365
-53%
(227)
N/A
(361)
-59%
(101)
+72%
(34)
+66%
(1 403)
-4 026%
(422)
+70%
(122)
+71%
489
N/A
654
+34%
(1 803)
N/A
(489)
+73%
(14)
+97%
(1 319)
-9 321%
991
N/A
1 518
+53%
(85)
N/A
154
N/A
1 994
+1 195%
1 040
-48%
(2 725)
N/A
(2 499)
+8%
(1 333)
+47%
Change in Cash
Effect of Foreign Exchange Rates
(3)
(3)
(10)
(7)
(9)
(10)
0
3
18
45
35
(5)
10
20
(9)
(56)
(19)
23
4
2
(12)
(16)
(9)
0
5
17
17
26
10
(1)
11
30
Net Change in Cash
368
N/A
97
-74%
728
+651%
363
-50%
278
-23%
508
+83%
257
-49%
70
-73%
(245)
N/A
825
N/A
(36)
N/A
37
N/A
54
+46%
181
+235%
214
+18%
1 062
+396%
(31)
N/A
(2 308)
-7 345%
(333)
+86%
(128)
+62%
290
N/A
157
-46%
41
-74%
545
+1 229%
262
-52%
1 295
+394%
25
-98%
(508)
N/A
473
N/A
(798)
N/A
(70)
+91%
951
N/A
Free Cash Flow
Free Cash Flow
134
N/A
(619)
N/A
(424)
+32%
244
N/A
3 872
+1 487%
881
-77%
174
-80%
(1 783)
N/A
(1 104)
+38%
334
N/A
223
-33%
483
+117%
264
-45%
319
+21%
1 733
+443%
1 543
-11%
45
-97%
(2 576)
N/A
(693)
+73%
1 720
N/A
761
-56%
153
-80%
1 372
+797%
(444)
N/A
(1 254)
-182%
1 414
N/A
(111)
N/A
(2 576)
-2 221%
(626)
+76%
1 803
N/A
2 237
+24%
1 974
-12%