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Company Selected - Tokyo Tatemono Co. Ltd. - Cashflow Statement















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Fiscal Year is From January To December - All Figures are in JPY, Thousands06/30/202503/31/202512/31/202409/30/2024View Chart

Hid Net Income

54,739,00068,568,00065,882,00051,550,000

Hid Depreciation

- - - 5,481,000.00

Hid Stock Based Compensation

- - - -

Hid Other Non-Cash Items

-54,739,000-68,568,000-65,882,000-46,069,000

Hid [-] Change In Working Capital

- - - -

HidHid Change Receivables

- - - -

HidHid Change To Inventory

- - - -

HidHid Change To Liabilities

- - - -

HidHid Change In Other Working Capital

- - - -

Hid Cash Flows Other Operating

- - - -

[-] Total Cash From Operating Activities

- - - 10,962,000.00

Hid Capital Expenditures

0.00.00.00.0

Hid Investments

- - - -

Hid Other Cashflows From Investing Activities

- - - -

[-] Total Cashflows From Investing Activities

- - - -

Hid Net Borrowings

- - - -

Hid (+)Sale or (-)Purchase Of Stock

- - - -

Hid Dividends Paid

- - - -

Hid Other Cashflows From Financing Activities

- - - -

[-] Total Cashflows From Financing Activities

- - - -

Hid Begin Period CashFlow

- 111,139,000 - -

Hid Exchange Rate Changes

- - - -

Hid Change In Cash

- - - -

[-] End Period Cash Flow

- - 111,139,000 -

Free Cash Flow to the Firm (FCFF)

- - - 12,348,807.10

Free Cash Flow to Equity (FCFE)

- - - -