France Bed Holdings Co Ltd
TSE:7840

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France Bed Holdings Co Ltd
TSE:7840
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Price: 1 236 JPY 0.41% Market Closed
Market Cap: 42.7B JPY
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Cash Flow Statement

Cash Flow Statement
France Bed Holdings Co Ltd

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Cash Flow Statement
Currency: JPY
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
Operating Cash Flow
Net Income
1 586
934
263
(140)
(1 455)
(769)
(1 457)
(89)
614
54
166
53
11
676
1 382
2 015
1 894
1 982
2 578
2 212
1 890
2 254
2 464
2 236
2 846
3 127
2 791
2 683
4 175
4 142
2 361
2 626
3 508
4 221
3 883
3 882
4 366
4 393
4 708
Depreciation & Amortization
0
0
0
0
0
460
1 500
162
432
157
1 013
584
1 488
3 677
3 735
3 683
3 684
3 649
3 609
3 607
3 638
3 654
3 609
3 605
3 730
3 845
3 886
3 958
4 190
4 350
4 518
4 756
4 953
5 202
5 573
5 870
5 799
5 669
5 600
Other Non-Cash Items
0
(834)
79
0
(79)
(924)
(741)
262
(77)
202
771
455
408
(327)
422
175
1 074
358
(560)
(622)
(946)
(769)
(489)
(401)
(1 211)
(1 166)
(591)
37
(1 790)
(1 970)
(5)
(71)
(215)
(218)
158
217
208
203
11
Cash Taxes Paid
196
547
832
(719)
(769)
(235)
(733)
(29)
64
(274)
(791)
(943)
(944)
132
134
112
139
926
1 323
642
481
487
404
691
814
517
439
1 720
2 319
3 431
4 321
287
(1 296)
1 308
1 841
1 169
1 042
1 599
1 688
Cash Interest Paid
0
0
0
0
0
25
80
2
13
0
30
(14)
20
115
110
98
88
83
85
81
75
74
78
79
78
74
64
60
56
54
60
63
65
68
75
85
89
87
82
Change in Working Capital
1 874
(1 095)
(1 833)
180
244
1 068
2 005
165
1 173
(471)
(1 057)
(1 249)
(560)
650
(1 216)
(948)
(1 611)
(3 398)
(2 471)
(638)
(367)
282
120
(335)
3 007
3 346
(1 411)
(3 225)
3 210
1 342
(5 711)
(376)
2 232
(1 975)
(3 578)
(2 332)
(1 445)
(1 967)
(2 492)
Cash from Operating Activities
3 460
N/A
(995)
N/A
(1 491)
-50%
40
N/A
(1 290)
N/A
(165)
+87%
1 307
N/A
500
-62%
2 142
+328%
(58)
N/A
893
N/A
(157)
N/A
1 347
N/A
4 676
+247%
4 323
-8%
4 925
+14%
5 041
+2%
2 591
-49%
3 156
+22%
4 559
+44%
4 215
-8%
5 421
+29%
5 704
+5%
5 105
-11%
8 372
+64%
9 152
+9%
4 675
-49%
3 453
-26%
9 785
+183%
7 864
-20%
1 163
-85%
6 935
+496%
10 478
+51%
7 230
-31%
6 036
-17%
7 637
+27%
8 928
+17%
8 298
-7%
7 827
-6%
Investing Cash Flow
Capital Expenditures
(675)
(151)
(383)
34
(431)
370
97
(452)
(922)
(491)
(1 551)
(183)
(956)
(3 415)
(3 215)
(3 065)
(3 248)
(3 639)
(4 073)
(4 046)
(3 761)
(3 856)
(4 107)
(5 093)
(4 834)
(3 755)
(3 889)
(4 193)
(5 012)
(5 821)
(5 619)
(4 999)
(6 734)
(7 698)
(6 579)
(5 870)
(4 799)
(4 468)
(4 764)
Other Items
(825)
1 163
854
(255)
116
107
(405)
500
558
315
325
301
488
(1 819)
(1 815)
163
1 226
1 747
1 523
1 003
260
635
366
610
830
269
307
222
(2 135)
(2 074)
1 793
1 492
(261)
95
(1 199)
(3 871)
(1 892)
(287)
(851)
Cash from Investing Activities
(1 500)
