Yaoko Co Ltd
TSE:8279

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Yaoko Co Ltd
TSE:8279
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Price: 9 162 JPY -2.74% Market Closed
Market Cap: 375.2B JPY
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Cash Flow Statement

Cash Flow Statement
Yaoko 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 Dec-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024
Operating Cash Flow
Net Income
471
(104)
415
264
793
285
914
225
(29)
(778)
1 786
249
1 970
11 074
10 205
10 431
10 429
10 546
11 793
13 263
12 887
13 626
13 556
13 690
14 149
15 609
16 292
16 601
17 730
18 062
18 761
23 790
21 089
22 279
0
22 376
38 093
23 479
27 110
25 955
Depreciation & Amortization
(95)
125
29
(132)
(20)
(19)
(95)
49
195
104
869
393
1 315
3 650
3 971
3 781
3 502
3 867
4 285
4 710
5 134
5 504
5 786
6 049
6 335
7 368
8 645
9 275
10 043
10 568
10 772
11 025
11 218
11 581
14 741
12 265
11 841
12 128
12 473
12 655
Other Non-Cash Items
722
86
(536)
(443)
(494)
284
(48)
38
494
481
369
84
430
430
1 069
1 060
915
543
0
367
735
1 063
982
(677)
(350)
729
1 098
1 654
641
418
1 706
1 709
1 919
2 041
0
2 316
2 572
3 170
2 817
3 688
Cash Taxes Paid
29
356
508
(395)
(651)
550
939
(266)
(155)
372
(3 652)
510
510
8 534
5 021
4 875
4 993
4 390
3 860
4 811
5 134
5 000
5 080
4 814
4 913
5 482
6 170
5 746
5 540
6 495
6 848
6 957
6 920
6 905
0
7 205
11 361
8 036
7 939
8 032
Cash Interest Paid
(12)
(22)
(67)
(5)
(15)
(9)
(20)
41
115
(3)
(209)
7
87
595
325
320
295
279
279
268
250
359
474
467
466
529
594
588
573
560
542
525
521
675
0
873
1 341
944
951
948
Change in Working Capital
(659)
(1 754)
(3 951)
808
1 266
(768)
(856)
530
(285)
(285)
656
131
1 167
(4 062)
(5 264)
(5 519)
(6 039)
(2 728)
(219)
(1 522)
(1 006)
(4 096)
(4 719)
(3 589)
(4 329)
(6 615)
(7 422)
(5 530)
(5 444)
(6 342)
(2 021)
(5 322)
(7 331)
(5 742)
0
(6 430)
(13 298)
(5 502)
(5 763)
(5 137)
Cash from Operating Activities
439
N/A
(1 647)
N/A
(4 043)
-145%
497
N/A
1 545
+211%
(218)
N/A
(85)
+61%
842
N/A
375
-55%
(478)
N/A
3 680
N/A
857
-77%
4 882
+470%
11 092
+127%
9 981
-10%
9 753
-2%
8 807
-10%
12 228
+39%
15 859
+30%
16 818
+6%
17 750
+6%
16 097
-9%
15 605
-3%
15 473
-1%
15 805
+2%
17 091
+8%
18 613
+9%
22 000
+18%
22 970
+4%
22 706
-1%
29 218
+29%
31 202
+7%
26 895
-14%
30 159
+12%
22 807
-24%
30 527
+34%
29 204
-4%
33 275
+14%
36 637
+10%
37 161
+1%
Investing Cash Flow
Capital Expenditures
7 296
(582)
962
(182)
(1 192)
23
(265)
(625)
(2 897)
1 141
(1 964)
(1 864)
(3 942)
(12 322)
(10 666)
(11 301)
(13 870)
(27 491)
(27 601)
(18 387)
(20 274)
(15 674)
(14 893)
(16 814)
(24 729)
(24 009)
(23 210)
(30 333)
(21 341)
(16 982)
(20 819)
(16 615)
(21 812)
(32 112)
0
(39 728)
(48 955)
(20 783)
(21 514)
(24 620)
Other Items
12 051
(1 509)
(7 491)
311
(4 769)
(388)
1 129
182
(523)
(37)
1 017
1 977
1 709
1 214
366
8 528
8 032
7 347
7 751
(261)
6 356
6 176
(343)
(318)
1 462
(7 655)
(7 595)
2 889
4 910
3 071
(1 173)
(1 063)
(1 533)
(2 597)
0
