MarkLines Co., Ltd.

3901.T · JPX
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income¥1,578¥1,383¥1,623¥1,260
Dep. & Amort.¥52¥27¥28¥43
Deferred Tax¥0¥0¥0¥0
Stock-Based Comp.¥0¥0¥0¥0
Change in WC-¥23¥298¥102¥109
Other Non-Cash-¥66¥76-¥364-¥331
Operating Cash Flow¥1,541¥1,785¥1,388¥1,081
Investing Activities
PP&E Inv.-¥634-¥283-¥367-¥11
Net Acquisitions¥0¥0¥0¥63
Inv. Purchases¥0-¥310¥0¥0
Inv. Sales/Matur.¥73¥60¥0¥0
Other Inv. Act.-¥3-¥68-¥1-¥26
Investing Cash Flow-¥564-¥601-¥369¥26
Financing Activities
Debt Repay.¥0¥0¥0¥0
Stock Issued¥3¥0¥1¥4
Stock Repurch.-¥0-¥0¥0-¥0
Dividends Paid-¥476-¥384-¥304-¥277
Other Fin. Act.¥0¥0¥0¥25
Financing Cash Flow-¥473-¥384-¥302-¥248
Forex Effect¥36¥26¥27-¥209
Net Chg. in Cash¥539¥826¥744¥650
Supplemental Information
Beg. Cash¥5,521¥4,695¥3,952¥3,302
End Cash¥6,061¥5,521¥4,695¥3,952
Free Cash Flow¥906¥1,466¥1,021¥1,070