Mitsubishi HC Capital Inc
TSE:8593

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Mitsubishi HC Capital Inc Logo
Mitsubishi HC Capital Inc
TSE:8593
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Price: 1 012 JPY Market Closed
Market Cap: 1.5T JPY
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Cash Flow Statement

Cash Flow Statement
Mitsubishi HC Capital Inc

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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
10 885
5 224
16 260
9 257
13 683
53 584
62 049
65 533
62 465
61 309
66 895
69 638
76 445
86 347
90 100
89 480
86 471
88 696
88 267
86 647
93 555
101 981
99 097
80 727
83 217
131 251
147 250
145 576
153 164
142 550
167 676
Depreciation & Amortization
7 559
3 697
23 916
10 186
30 742
83 563
85 682
81 243
75 154
80 565
89 214
91 151
96 125
110 323
123 290
122 836
119 928
123 460
128 319
128 945
134 153
138 095
139 624
144 397
151 807
237 805
328 687
342 530
350 106
351 056
349 317
Other Non-Cash Items
(28 151)
974
30 175
24 313
43 172
58 387
80 813
98 320
72 110
76 360
96 447
82 911
86 573
161 655
177 616
112 526
124 528
142 015
161 249
117 496
97 322
184 428
162 867
99 181
99 442
103 584
216 796
299 747
271 807
274 009
389 047
Cash Taxes Paid
(11 288)
4 305
5 368
3 522
4 335
22 273
25 111
25 746
29 500
24 371
20 354
23 498
26 159
30 082
30 225
22 301
17 920
22 167
24 494
22 501
23 146
21 523
20 590
26 096
22 335
30 089
36 505
37 815
53 800
22 888
7 852
Cash Interest Paid
(4 072)
(1 702)
4 570
(4 855)
560
21 351
20 287
20 305
20 853
24 299
27 619
27 951
30 052
36 828
41 285
38 897
38 281
41 722
46 066
47 534
49 901
57 210
63 864
65 671
64 466
72 624
83 076
98 767
139 042
184 116
216 901
Change in Working Capital
75 986
57 778
76 390
131 538
151 152
(25 498)
(140 604)
(180 294)
(270 714)
(324 708)
(294 332)
(258 539)
(315 264)
(416 148)
(427 827)
(381 139)
(551 110)
(591 130)
(425 416)
(464 867)
(563 595)
(722 797)
(653 493)
(360 212)
(135 072)
93 981
(179 894)
(644 804)
(728 221)
(714 016)
(955 167)
Cash from Operating Activities
66 279
N/A
67 673
+2%
146 741
+117%
175 294
+19%
238 749
+36%
170 036
-29%
87 940
-48%
64 802
-26%
(60 985)
N/A
(106 474)
-75%
(41 776)
+61%
(14 839)
+64%
(56 121)
-278%
(57 823)
-3%
(36 821)
+36%
(56 297)
-53%
(220 183)
-291%
(236 959)
-8%
(47 581)
+80%
(131 779)
-177%
(238 565)
-81%
(298 293)
-25%
(251 905)
+16%
(35 907)
+86%
199 394
N/A
566 621
+184%
512 839
-9%
143 049
-72%
46 856
-67%
53 599
+14%
(49 127)
N/A
Investing Cash Flow
Capital Expenditures
(933)
607
(253)
2 311
49
(4 847)
(3 421)
(2 972)
(3 262)
(3 085)
(2 654)
(2 263)
(2 536)
(3 046)
(2 695)
(2 716)
(2 806)
(3 518)
(4 548)
(4 840)
(6 494)
(6 321)
(4 330)
(3 291)
(2 648)
(6 390)
(9 623)
(8 849)
(8 793)
(8 130)
(7 532)
Other Items
15 808
(5 114)
(2 942)
(1 863)
(4 635)
(6 298)
(4 211)
2 475
(99 110)
(89 489)
11 393
(6 256)
(28 917)
(23 502)
(2 410)
503
(26 059)
(53 202)
(27 414)
(14 142)
(27 569)
(39 189)
(28 658)
(63 346)
3 868
77 075
(98 256)
