Quarterly Consolidated Statement Of Cash Flows

TEAR Corporation - Filing #7580003

Concept 2021-10-01 to
2022-09-30
As at
2022-09-30
As at
2021-09-30
2020-10-01 to
2021-09-30
As at
2020-09-30
Quarterly consolidated statement of cash flows
Statement of cash flows
Cash flows from operating activities
Subtotal
1,795,000,000 JPY
1,546,000,000 JPY
Interest and dividends received
0 JPY
0 JPY
Interest paid
-24,000,000 JPY
-24,000,000 JPY
Income taxes paid
-417,000,000 JPY
-150,000,000 JPY
Net cash provided by (used in) operating activities
1,353,000,000 JPY
1,370,000,000 JPY
Cash flows from investing activities
Purchase of property, plant and equipment
-885,000,000 JPY
-615,000,000 JPY
Proceeds from sale of property, plant and equipment
JPY
6,000,000 JPY
Other, net
-51,000,000 JPY
-57,000,000 JPY
Net cash provided by (used in) investing activities
-906,000,000 JPY
-688,000,000 JPY
Cash flows from financing activities
Proceeds from short-term borrowings
1,550,000,000 JPY
1,161,000,000 JPY
Repayments of short-term borrowings
-1,701,000,000 JPY
-1,692,000,000 JPY
Proceeds from long-term borrowings
755,000,000 JPY
610,000,000 JPY
Repayments of long-term borrowings
-458,000,000 JPY
-467,000,000 JPY
Proceeds from issuance of bonds
98,000,000 JPY
JPY
Dividends paid
-447,000,000 JPY
-448,000,000 JPY
Other, net
-3,000,000 JPY
-14,000,000 JPY
Net cash provided by (used in) financing activities
-237,000,000 JPY
-879,000,000 JPY
Effect of exchange rate change on cash and cash equivalents
3,000,000 JPY
0 JPY
Net increase (decrease) in cash and cash equivalents
213,000,000 JPY
-196,000,000 JPY
Cash and cash equivalents
3,080,000,000 JPY
2,867,000,000 JPY
3,063,000,000 JPY

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