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Okamura Corp (7994)

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2,271.0 +6.0    +0.26%
20/05 - Closed. Currency in JPY ( Disclaimer )
Type:  Equity
Market:  Japan
ISIN:  JP3192400004 
  • Volume: 113,200
  • Bid/Ask: 2,267.0 / 2,272.0
  • Day's Range: 2,251.0 - 2,287.0
Okamura Corp 2,271.0 +6.0 +0.26%

7994 Cash Flow Statement

 
Featured here, the Cash Flow Statement for Okamura Corp, showing the changes in the company's cash and cash equivalents, broken down to operating, investing and financing activities over each of the last 4 periods (either quarterly or annually).
AnnualQuarterly
Advanced Cash Flow Statement
Period Ending: 2024
31/03
2023
31/12
2023
30/09
2023
30/06
Period Length: 0 Months 0 Months 0 Months 0 Months
Net Income/Starting Line 10841 3767 6223 8726
Cash From Operating Activities 5926 2835 9122 3468
Depreciation/Depletion 1746 1686 1556 1544
Amortization - - - -
Deferred Taxes - - - -
Non-Cash Items 509 -3921 -1767 -6590
Cash Receipts - - - -
Cash Payments - - - -
Cash Taxes Paid - 3853 149 4372
Cash Interest Paid 39 45 24 44
Changes in Working Capital -7170 1303 3110 -212
Cash From Investing Activities -5396 -3343 -3190 -319
Capital Expenditures -4432 -2816 -4890 -3630
Other Investing Cash Flow Items, Total -964 -527 1700 3311
Cash From Financing Activities -2434 -2033 -1899 -1834
Financing Cash Flow Items -271 -76 -110 -209
Total Cash Dividends Paid -436 -3649 -333 -2776
Issuance (Retirement) of Stock, Net - - -1 -
Issuance (Retirement) of Debt, Net -1727 1692 -1455 1151
Foreign Exchange Effects 180 -61 57 6
Net Change in Cash -2098 -2427 4307 1434
Beginning Cash Balance 41271 43442 39234 37857
Ending Cash Balance 39173 41015 43541 39291
Free Cash Flow 1745.38 -1233 4529.62 -2102.88
Free Cash Flow Growth 241.56 -127.22 315.4 -383.93
Free Cash Flow Yield 0.538 -0.153 1.8 -0.22
* In Millions of JPY (except for per share items)
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View advanced insights on the cash flow statement, including growth rates and metrics that provide an in-depth view of the company's historical and forecasted financial performance.

 
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