(7 181)
(8 416)
10 267
10 672
(2 165)
Cash from Investing Activities
19 347
N/A
(2 091)
N/A
(6 529)
-212%
129
N/A
(5 961)
N/A
(365)
+94%
864
N/A
(443)
N/A
(3 420)
-672%
1 104
N/A
(947)
N/A
113
N/A
(2 233)
N/A
(11 108)
-397%
(10 300)
+7%
(2 773)
+73%
(5 838)
-111%
(20 144)
-245%
(19 850)
+1%
(18 648)
+6%
(13 918)
+25%
(9 498)
+32%
(15 236)
-60%
(17 132)
-12%
(23 267)
-36%
(31 664)
-36%
(30 805)
+3%
(27 444)
+11%
(16 431)
+40%
(13 911)
+15%
(21 992)
-58%
(17 678)
+20%
(23 345)
-32%
(34 709)
-49%
0
N/A
(46 909)
N/A
(57 371)
-22%
(10 516)
+82%
(10 842)
-3%
(26 785)
-147%
Financing Cash Flow
Net Issuance of Common Stock
1
0
(2 052)
0
2 052
0
(2)
0
3
0
(1)
(1)
(1)
0
0
0
(1)
(1)
0
0
(1)
(3)
(3)
0
0
1
0
1
3
0
(1)
5
6
4
0
3
25
22
0
9
Net Issuance of Debt
(14 593)
2 166
6 835
(595)
1 284
785
(183)
(884)
1 217
(495)
209
565
(786)
1 099
516
(3 665)
(951)
8 224
8 521
2 987
(4 895)
(6 591)
(494)
3 987
26 940
23 577
6 795
7 180
(3 459)
5 578
3 874
(10 409)
6 838
39 811
0
19 100
16 462
(4 957)
(4 651)
(4 620)
Cash Paid for Dividends
(59)
(10)
(29)
(630)
(685)
516
477
(19)
(49)
(10)
(10)
(29)
(29)
(1 105)
(1 153)
(1 067)
(1 116)
(1 106)
(1 123)
(1 161)
(1 192)
(1 551)
(1 744)
(1 749)
(1 855)
(1 955)
(2 052)
(2 155)
(2 258)
(2 357)
(2 454)
(2 552)
(2 651)
(3 373)
0
(3 530)
(5 261)
(3 316)
(3 365)
(3 463)
Other
0
0
0
0
0
(16)
(16)
0
0
0
0
0
0
(16)
(17)
(19)
(18)
(18)
(19)
(20)
(17)
1
(1)
(3)
(2)
(5)
(7)
(2)
(1)
(2)
(1)
0
(2)
(3)
0
(2)
(3)
0
0
(1)
Cash from Financing Activities
(14 651)
N/A
2 156
N/A
4 754
+121%
(1 225)
N/A
2 651
N/A
1 285
-52%
276
-79%
(903)
N/A
1 171
N/A
(505)
N/A
198
N/A
535
+170%
(816)
N/A
(22)
+97%
(654)
-2 873%
(4 751)
-626%
(2 086)
+56%
7 099
N/A
7 379
+4%
1 806
-76%
(6 105)
N/A
(8 144)
-33%
(2 242)
+72%
2 235
N/A
25 083
+1 022%
21 618
-14%
4 736
-78%
5 024
+6%
(5 715)
N/A
3 219
N/A
1 418
-56%
(12 956)
N/A
4 191
N/A
36 439
+769%
0
N/A
15 571
N/A
11 223
-28%
(8 251)
N/A
(8 015)
+3%
(8 075)
-1%
Change in Cash
Net Change in Cash
5 135
N/A
(1 582)
N/A
(5 818)
-268%
(599)
+90%
(1 765)
-195%
702
N/A
1 055
+50%
(504)
N/A
(1 874)
-272%
121
N/A
2 931
+2 322%
1 505
-49%
1 833
+22%
(38)
N/A
(973)
-2 461%
2 229
N/A
883
-60%
(817)
N/A
3 388
N/A
(24)
N/A
(2 273)
-9 371%
(1 545)
+32%
(1 873)
-21%
576
N/A
17 621
+2 959%
7 045
-60%
(7 456)
N/A
(420)
+94%
824
N/A
12 014
+1 358%
8 644
-28%
568
-93%
7 741
+1 263%
31 889
+312%
0
N/A
(811)
N/A
(16 944)
-1 989%
14 508
N/A
17 780
+23%
2 301
-87%
Free Cash Flow
Free Cash Flow
7 735
N/A
(2 229)
N/A
(3 081)
-38%
315
N/A
353
+12%
(195)
N/A
(350)
-79%
217
N/A
(2 522)
N/A
663
N/A
1 716
+159%
(1 007)
N/A
940
N/A
(1 230)
N/A
(685)
+44%
(1 548)
-126%
(5 063)
-227%
(15 263)
-201%
(11 742)
+23%
(1 569)
+87%
(2 524)
-61%
423
N/A
712
+68%
(1 341)
N/A
(8 924)
-565%
(6 918)
+22%
(4 597)
+34%
(8 333)
-81%
1 629
N/A
5 724
+251%
8 399
+47%
14 587
+74%
5 083
-65%
(1 953)
N/A
22 807
N/A
(9 201)
N/A
(19 751)
-115%
12 492
N/A
15 123
+21%
12 541
-17%

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