Seven & i Holdings Co., Ltd.

SVNDF · OTC
Analyze with AI
2/28/2025
2/28/2024
2/28/2023
2/28/2022
Operating Activities
Net Income$269,351$224,623$402,761$311,854
Dep. & Amort.$574,802$520,701$488,797$363,837
Deferred Tax$0$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC$18,714-$179,747$3,368$46,903
Other Non-Cash$13,591$107,438$33,550$13,882
Operating Cash Flow$876,458$673,015$928,476$736,476
Investing Activities
PP&E Inv.-$430,866-$337,439-$410,889-$424,431
Net Acquisitions-$296,302$30,386$255-$2,307,224
Inv. Purchases-$71,506-$51,542-$52,899-$29,515
Inv. Sales/Matur.$48,244$35,495$32,493$110,463
Other Inv. Act.$18,067-$108,709$17,811$145,141
Investing Cash Flow-$732,363-$431,809-$413,229-$2,505,566
Financing Activities
Debt Repay.-$203,603-$190,562-$155,280$1,051,363
Stock Issued$0$0$0$0
Stock Repurch.-$59,643-$52,393-$16-$22
Dividends Paid-$101,408-$106,092-$89,762-$87,490
Other Fin. Act.-$27,994-$28,018-$25,315-$26,774
Financing Cash Flow-$392,648-$377,065-$270,373$937,077
Forex Effect$35,879$23,566$15,023$63,065
Net Chg. in Cash-$212,673-$112,294$259,897-$768,947
Supplemental Information
Beg. Cash$1,562,493$1,674,787$1,414,890$2,183,837
End Cash$1,349,820$1,562,493$1,674,787$1,414,890
Free Cash Flow$337,441$215,374$517,587$312,045