Semi-Annual Consolidated Statement Of Cash Flows

TOTO LTD. - Filing #7256288

Concept As at
2025-03-31
2024-04-01 to
2025-03-31
2023-04-01 to
2024-03-31
As at
2024-03-31
As at
2023-03-31
Semi-annual consolidated statement of cash flows
Statement of cash flows
Cash flows from operating activities
Subtotal
79,130,000,000 JPY
84,625,000,000 JPY
Interest and dividends received
4,165,000,000 JPY
4,291,000,000 JPY
Interest paid
-321,000,000 JPY
-242,000,000 JPY
Income taxes paid
-11,592,000,000 JPY
-12,362,000,000 JPY
Net cash provided by (used in) operating activities
71,381,000,000 JPY
76,311,000,000 JPY
Cash flows from investing activities
Purchase of property, plant and equipment
-44,553,000,000 JPY
-51,130,000,000 JPY
Proceeds from sale of property, plant and equipment
61,000,000 JPY
293,000,000 JPY
Other, net
230,000,000 JPY
186,000,000 JPY
Net cash provided by (used in) investing activities
-38,383,000,000 JPY
-53,790,000,000 JPY
Cash flows from financing activities
Proceeds from issuance of commercial papers
43,200,000,000 JPY
43,200,000,000 JPY
Repayments of long-term borrowings
JPY
-137,000,000 JPY
Redemption of commercial papers
-43,200,000,000 JPY
-43,200,000,000 JPY
Purchase of treasury shares
-9,000,000 JPY
-7,000,000 JPY
Dividends paid
-16,964,000,000 JPY
-16,960,000,000 JPY
Net cash provided by (used in) financing activities
-19,007,000,000 JPY
-18,954,000,000 JPY
Dividends paid to non-controlling interests
-536,000,000 JPY
-542,000,000 JPY
Other, net
-1,497,000,000 JPY
-1,306,000,000 JPY
Effect of exchange rate change on cash and cash equivalents
4,074,000,000 JPY
1,576,000,000 JPY
Net increase (decrease) in cash and cash equivalents
18,065,000,000 JPY
5,142,000,000 JPY
Cash and cash equivalents
120,702,000,000 JPY
102,636,000,000 JPY
97,493,000,000 JPY

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