CareNet, Inc.

2150.T · JPX
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income¥1,140¥1,511¥2,760¥2,449
Dep. & Amort.¥281¥256¥104¥95
Deferred Tax¥0-¥492-¥69¥0
Stock-Based Comp.¥152¥162¥69¥0
Change in WC-¥175-¥68-¥268¥25
Other Non-Cash¥426¥354-¥816-¥812
Operating Cash Flow¥1,824¥1,723¥1,780¥1,757
Investing Activities
PP&E Inv.-¥33-¥56-¥112-¥140
Net Acquisitions-¥34-¥106-¥939-¥23
Inv. Purchases-¥1,668-¥200¥0¥0
Inv. Sales/Matur.¥7¥0¥0¥0
Other Inv. Act.-¥39-¥69-¥17-¥140
Investing Cash Flow-¥1,767-¥431-¥1,067-¥303
Financing Activities
Debt Repay.-¥33-¥14-¥2-¥30
Stock Issued¥0¥0¥0¥3,557
Stock Repurch.-¥1,003¥0-¥0-¥1
Dividends Paid-¥537-¥268-¥267-¥83
Other Fin. Act.-¥0-¥5¥9-¥4
Financing Cash Flow-¥1,574-¥288-¥260¥3,440
Forex Effect¥11¥3¥4¥10
Net Chg. in Cash-¥1,506¥1,006¥456¥4,904
Supplemental Information
Beg. Cash¥8,672¥7,666¥7,210¥2,306
End Cash¥7,166¥8,672¥7,666¥7,210
Free Cash Flow¥1,791¥1,657¥1,668¥1,617