SMS Co., Ltd.

2175.T · JPX
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Operating Activities
Net Income¥6,054,000¥7,227,000¥8,795,000¥7,707,000
Dep. & Amort.¥3,813,000¥3,456,000¥2,896,000¥2,482,000
Deferred Tax¥0¥0-¥3,013,000-¥877,000
Stock-Based Comp.¥0¥0¥126,000¥91,000
Change in WC-¥3,616,000-¥3,321,000-¥264,000¥123,000
Other Non-Cash-¥445,000¥2,411,000-¥36,000¥292,000
Operating Cash Flow¥5,806,000¥9,773,000¥8,504,000¥9,818,000
Investing Activities
PP&E Inv.-¥4,071,000-¥446,000-¥2,914,000-¥2,012,000
Net Acquisitions¥0¥0-¥618,000-¥1,800,000
Inv. Purchases-¥1,000-¥217,000-¥459,000-¥171,000
Inv. Sales/Matur.¥0¥188,000¥227,000¥95,000
Other Inv. Act.¥1,000-¥3,264,000¥1,000¥1,809,000
Investing Cash Flow-¥4,071,000-¥3,739,000-¥3,763,000-¥2,079,000
Financing Activities
Debt Repay.¥1,442,000-¥1,901,000-¥2,013,000-¥3,070,000
Stock Issued¥54,000¥354,000¥8,000¥52,000
Stock Repurch.-¥3,915,000-¥2,000,000¥0¥0
Dividends Paid-¥1,735,000-¥1,307,000-¥915,000-¥849,000
Other Fin. Act.¥6,000-¥166,000-¥123,000-¥120,000
Financing Cash Flow-¥4,148,000-¥5,020,000-¥3,043,000-¥3,987,000
Forex Effect¥301,000¥182,000¥345,000¥229,000
Net Chg. in Cash-¥2,112,000¥1,195,000¥2,044,000¥3,982,000
Supplemental Information
Beg. Cash¥17,366,000¥16,170,000¥14,126,000¥10,144,000
End Cash¥15,253,000¥17,365,000¥16,170,000¥14,126,000
Free Cash Flow¥5,381,000¥6,061,000¥5,590,000¥7,806,000
SMS Co., Ltd. (2175.T) Financial Statements & Key Stats | AlphaPilot