(172 054)
(118 529)
(41 677)
150 868
Cash from Investing Activities
14 875
N/A
(4 507)
N/A
(3 195)
+29%
448
N/A
(4 586)
N/A
(11 145)
-143%
(7 632)
+32%
(497)
+93%
(102 372)
-20 498%
(92 574)
+10%
8 739
N/A
(8 519)
N/A
(31 453)
-269%
(26 548)
+16%
(5 105)
+81%
(2 213)
+57%
(28 865)
-1 204%
(56 720)
-97%
(31 962)
+44%
(18 982)
+41%
(34 063)
-79%
(45 510)
-34%
(32 988)
+28%
(66 637)
-102%
1 220
N/A
70 685
+5 694%
(107 879)
N/A
(180 903)
-68%
(127 322)
+30%
(49 807)
+61%
143 336
N/A
Financing Cash Flow
Net Issuance of Common Stock
(33 288)
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 Issuance of Debt
(125 284)
(33 551)
(114 852)
(137 137)
(170 612)
(146 348)
(61 020)
(23 433)
189 869
215 830
84 668
77 608
72 965
97 737
60 296
111 269
246 907
307 706
160 402
143 852
314 263
444 751
729 359
414 151
(343 320)
(242 022)
(141 748)
29 997
34 240
(144 308)
(160 380)
Cash Paid for Dividends
(464)
(90)
(90)
(179)
(179)
(4 477)
(4 567)
(5 350)
(5 775)
(5 775)
(5 998)
(7 109)
(7 776)
(8 443)
(9 423)
(10 937)
(11 872)
(11 563)
(12 677)
(16 018)
(17 802)
(20 923)
(23 601)
(22 273)
(22 501)
(22 389)
(29 693)
(40 209)
(43 087)
(47 401)
(51 723)
Other
21
(163)
(284)
(93)
(353)
(382)
(3 043)
(3 235)
(534)
(542)
(941)
(436)
195
(152)
(137)
(167)
(127)
(807)
(114)
4 231
3 291
(67 094)
(153 438)
(156 879)
(6 987)
(281 415)
(20 716)
185 687
(101)
(414)
(10 874)
Cash from Financing Activities
(159 015)
N/A
(33 804)
+79%
(115 226)
-241%
(137 409)
-19%
(171 144)
-25%
(151 207)
+12%
(68 630)
+55%
(32 018)
+53%
183 560
N/A
209 513
+14%
77 729
-63%
70 063
-10%
65 384
-7%
89 142
+36%
50 736
-43%
100 165
+97%
234 908
+135%
295 336
+26%
147 611
-50%
132 065
-11%
299 752
+127%
356 734
+19%
552 320
+55%
234 999
-57%
(372 808)
N/A
(545 826)
-46%
(192 157)
+65%
175 475
N/A
(8 948)
N/A
(192 123)
-2 047%
(222 977)
-16%
Change in Cash
Effect of Foreign Exchange Rates
439
(232)
(299)
(135)
(170)
(127)
(96)
62
985
2 560
2 893
175
4 422
6 063
(512)
(8 731)
(1 667)
5 384
(3 207)
(3 232)
(758)
(746)
1 670
325
2 818
9 471
21 066
62 004
29 816
(8 723)
3 589
Net Change in Cash
(77 422)
N/A
29 130
N/A
28 021
-4%
38 198
+36%
62 849
+65%
7 557
-88%
11 582
+53%
32 349
+179%
21 188
-35%
13 025
-39%
47 585
+265%
46 880
-1%
(17 768)
N/A
10 834
N/A
8 298
-23%
32 924
+297%
(15 807)
N/A
7 041
N/A
64 861
+821%
(21 928)
N/A
26 366
N/A
12 185
-54%
269 097
+2 108%
132 780
-51%
(169 376)
N/A
100 951
N/A
233 869
+132%
199 625
-15%
(59 598)
N/A
(197 054)
-231%
(125 179)
+36%
Free Cash Flow
Free Cash Flow
65 346
N/A
68 280
+4%
146 488
+115%
177 605
+21%
238 798
+34%
165 189
-31%
84 519
-49%
61 830
-27%
(64 247)
N/A
(109 559)
-71%
(44 430)
+59%
(17 102)
+62%
(58 657)
-243%
(60 869)
-4%
(39 516)
+35%
(59 013)
-49%
(222 989)
-278%
(240 477)
-8%
(52 129)
+78%
(136 619)
-162%
(245 059)
-79%
(304 614)
-24%
(256 235)
+16%
(39 198)
+85%
196 746
N/A
560 231
+185%
503 216
-10%
134 200
-73%
38 063
-72%
45 469
+19%
(56 659)
N/A

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