Consolidated cash flow statement

(1,000 yen)

  2023/03 2024/03 2025/03
Net cash provided by (used in) operating activities 955,886 142,546 3,047,307
Net cash provided by (used in) investment activities -622,780 -947,020 -792,765
Net cash provided by (used in) financing activities -404,491 -309,613 -301,844
Translation adjustments for cash and cash equivalents 5,432 -58,987 -96,775
Net increase (decrease) for cash and cash equivalents -65,952 -1,173,074 1,855,921
Beginning balance for cash and cash equivalents 9,581,283 9,515,331 8,342,257
Increase/decrease in cash and cash equivalents due to change in scope of consolidation
Final balance for cash and cash equivalents 9,515,331 8,342,257 10,198,179

Consolidated cash flow statement for Three Years (Excel:12KB)