Marui Group Co., Ltd.

MAURF · OTC
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Operating Activities
Net Income$39,355,000$24,667,000$161,627$146,153
Dep. & Amort.$14,394,000$12,574,000$86,553$92,181
Deferred Tax$0$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC-$37,806,000-$8,675,000-$183,260-$165,425
Other Non-Cash-$20,425,000$9,437,000$60,908$21,720
Operating Cash Flow-$4,482,000$38,003,000$125,829$94,629
Investing Activities
PP&E Inv.$0-$14,789,000-$73,019-$70,082
Net Acquisitions$0$3,469,000$2,619$731
Inv. Purchases-$6,808,000-$3,581,000-$62,211-$29,574
Inv. Sales/Matur.$6,536,000$1,468,000$12,961$2,169
Other Inv. Act.-$13,393,000-$4,833,000-$48,820-$16,282
Investing Cash Flow-$13,665,000-$18,266,000-$168,469-$113,038
Financing Activities
Debt Repay.$41,988,000$11,072,000$55,644,000$42,552,000
Stock Issued$0$0$0$0
Stock Repurch.-$19,221,000-$3,367,000-$26,004,000-$30,559,000
Dividends Paid-$19,540,000-$15,208,000-$11,005,000-$11,017,000
Other Fin. Act.-$389,000-$376,000-$376,000-$206,000
Financing Cash Flow$2,838,000-$7,879,000$18,259,000$770,000
Forex Effect$0$0-$26,423-$34,375
Net Chg. in Cash-$15,310,000$12,139,000$68,372-$46,459
Supplemental Information
Beg. Cash$64,560,000$52,421,000$326,201$372,661
End Cash$49,250,000$64,560,000$394,573$326,201
Free Cash Flow-$4,482,000$23,214,000$52,809$24,546