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Cash Flowのグラフ

(100 million yen)

  Fiscal Year Ended March 2021 Fiscal Year Ended March 2022 Fiscal Year Ended March 2023 Fiscal Year Ended March 2024
Operating C/F Ordinary profit 126 392 481 450
Depreciation expenses 259 268 261 265
Changes in working funds Accounts receivable -79 -239 -80 48
Accounts payable -8 -28 -59 -65
Inventory 83 -509 -257 58
  -4 -776 -396 41
Taxes and others -43 -51 -120 -170
  338 -167 226 586
Investment C/F Capital investments (tangible fixed assets) -278 -191 -215 -272
Others -16 45 14 440
  -294 -146 -201 168
Free cash flow 44 -313 25 754

IFRS (FY2023 and after)

(100 million yen)

  FY2023 FY2024
Operating C/F Pre-tax profit 451 427
Depreciation expenses 298 303
Changes in working funds Accounts receivable and others -125 236
Accounts payable and others -16 -55
Inventory 69 -84
  -72 97
Taxes and others -175 -292
  502 535
Investment C/F Capital investments (tangible and intangible fixed assets) -324 -416
Others 460 260
  136 -156
Free cash flow 638 379

(Note)

  1. We adopted International Financial Reporting Standards (IFRS) starting with the Securities Report for the fiscal year ended in March 2024.