Dai Nippon Printing Co Ltd
TSE:7912

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Dai Nippon Printing Co Ltd
TSE:7912
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Price: 2 488.5 JPY -4.91% Market Closed
Market Cap: 1.2T JPY
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Cash Flow Statement

Cash Flow Statement
Dai Nippon Printing Co Ltd

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Cash Flow Statement
Currency: JPY
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
9 482
12 194
26 424
11 758
13 759
33 462
2 672
(8 848)
35 151
56 210
48 608
46 555
51 061
55 591
54 840
50 387
39 831
(11 861)
45 396
100 023
(18 685)
64 116
102 719
12 681
46 400
70 204
126 890
123 275
119 733
176 737
143 012
Depreciation & Amortization
(11 020)
1 375
26 089
3 193
29 837
100 504
99 164
92 875
83 219
79 081
77 106
73 229
69 022
67 013
67 510
66 815
63 777
62 840
63 376
63 043
60 831
58 411
56 133
53 632
51 887
51 933
51 675
51 175
52 281
54 313
56 725
Other Non-Cash Items
(3 265)
(2 956)
(1 663)
(8 683)
(8 745)
(2 736)
14 744
18 582
(7 433)
(14 830)
2 061
2 249
(5 485)
(10 161)
(20 290)
(30 004)
(15 712)
46 832
(1 715)
(48 812)
68 197
(12 901)
(51 061)
30 245
2 358
(4 347)
(38 454)
(38 708)
(55 536)
(113 832)
(67 261)
Cash Taxes Paid
(27 933)
8 300
4 468
15 797
16 276
19 979
19 585
17 228
17 487
17 154
14 341
14 833
15 487
13 789
15 923
14 286
12 710
13 036
13 184
16 524
16 386
15 843
16 302
26 310
29 058
15 519
13 535
20 522
23 895
28 569
25 508
Cash Interest Paid
209
(12)
1 119
317
1 388
2 900
3 269
3 428
3 494
3 456
2 955
2 438
2 442
2 503
2 436
2 353
2 208
2 164
2 213
2 151
2 065
1 987
1 570
1 324
1 447
1 084
734
701
698
773
889
Change in Working Capital
3 258
(11 873)
(4 886)
9 630
26 683
(3 636)
(7 682)
(15 476)
(10 465)
(100)
(7 666)
(19 744)
(30 035)
(36 181)
(29 431)
(12 154)
(15 934)
(44 730)
(58 416)
(47 253)
(41 372)
(27 095)
(13 855)
(44 367)
(38 821)
(18 708)
(58 068)
(77 427)
(78 484)
(66 702)
(59 878)
Cash from Operating Activities
(1 545)
N/A
(1 260)
+18%
45 964
N/A
15 898
-65%
61 534
+287%
127 594
+107%
108 898
-15%
87 133
-20%
100 472
+15%
120 361
+20%
120 109
0%
102 289
-15%
84 563
-17%
76 262
-10%
72 629
-5%
75 044
+3%
71 962
-4%
53 081
-26%
48 641
-8%
67 001
+38%
68 971
+3%
82 531
+20%
93 936
+14%
52 191
-44%
61 824
+18%
99 082
+60%
82 043
-17%
58 315
-29%
37 994
-35%
50 516
+33%
72 598
+44%
Investing Cash Flow
Capital Expenditures
(10 323)
17 976
(11 929)
17 184
(6 601)
(78 587)
(74 673)
(82 912)
(66 216)
(48 938)
(54 875)
(55 635)
(61 615)
(67 601)
(73 116)
(74 148)
(61 243)
(51 116)
(42 983)
(44 839)
(47 378)
(48 513)
(49 707)
(55 421)
(61 984)
(66 141)
(65 820)
(63 746)
(62 125)
(66 596)
(74 753)
Other Items
3 495
4 658
9 266
6 340
7 383
(4 179)
(5 453)
(15 629)
(6 371)
3 851
(3 495)
5 391
11 075
249
12 233
63 756
75 254
51 401
66 057
(73 531)
(99 531)
251 971
240 764
(2 333)
5 700
20 717
26 612
25 174
37 104
106 957
93 108
Cash from Investing Activities
(6 828)
N/A
22 634
N/A
(2 663)
N/A
23 524
N/A
