JAPAN Creative Platform Group Co., Ltd. (TYO:7814)
642.00
+16.00 (2.56%)
Mar 10, 2026, 3:30 PM JST
TYO:7814 Cash Flow Statement
Financials in millions JPY. Fiscal year is January - December.
Millions JPY. Fiscal year is Jan - Dec.
Fiscal Year | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | 2020 - 2016 |
|---|---|---|---|---|---|---|
Period Ending | Dec '25 Dec 31, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 | 2020 - 2016 |
| Net Income | 6,530 | 3,982 | 3,699 | 3,357 | 1,906 | Upgrade
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| Depreciation & Amortization | 2,368 | 2,034 | 2,019 | 1,732 | 1,767 | Upgrade
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| Loss (Gain) From Sale of Assets | -5,662 | 113 | 332 | 34 | 188 | Upgrade
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| Asset Writedown & Restructuring Costs | 1,060 | - | - | - | - | Upgrade
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| Loss (Gain) From Sale of Investments | 406 | 68 | 280 | 94 | 349 | Upgrade
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| Loss (Gain) on Equity Investments | -231 | -179 | -199 | -49 | -31 | Upgrade
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| Other Operating Activities | -921 | -783 | -1,062 | -1,391 | -617 | Upgrade
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| Change in Accounts Receivable | 1,447 | 557 | 207 | -1,189 | -45 | Upgrade
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| Change in Inventory | 394 | -593 | -411 | -613 | 59 | Upgrade
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| Change in Accounts Payable | -194 | -157 | -1,286 | 214 | 248 | Upgrade
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| Change in Other Net Operating Assets | -1,307 | 1,692 | -1,780 | 49 | 850 | Upgrade
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| Operating Cash Flow | 3,890 | 6,734 | 1,799 | 2,238 | 4,674 | Upgrade
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| Operating Cash Flow Growth | -42.23% | 274.32% | -19.62% | -52.12% | 51.46% | Upgrade
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| Capital Expenditures | -7,467 | -1,569 | -3,868 | -1,464 | -3,625 | Upgrade
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| Sale of Property, Plant & Equipment | 8,564 | 220 | 1,609 | 1,027 | 452 | Upgrade
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| Cash Acquisitions | -5,885 | 484 | 254 | -1,940 | -682 | Upgrade
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| Divestitures | - | - | - | - | 479 | Upgrade
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| Sale (Purchase) of Intangibles | -64 | -239 | 489 | -67 | -23 | Upgrade
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| Investment in Securities | -3,551 | -712 | -1,143 | 58 | -1,018 | Upgrade
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| Other Investing Activities | 868 | 399 | 600 | -18 | -31 | Upgrade
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| Investing Cash Flow | -7,947 | -2,529 | -3,534 | -203 | -8,420 | Upgrade
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| Long-Term Debt Issued | 16,700 | - | 11,000 | 2,200 | 9,000 | Upgrade
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| Total Debt Issued | 16,700 | - | 11,000 | 2,200 | 9,000 | Upgrade
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| Short-Term Debt Repaid | -2,000 | - | -2,000 | - | -4,000 | Upgrade
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| Long-Term Debt Repaid | -8,900 | -3,500 | -2,575 | -3,600 | -1,850 | Upgrade
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| Total Debt Repaid | -10,900 | -3,500 | -4,575 | -3,600 | -5,850 | Upgrade
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| Net Debt Issued (Repaid) | 5,800 | -3,500 | 6,425 | -1,400 | 3,150 | Upgrade
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| Repurchase of Common Stock | -631 | -1,736 | - | - | -756 | Upgrade
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| Common Dividends Paid | -1,737 | -617 | -568 | -539 | -519 | Upgrade
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| Other Financing Activities | -465 | -689 | -213 | -1,962 | -386 | Upgrade
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| Financing Cash Flow | 2,967 | -6,542 | 5,644 | -3,901 | 1,489 | Upgrade
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| Foreign Exchange Rate Adjustments | -1 | 1 | 2 | 3 | - | Upgrade
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| Miscellaneous Cash Flow Adjustments | 330 | 213 | 88 | 2 | - | Upgrade
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| Net Cash Flow | -761 | -2,123 | 3,999 | -1,861 | -2,257 | Upgrade
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| Free Cash Flow | -3,577 | 5,165 | -2,069 | 774 | 1,049 | Upgrade
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| Free Cash Flow Growth | - | - | - | -26.21% | -26.95% | Upgrade
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| Free Cash Flow Margin | -4.11% | 6.45% | -2.76% | 1.20% | 1.92% | Upgrade
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| Free Cash Flow Per Share | -76.14 | 105.98 | -42.02 | 16.04 | 20.84 | Upgrade
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| Cash Interest Paid | 679 | 257 | 159 | 159 | 157 | Upgrade
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| Cash Income Tax Paid | 1,598 | 884 | 1,232 | 1,482 | 530 | Upgrade
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| Levered Free Cash Flow | - | 5,432 | -5,102 | 786.25 | 1,557 | Upgrade
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| Unlevered Free Cash Flow | - | 5,586 | -5,006 | 886.88 | 1,652 | Upgrade
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| Change in Working Capital | 340 | 1,499 | -3,270 | -1,539 | 1,112 | Upgrade
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Source: S&P Capital IQ. Standard template. Financial Sources.