Central Security Patrols Co Ltd
TSE:9740

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Central Security Patrols Co Ltd
TSE:9740
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Price: 2 927 JPY 1.18% Market Closed
Market Cap: 42.7B JPY
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Cash Flow Statement

Cash Flow Statement
Central Security Patrols Co Ltd

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Cash Flow Statement
Currency: JPY
May-2006 Nov-2006 May-2007 Nov-2007 May-2008 Nov-2008 May-2009 Nov-2009 May-2010 Aug-2010 Nov-2010 Feb-2011 May-2011 Aug-2011 Nov-2011 Feb-2012 Aug-2012 Feb-2013 Aug-2013 Feb-2014 Aug-2014 Feb-2015 Aug-2015 Feb-2016 Aug-2016 Feb-2017 Aug-2017 Feb-2018 Aug-2018 Feb-2019 Aug-2019 Feb-2020 Aug-2020 Feb-2021 Aug-2021 Feb-2022 Aug-2022 Feb-2023 Aug-2023 Feb-2024 Aug-2024
Operating Cash Flow
Net Income
164
411
117
121
31
187
(190)
(586)
(69)
220
22
435
1 171
1 135
999
920
1 178
1 222
1 302
1 284
1 219
1 308
2 944
2 623
1 718
2 014
1 770
2 225
3 139
3 596
3 861
4 628
5 213
4 989
5 417
5 837
4 630
4 270
9 014
8 329
4 498
Depreciation & Amortization
4
22
21
87
35
76
(43)
(136)
(10)
299
(23)
315
1 310
1 356
1 397
1 432
1 398
1 412
1 463
1 481
1 469
1 506
1 613
1 683
1 703
1 792
1 913
1 995
2 040
2 048
2 134
2 227
2 375
2 725
2 873
2 829
2 758
2 641
2 549
2 499
2 599
Other Non-Cash Items
(24)
183
56
133
48
155
52
(120)
(15)
(657)
(39)
(598)
212
219
236
83
(40)
(60)
(106)
19
4
(86)
(1 450)
(1 415)
20
(102)
(77)
(175)
(141)
228
210
(42)
(176)
(29)
(205)
(380)
11
25
(4 596)
(3 525)
348
Cash Taxes Paid
80
231
43
105
8
55
72
(83)
(64)
(80)
(40)
(55)
602
605
556
556
439
512
543
537
583
605
637
635
619
679
723
714
747
862
1 305
1 515
1 492
1 579
1 501
1 556
1 819
1 709
1 450
1 521
4 262
Cash Interest Paid
(1)
(5)
(1)
3
(8)
(7)
5
(5)
1
18
4
21
79
79
89
87
84
80
76
72
68
75
83
82
85
110
129
129
132
129
116
103
101
99
94
86
78
69
58
51
46
Change in Working Capital
(1)
(133)
(490)
(397)
(80)
451
582
(129)
166
(199)
227
395
(421)
(257)
377
37
67
(391)
(28)
(222)
180
928
(1 127)
(1 606)
(830)
(403)
(541)
(1 745)
(1 822)
(582)
(527)
(1 610)
(1 959)
(840)
(1 918)
(1 451)
(976)
(1 754)
(1 056)
(1 990)
(4 285)
Cash from Operating Activities
143
N/A
483
+237%
(296)
N/A
(57)
+81%
33
N/A
868
+2 547%
401
-54%
(971)
N/A
72
N/A
(337)
N/A
187
N/A
548
+193%
2 273
+315%
2 452
+8%
3 008
+23%
2 472
-18%
2 603
+5%
2 183
-16%
2 631
+21%
2 562
-3%
2 872
+12%
3 657
+27%
1 979
-46%
1 285
-35%
2 610
+103%
3 301
+26%
3 065
-7%
2 301
-25%
3 215
+40%
5 290
+65%
5 679
+7%
5 203
-8%
5 453
+5%
6 844
+26%
6 167
-10%
6 835
+11%
6 424
-6%
5 183
-19%
5 912
+14%
5 312
-10%
3 161
-40%
Investing Cash Flow
Capital Expenditures
41
(432)
(18)
178
(100)
52
(109)
5
89
(185)
72
(147)
(3 870)
(3 900)
(4 117)
(4 221)
(2 111)
(1 800)
(1 002)
(1 150)
(1 235)
(1 170)
(1 277)
(1 427)
(1 802)
(1 508)
(1 334)
(2 112)
(2 803)
(2 661)
(2 312)
(2 850)
(4 954)
(4 845)
(2 404)
(1 627)
(1 418)
(1 595)
(1 959)
(2 335)
(2 594)
Other Items
18
258
632
