(FY)May 31, 2024 | (FY)May 31, 2023 | (FY)May 31, 2022 | |
---|---|---|---|
Operating cash flow (Indirect Method) | |||
Cash from operating activities | 29.63%234.09M | -20.77%180.58M | 227.93M |
Net profit before non-cash adjustment | -13.94%93.23M | -3.32%108.33M | --112.04M |
Total adjustment of non-cash items | -13.25%96.31M | 27.80%111.02M | --86.87M |
-Depreciation and amortization | -19.36%69.86M | 5.42%86.63M | --82.18M |
-Disposal profit | --0 | 100.92%54K | ---5.9M |
-Other non-cash items | 8.71%26.45M | 129.85%24.33M | --10.58M |
Changes in working capital | 214.94%44.55M | -233.55%-38.76M | --29.02M |
-Change in receivables | ---- | ---- | --994K |
-Change in inventory | 160.91%31.38M | -213.14%-51.51M | --45.53M |
-Change in payables | -75.62%2.41M | 193.76%9.87M | ---10.53M |
-Provision for loans, leases and other losses | -170.59%-240K | 157.14%340K | ---595K |
-Changes in other current assets | 265.03%10.95M | 157.46%3M | ---5.22M |
-Changes in other current liabilities | 112.01%55K | 60.38%-458K | ---1.16M |
Dividends paid (cash flow from operating activities) | |||
Dividends received (cash flow from operating activities) | |||
Interest paid (cash flow from operating activities) | -4.96%-21.46M | -21.84%-20.45M | -16.78M |
Interest received (cash flow from operating activities) | |||
Tax refund paid | 39.40%-29.88M | -37,541.22%-49.31M | -131K |
Other operating cash inflow (outflow) | -84.08%888K | -27.51%5.58M | 7.69M |
Operating cash flow | 57.76%183.63M | -46.78%116.4M | --218.71M |
Investing cash flow | |||
Net PPE purchase and sale | 45.68%-75.02M | 19.67%-138.12M | ---171.94M |
Net investment product transactions | 245.44%27.6M | -10.35%-18.98M | ---17.2M |
Repayment of advance payments to other parties and cash income from loans | 9.97%1.27M | -5.10%1.15M | --1.22M |
Net changes in other investments | -115.90%-4.37M | 280.75%27.47M | --7.21M |
Investing cash flow | 60.68%-50.52M | 28.90%-128.48M | ---180.71M |
Financing cash flow | |||
Net issuance payments of debt | -89.73%25.89M | 366.37%252.02M | --54.04M |
Net other fund-raising expenses | 15.53%-8.93M | 20.12%-10.57M | ---13.23M |
Financing cash flow | -92.97%16.96M | 491.71%241.45M | --40.81M |
Net cash flow | |||
Beginning cash position | 29.38%1.01B | 11.23%780.66M | --701.85M |
Current changes in cash | -34.57%150.08M | 191.06%229.37M | --78.81M |
Cash adjustments other than cash changes | --1K | ---- | --1K |
End cash Position | 14.86%1.16B | 29.38%1.01B | --780.66M |
Free cash flow | 590.68%108.61M | -154.29%-22.14M | --40.77M |
Currency Unit | JPY | JPY | JPY |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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