F.C.C. Co., Ltd.

FCVFF · OTC
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3/31/2025
3/31/2024
12/31/2022
12/31/2021
Operating Activities
Net Income$20,052,000$19,169,000$13,641,000$2,168,590
Dep. & Amort.$12,170,000$12,861,000$13,358,000$1,930,745
Deferred Tax$0$0$652,193$1,872,202
Stock-Based Comp.$0$0$0$25,209
Change in WC-$6,404,000$10,694,000-$1,909,000-$1,897,410
Other Non-Cash$2,112,000-$7,341,000-$4,728,193$11,356,665
Operating Cash Flow$27,930,000$35,383,000$21,014,000$2,946,746
Investing Activities
PP&E Inv.-$14,723,000-$8,370,000-$2,362,965-$2,556,356
Net Acquisitions$0$0$0$0
Inv. Purchases-$15,698,000-$5,682,000$0$0
Inv. Sales/Matur.$5,120,000$7,063,000$1,494,000$0
Other Inv. Act.-$474,000-$444,000-$9,438,035-$7,070,644
Investing Cash Flow-$25,775,000-$7,433,000-$10,307,000-$9,627,000
Financing Activities
Debt Repay.-$3,100,000$0$0-$1,093,000
Stock Issued$0$0$8,305,003$6,763,907
Stock Repurch.-$3,800,000$0-$6,688-$199,346
Dividends Paid-$7,154,000-$2,981,000-$2,585,000-$651,927
Other Fin. Act.-$579,000-$1,843,000-$647,000-$2,457,073
Financing Cash Flow-$14,633,000-$4,824,000-$3,232,000-$4,202,000
Forex Effect-$1,055,000$5,164,000$1,637,000$3,393,000
Net Chg. in Cash-$13,532,000$28,290,000$9,111,000$5,020,000
Supplemental Information
Beg. Cash$82,028,000$53,738,000$44,627,000$1,832,986
End Cash$68,496,000$82,028,000$53,738,000$2,742,667
Free Cash Flow$12,757,000$26,514,000$12,468,000$390,390