Material Group Inc

156A.T · JPX
Analyze with AI
8/31/2025
8/31/2024
8/31/2023
8/31/2022
Operating Activities
Net Income¥754¥710¥438¥208
Dep. & Amort.¥121¥96¥82¥81
Deferred Tax¥0¥0¥0¥0
Stock-Based Comp.¥33¥0¥0¥0
Change in WC-¥70¥230-¥27¥42
Other Non-Cash-¥143-¥49¥44¥15
Operating Cash Flow¥694¥987¥536¥347
Investing Activities
PP&E Inv.-¥23-¥43-¥50-¥52
Net Acquisitions-¥12-¥104-¥61¥0
Inv. Purchases¥0¥0-¥100-¥5
Inv. Sales/Matur.¥6¥0¥0¥0
Other Inv. Act.-¥30-¥30¥1¥4
Investing Cash Flow-¥58-¥177-¥211-¥53
Financing Activities
Debt Repay.-¥116-¥150-¥546-¥83
Stock Issued¥55¥61¥1¥0
Stock Repurch.-¥192-¥178¥0¥0
Dividends Paid-¥244¥0¥0¥0
Other Fin. Act.-¥0-¥35-¥15-¥6
Financing Cash Flow-¥497-¥303-¥561-¥89
Forex Effect-¥0-¥0¥0¥0
Net Chg. in Cash¥139¥508-¥236¥205
Supplemental Information
Beg. Cash¥1,123¥615¥851¥646
End Cash¥1,261¥1,123¥615¥851
Free Cash Flow¥649¥968¥486¥295
Material Group Inc (156A.T) Financial Statements & Key Stats | AlphaPilot