782
-97%
(82 766)
N/A
(80 126)
+3%
(98 541)
-23%
(72 587)
+26%
(45 087)
+38%
(58 370)
-29%
(50 244)
+14%
(50 540)
-1%
(67 352)
-33%
(60 883)
+10%
(10 392)
+83%
14 011
N/A
285
-98%
23 074
+7 996%
(118 370)
N/A
(146 909)
-24%
203 458
N/A
191 057
-6%
(57 754)
N/A
(56 284)
+3%
(45 424)
+19%
(39 208)
+14%
(38 572)
+2%
(25 021)
+35%
40 361
N/A
18 355
-55%
Financing Cash Flow
Net Issuance of Common Stock
27 315
9
(45)
(9)
(22)
(97)
(76)
(45)
(39)
(60)
(98)
(88)
(66)
(20 075)
(20 067)
(15 047)
(15 181)
(15 190)
(15 167)
(151)
(17)
(3 286)
(60 212)
(56 938)
(10)
(26 223)
(30 859)
(11 801)
(25 864)
(56 402)
(88 664)
Net Issuance of Debt
6 779
989
2 569
(34 049)
18 097
45 434
28
2 359
(4 637)
(50 150)
(47 968)
(2 986)
6 044
(87)
1 050
1 493
(3 886)
(496)
1 855
(1 349)
(3 772)
(1 365)
44 761
47 887
(53 528)
(58 323)
(4 139)
(2 903)
(4 295)
(2 039)
(1 074)
Cash Paid for Dividends
5 494
(1 290)
(1 564)
(1 291)
(1 336)
(20 630)
(20 628)
(20 625)
(20 626)
(20 627)
(20 625)
(20 625)
(20 612)
(20 614)
(20 381)
(20 131)
(19 918)
(19 708)
(19 524)
(19 334)
(19 324)
(19 320)
(19 283)
(18 614)
(17 976)
(17 972)
(17 642)
(17 264)
(17 142)
(16 902)
(16 431)
Other
(2 350)
(754)
(3 895)
(2 221)
(5 482)
(11 037)
(12 157)
(10 757)
(10 934)
(12 318)
(11 347)
(9 996)
(9 230)
(8 790)
(7 768)
(6 627)
(6 237)
(8 022)
(9 935)
(9 438)
(9 083)
(9 824)
(6 546)
(5 237)
(6 754)
(5 408)
(5 111)
(5 839)
(5 134)
(12 260)
(12 527)
Cash from Financing Activities
37 238
N/A
(1 046)
N/A
(2 935)
-181%
(37 570)
-1 180%
11 257
N/A
13 670
+21%
(32 833)
N/A
(29 068)
+11%
(36 236)
-25%
(83 155)
-129%
(80 038)
+4%
(33 695)
+58%
(23 864)
+29%
(49 566)
-108%
(47 166)
+5%
(40 312)
+15%
(45 222)
-12%
(43 416)
+4%
(42 771)
+1%
(30 272)
+29%
(32 196)
-6%
(33 795)
-5%
(41 280)
-22%
(32 902)
+20%
(78 268)
-138%
(107 926)
-38%
(57 751)
+46%
(37 807)
+35%
(52 435)
-39%
(87 603)
-67%
(118 696)
-35%
Change in Cash
Effect of Foreign Exchange Rates
5 527
(1 620)
(3 154)
(2 906)
(2 873)
(506)
(1 716)
(1 479)
4 133
7 262
6 051
1 352
2 789
4 054
(1 829)
(6 293)
(1 701)
3 450
1 428
(116)
(1 031)
(1 614)
(118)
223
(416)
2 576
4 054
7 370
4 430
2 798
3 983
Net Change in Cash
34 392
N/A
18 708
-46%
37 212
+99%
(1 054)
N/A
70 700
N/A
57 992
-18%
(5 777)
N/A
(41 955)
-626%
(4 218)
+90%
(619)
+85%
(12 248)
-1 879%
19 702
N/A
12 948
-34%
(36 602)
N/A
(37 249)
-2%
18 047
N/A
39 050
+116%
13 400
-66%
30 372
+127%
(81 757)
N/A
(111 165)
-36%
250 580
N/A
243 595
-3%
(38 242)
N/A
(73 144)
-91%
(51 692)
+29%
(10 862)
+79%
(10 694)
+2%
(35 032)
-228%
6 072
N/A
(23 760)
N/A
Free Cash Flow
Free Cash Flow
(11 868)
N/A
16 716
N/A
34 035
+104%
33 082
-3%
54 933
+66%
49 007
-11%
34 225
-30%
4 221
-88%
34 256
+712%
71 423
+108%
65 234
-9%
46 654
-28%
22 948
-51%
8 661
-62%
(487)
N/A
896
N/A
10 719
+1 096%
1 965
-82%
5 658
+188%
22 162
+292%
21 593
-3%
34 018
+58%
44 229
+30%
(3 230)
N/A
(160)
+95%
32 941
N/A
16 223
-51%
(5 431)
N/A
(24 131)
-344%
(16 080)
+33%
(2 155)
+87%

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