2019/03 2020/03 2021/03 2022/03 2023/03
Cash Flows from Operating Activities 12,9325,96522,06223,8371,000
2019/03 2020/03 2021/03 2022/03 2023/03
Cash Flows from Investing Activities -13,952-6,116-5,191-8,990-8,421
2019/03 2020/03 2021/03 2022/03 2023/03
Cash Flows from Financing Activities 5,443-6,375-8,282-10,346-2,174
2019/03 2020/03 2021/03 2022/03 2023/03
Cash and Cash Equivalents at the End of Period 41,29034,60543,62449,00640,036

Caution

  • These data are prepared based on the financial results reports.

  • The frequency of updates may change in accordance with changes to the format of the financial results reports.

  • Please see the financial results reports and other materials for detailed information regarding the settlement of accounts.

  • The contents of these data will not immediately reflect corrections to the financial results reports when announced.

  • While we pay due caution to the conversion of data for the posting, please note that there is a possibility that errors may occur in the information due to uncontrollable circumstances, such as the unauthorized alteration of contents by a third party or mechanical defects resulting from equipment malfunction.

  • Service provided by Nomura Investor Relations Co., Ltd.

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