SHIMAMURA Co., Ltd. - Laporan Arus Kas (TTM)

SHIMAMURA Co., Ltd.
US ˙ OTCPK ˙ JP3358200008

Laporan Arus Kas (TTM)

Laporan Arus Kas SHIMAMURA Co., Ltd. menunjukkan perubahan posisi kas dari waktu ke waktu. Data Laporan Arus Kas meliputi Kas dari Aktivitas Operasional (CFOP), Kas dari Aktivitas Investasi, dan Kas dari Aktivitas Pendanaan.

Semua angka adalah kelipatan 1,000,000 kecuali unit per saham.

2020
11-20
2021
02-20
2021
05-20
2021
08-20
2021
11-20
2022
02-20
2022
05-20
2022
08-20
2022
11-20
2023
02-20
2023
05-20
2023
08-20
2023
11-20
2024
02-20
2024
08-20
2024
11-20
2025
02-20
2025
05-20
Cash From Operating Activities 43,560 46,234 57,693 38,746 31,350 37,213 43,156 40,816 38,286 41,552 32,458 46,744 39,975 41,162 44,328 46,217 52,800 45,276
Change (%) 6.14 24.78 -32.84 -19.09 18.70 15.97 -5.42 -6.20 8.53 -21.89 44.01 -14.48 2.97 7.69 4.26 14.24 -14.25
% of Cash Flow -70.61 -63.68 -278.83 165.26 18.91 21.64 27.33 37.63 -1,001.99 119.65 -426.01 192.59 -260.56 -73.61 -143.38 -234.75 117.42 -48,165.96
Cash From Investing Activities -97,756 -111,324 -70,163 -7,095 142,855 143,137 123,534 76,376 -32,959 2,325 -30,535 -12,916 -45,420 -87,198 -64,974 -53,413 4,649 -30,744
Change (%) 13.88 -36.97 -89.89 -2,113.46 0.20 -13.70 -38.17 -143.15 -107.05 -1,413.33 -57.70 251.66 91.98 -25.49 -17.79 -108.70 -761.30
% of Cash Flow 158.46 153.34 339.10 -30.26 86.16 83.25 78.22 70.42 862.58 6.69 400.77 -53.22 296.05 155.93 210.16 271.30 10.34 32,706.38
Cash From Financing Activities -7,367 -7,362 -8,110 -8,099 -8,461 -8,460 -8,819 -8,825 -9,196 -9,198 -9,574 -9,571 -9,941 -9,944 -10,313 -12,516 -12,509 -14,692
Change (%) -0.07 10.16 -0.14 4.47 -0.01 4.24 0.07 4.20 0.02 4.09 -0.03 3.87 0.03 3.71 21.36 -0.06 17.45
% of Cash Flow 11.94 10.14 39.20 -34.54 -5.10 -4.92 -5.58 -8.14 240.67 -26.49 125.66 -39.43 64.80 17.78 33.36 63.57 -27.82 15,629.79
Cash Flow -61,691 -72,601 -20,691 23,445 165,796 171,941 157,926 108,454 -3,821 34,729 -7,619 24,271 -15,342 -55,921 -30,916 -19,688 44,965 -94
Change (%) 17.68 -71.50 -213.31 607.17 3.71 -8.15 -31.33 -103.52 -1,008.90 -121.94 -418.56 -163.21 264.50 -44.71 -36.32 -328.39 -100.21
% of Cash Flow 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00 100.00

Source: Capital IQ

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