332
(516)
(857)
(64)
(55)
(112)
(728)
(384)
296
29
580
651
(31)
54
318
(2)
(209)
171
(27)
(475)
(267)
376
(704)
(1 110)
98
131
200
114
(161)
220
405
610
(400)
(13)
807
8 801
8 661
(177)
Cash from Investing Activities
58
N/A
(175)
N/A
615
N/A
510
-17%
(615)
N/A
(805)
-31%
(173)
+79%
(50)
+71%
(23)
+53%
(913)
-3 801%
(312)
+66%
149
N/A
(3 841)
N/A
(3 320)
+14%
(3 466)
-4%
(4 252)
-23%
(2 056)
+52%
(1 482)
+28%
(1 004)
+32%
(1 359)
-35%
(1 064)
+22%
(1 197)
-13%
(1 752)
-46%
(1 694)
+3%
(1 426)
+16%
(2 212)
-55%
(2 445)
-11%
(2 014)
+18%
(2 672)
-33%
(2 461)
+8%
(2 198)
+11%
(3 011)
-37%
(4 734)
-57%
(4 440)
+6%
(1 794)
+60%
(2 026)
-13%
(1 432)
+29%
(788)
+45%
6 842
N/A
6 326
-8%
(2 771)
N/A
Financing Cash Flow
Net Issuance of Common Stock
(0)
(35)
(0)
33
0
0
0
(17)
0
(0)
18
18
(47)
(47)
(47)
(47)
(0)
(0)
(0)
(1)
(16)
(16)
(1)
(1)
(2)
(1)
(1)
(1)
(2)
(2)
(1)
(2)
(2)
(1)
(1)
(1)
(1)
(1)
28
28
(21)
Net Issuance of Debt
0
150
0
0
0
0
267
267
(240)
(302)
(247)
(461)
1 508
1 460
1 354
1 424
(537)
(583)
(604)
(637)
(639)
(633)
(445)
(402)
(406)
564
(227)
(288)
(263)
(1 485)
(578)
1 046
1 917
(28)
(2 444)
(2 820)
(2 333)
(2 598)
(2 266)
(1 632)
(1 788)
Cash Paid for Dividends
0
0
(147)
(220)
76
58
(22)
(22)
0
0
1
1
(404)
(404)
(403)
(403)
(403)
(403)
(403)
(403)
(403)
(402)
(405)
(409)
(482)
(482)
(438)
(438)
(438)
(496)
(554)
(584)
(585)
(585)
(658)
(702)
(702)
(731)
(731)
(804)
(876)
Other
(2)
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(0)
(2)
(5)
(4)
(0)
(9)
(15)
(9)
(13)
(28)
(33)
(50)
(50)
(58)
(61)
(104)
(135)
(500)
(460)
(61)
Cash from Financing Activities
(2)
N/A
117
N/A
(147)
N/A
(187)
-27%
76
N/A
58
-24%
245
+324%
228
-7%
(239)
N/A
(302)
-26%
(228)
+24%
(443)
-94%
1 056
N/A
1 009
-4%
904
-10%
973
+8%
(939)
N/A
(985)
-5%
(1 006)
-2%
(1 040)
-3%
(1 057)
-2%
(1 051)
+1%
(854)
+19%
(817)
+4%
(893)
-9%
81
N/A
(675)
N/A
(742)
-10%
(712)
+4%
(1 995)
-180%
(1 162)
+42%
427
N/A
1 281
+200%
(665)
N/A
(3 161)
-375%
(3 584)
-13%
(3 139)
+12%
(3 465)
-10%
(3 469)
0%
(2 868)
+17%
(2 746)
+4%
Change in Cash
Net Change in Cash
200
N/A
425
+113%
172
-60%
267
+55%
(506)
N/A
121
N/A
473
+290%
(793)
N/A
(191)
+76%
(1 552)
-714%
(353)
+77%
254
N/A
(512)
N/A
142
N/A
446
+215%
(807)
N/A
(393)
+51%
(284)
+28%
621
N/A
162
-74%
751
+363%
1 409
+88%
(627)
N/A
(1 225)
-95%
291
N/A
1 170
+302%
(55)
N/A
(455)
-728%
(170)
+63%
833
N/A
2 319
+178%
2 619
+13%
2 000
-24%
1 739
-13%
1 212
-30%
1 224
+1%
1 853
+51%
930
-50%
9 284
+898%
8 770
-6%
(2 356)
N/A
Free Cash Flow
Free Cash Flow
184
N/A
51
-73%
(314)
N/A
121
N/A
(67)
N/A
920
N/A
291
-68%
(966)
N/A
161
N/A
(522)
N/A
259
N/A
401
+55%
(1 597)
N/A
(1 448)
+9%
(1 109)
+23%
(1 749)
-58%
492
N/A
383
-22%
1 630
+325%
1 412
-13%
1 637
+16%
2 487
+52%
702
-72%
(142)
N/A
808
N/A
1 793
+122%
1 730
-4%
189
-89%
412
+118%
2 629
+538%
3 367
+28%
2 353
-30%
499
-79%
1 999
+300%
3 763
+88%
5 208
+38%
5 005
-4%
3 588
-28%
3 953
+10%
2 977
-25%
567
-81%

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