N/A
1 012
N/A
471
-53%
(221)
N/A
(315)
-43%
477
N/A
(308)
N/A
48
N/A
(364)
N/A
(176)
+52%
(1 226)
-597%
118
N/A
(468)
N/A
(5 234)
-1 018%
(5 030)
+4%
(2 902)
+42%
(2 022)
+30%
(1 892)
+6%
(2 550)
-35%
(3 043)
-19%
(3 501)
-15%
(3 221)
+8%
(3 741)
-16%
(4 483)
-20%
(4 004)
+11%
(3 486)
+13%
(3 582)
-3%
(3 971)
-11%
(7 147)
-80%
(7 895)
-10%
(3 826)
+52%
(3 507)
+8%
(6 995)
-99%
(7 603)
-9%
(7 778)
-2%
(9 741)
-25%
(6 691)
+31%
(4 755)
+29%
(5 615)
-18%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
(200)
0
200
0
0
0
0
(362)
(1 013)
(963)
(312)
0
(853)
(853)
0
(611)
(1 826)
(1 215)
(627)
(627)
0
(987)
(987)
(494)
(495)
(1)
(1 118)
(1 608)
(990)
(882)
(382)
0
(2 004)
Net Issuance of Debt
2 926
50
67
(28)
(154)
(98)
1 055
302
(369)
7
479
1 261
714
110
(1 140)
(785)
(329)
(288)
(333)
(182)
45
517
537
1 577
1 548
(270)
(483)
(92)
73
531
959
371
284
764
2 460
151
(1 045)
99
3 969
Cash Paid for Dividends
(1 133)
(494)
(2)
(11)
1
5
(5)
251
571
(4)
(34)
3
0
(569)
(564)
(664)
(765)
(871)
(981)
(1 079)
(1 070)
(964)
(1 007)
(1 034)
(1 019)
(1 011)
(1 003)
(1 004)
(992)
(1 098)
(1 150)
(1 083)
(1 083)
(1 140)
(1 152)
(1 208)
(1 230)
(1 294)
(1 330)
Other
473
520
1
0
0
(6)
1
6
0
0
0
0
0
0
0
(1)
(1)
2
2
0
0
(2)
0
(1)
0
1
(1)
0
1
(2)
(2)
0
(1)
(1)
(2)
(3)
(2)
(1)
(2)
Cash from Financing Activities
2 266
N/A
76
-97%
66
-13%
(39)
N/A
(153)
-292%
(99)
+35%
851
N/A
559
-34%
402
-28%
3
-99%
445
+14 733%
1 264
+184%
714
-44%
(821)
N/A
(2 717)
-231%
(2 413)
+11%
(1 407)
+42%
(1 157)
+18%
(2 165)
-87%
(2 114)
+2%
(1 026)
+51%
(1 060)
-3%
(2 296)
-117%
(672)
+71%
(98)
+85%
(1 906)
-1 845%
(1 487)
+22%
(2 085)
-40%
(1 905)
+9%
(1 063)
+44%
(688)
+35%
(713)
-4%
(1 918)
-169%
(1 985)
-3%
316
N/A
(1 942)
N/A
(2 659)
-37%
(1 196)
+55%
635
N/A
Change in Cash
Effect of Foreign Exchange Rates
0
1
5
(1)
(3)
0
(13)
1
12
(7)
(6)
(7)
(5)
(8)
(3)
3
14
17
1
13
0
(12)
0
(15)
0
15
0
(5)
0
3
0
4
0
37
0
14
0
4
0
Net Change in Cash
4 226
N/A
94
-98%
(949)
N/A
(221)
+77%
(1 761)
-697%
213
N/A
1 837
+762%
1 108
-40%
2 192
+98%
(238)
N/A
106
N/A
1 218
+1 049%
1 588
+30%
(1 387)
N/A
(3 427)
-147%
(387)
+89%
1 626
N/A
(441)
N/A
(1 558)
-253%
(585)
+62%
(312)
+47%
1 128
N/A
(333)
N/A
(65)
+80%
4 270
N/A
3 775
-12%
(394)
N/A
(2 608)
-562%
733
N/A
(1 091)
N/A
(3 351)
-207%
2 719
N/A
1 565
-42%
(2 321)
N/A
(1 426)
+39%
(4 032)
-183%
(422)
+90%
2 351
N/A
2 847
+21%
Free Cash Flow
Free Cash Flow
2 785
N/A
(1 146)
N/A
(1 874)
-64%
74
N/A
(1 721)
N/A
205
N/A
1 404
+585%
48
-97%
1 220
+2 442%
(549)
N/A
(658)
-20%
(340)
+48%
391
N/A
1 261
+223%
1 108
-12%
1 860
+68%
1 793
-4%
(1 048)
N/A
(917)
+13%
513
N/A
454
-12%
1 565
+245%
1 597
+2%
12
-99%
3 538
+29 383%
5 397
+53%
786
-85%
(740)
N/A
4 773
N/A
2 043
-57%
(4 456)
N/A
1 936
N/A
3 744
+93%
(468)
N/A
(543)
-16%
1 767
N/A
4 129
+134%
3 830
-7%
3 063
-20%

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