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Godo Steel Ltd

Godo Steel Ltd

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Cash flow Back to Overview

In millions of JPY
(except for per share items)
Fiscal data as of Mar 31 2024202420232022
OPERATIONS
Net income20,21215,263(1721)
Depreciation/depletion4,4834,0635,185
Non-Cash items(1671)(821)(97)
Cash taxes paid, supplemental5,111200746
Cash interest paid, supplemental500420345
Changes in working capital(5647)(12259)(5960)
Total cash from operations17,8396,708(2131)
INVESTING
Capital expenditures(5379)(5228)(5808)
Other investing and cash flow items, total436364558
Total cash from investing(4943)(4864)(5250)
FINANCING
Financing cash flow items(124)(110)(111)
Total cash dividends paid(4241)(731)(585)
Issuance (retirement) of stock, net(5)(1)(1)
Issuance (retirement) of debt, net(6088)4,33710,233
Total cash from financing(10458)3,4959,536
NET CHANGE IN CASH
Foreign exchange effects1.003.000
Net change in cash2,4395,3422,155
Net cash-begin balance/reserved for future use21,94716,60514,449
Net cash-end balance/reserved for future use24,38721,94716,605
SUPPLEMENTAL INCOME
Depreciation, supplemental4,4834,0635,185
Cash interest paid, supplemental500420345
Cash taxes paid, supplemental5,111200746
Data Provided by LSEG
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