Ray Corporation

4317.T · JPX
Analyze with AI
2/28/2025
2/28/2024
2/28/2023
2/28/2022
Operating Activities
Net Income¥746¥1,218¥715¥419
Dep. & Amort.¥522¥458¥468¥514
Deferred Tax¥0¥0¥0¥0
Stock-Based Comp.¥0¥14¥0¥0
Change in WC¥482¥253-¥520-¥593
Other Non-Cash-¥63-¥896¥58¥688
Operating Cash Flow¥1,686¥1,047¥721¥1,028
Investing Activities
PP&E Inv.-¥843-¥662-¥178-¥89
Net Acquisitions¥0¥0¥0¥0
Inv. Purchases-¥7-¥27-¥15-¥26
Inv. Sales/Matur.¥17¥29¥24¥42
Other Inv. Act.-¥3-¥9-¥1¥24
Investing Cash Flow-¥836-¥669-¥170-¥49
Financing Activities
Debt Repay.-¥293-¥165-¥600-¥25
Stock Issued¥0¥0¥0¥0
Stock Repurch.-¥310-¥117¥0¥0
Dividends Paid-¥211-¥214-¥143-¥71
Other Fin. Act.-¥0-¥190-¥276-¥292
Financing Cash Flow-¥813-¥687-¥1,019-¥388
Forex Effect¥0-¥0-¥0¥0
Net Chg. in Cash¥37-¥309-¥468¥591
Supplemental Information
Beg. Cash¥2,830¥3,139¥3,607¥3,017
End Cash¥2,867¥2,830¥3,139¥3,607
Free Cash Flow¥844¥384¥543¥939