Consolidated Statements of Cash Flows

[Unit: Million yen]

FY2021 FY2022 FY2023
Cash flows from operating activities:
Profit 14,836 55,290 27,310
Depreciation and amortization 76,998 77,374 80,982
Impairment losses 728 4,606 1,007
Finance income and finance costs 2,172 7,312 11,590
Share of loss (profit) of investments accounted for using equity method 14,410 (3,314) (11,358)
Loss (gain) on sale of fixed assets (554) 1,042 2,050
Income tax expense 12,834 15,058 4,670
Increase (decrease) in retirement benefit liability 4,778 1,281 (196)
Decrease (increase) in trade and other receivables (38,213) (59,334) (186,486)
Decrease (increase) in contract assets 39,412 (50,292) 22,725
Decrease (increase) in inventories (37,984) (64,217) 9,903
Increase (decrease) in trade and other payables (11,848) 42,213 43,585
Decrease (increase) in advance payment (31,707) (28,508) 8,632
Increase (decrease) in contract liabilities 92,072 (3,730) 1,057
Increase (decrease) in refund liabilities NA* 1,648 61,004
Increase (decrease) in provisions NA* (4,028) 10,084
Increase (decrease) in other current assets NA* (3,168) (6,879)
Increase (decrease) in other current liabilities 40,939 43,231 (19,070)
Other (8,122) 5,962 1,685
Subtotal 170,751 43,975 62,298
Interest received 1,755 3,328 8,504
Dividends received 865 332 364
Interest paid (4,318) (5,005) (8,110)
Income taxes paid (12,164) (19,013) (31,393)
Net cash provided by (used in) operating activities 156,890 23,617 31,662
Cash flows from investing activities:
Purchase of property, plant and equipment (58,943) (58,943) (80,063)
Proceeds from sales of property, plant and equipment 2,929 2,180 2,669
Purchase of intangible assets (8,700) (11,001) (16,480)
Proceeds from sales of intangible assets NA* 29 80
Payments for equity method investment and purchase of other financial assets (2,042) (6,702) (949)
Proceeds from equity method investment and sale of other financial assets 6,347 160 1,124
Payments for acquisition of subsidiaries - (648) (20)
Decrease due to loss of control over subsidiaries - (3,224) (92)
Proceeds from acquisition of subsidiaries 489 - -
Other 1,522 722 3,918
Net cash provided by (used in) investing activities (58,397) (77,458) (89,814)
Cash flows from financing activities:
Net increase (decrease) in short-term borrowings 74,247 36,664 80,229
Repayments of lease liabilities (13,436) (14,545) (16,526)
Proceeds from long-term borrowings 15,500 18,500 31,582
Repayments of long-term borrowings (17,001) (21,987) (23,041)
Proceeds from issuance of bonds 10,000 9,000 10,000
Redemption of bonds (30,000) (20,000) (40,000)
Dividends paid (3,384) (8,383) (13,415)
Proceeds from fluidity of lease receivables 62,749 130,662 103,482
Repayment of payables under fluidity lease receivables (56,186) (37,861) (105,343)
Dividends paid to non-controlling interests (913) (964) (1,022)
Payments for acquisition of subsidiary shares not resulting in change in scope of consolidation NA* (11) (1,563)
Other (1,983) (5,777) (11,470)
Net cash provided by (used in) financing activities (108,904) 85,305 12,911
Effect of exchange rate change on cash and cash equivalents (3,244) (1,556) (9,027)
Net increase (decrease) in cash and cash equivalents (13,654) 29,909 (54,267)
Cash and cash equivalents at beginning of period 122,166 108,511 138,420
Cash and cash equivalents at end of period 108,511 138,420 84,153

* Below the disclosure standard

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