Tokio Marine Holdings, Inc.

TKOMY · OTC
Analyze with AI
3/31/2025
3/31/2024
3/31/2023
3/31/2022
Operating Activities
Net Income$1,450,272$821,861$529,358$554,272
Dep. & Amort.$236,858$212,320$193,206$161,906
Deferred Tax$0$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC$445,864$538,393$544,163$775,423
Other Non-Cash-$787,914-$500,450-$259,145-$389,361
Operating Cash Flow$1,345,080$1,072,124$1,007,582$1,102,240
Investing Activities
PP&E Inv.-$26,148-$20,723-$24,877-$29,050
Net Acquisitions-$62,671-$2,383$317-$208,538
Inv. Purchases-$3,375,440-$2,259,998-$2,015,966-$2,255,729
Inv. Sales/Matur.$4,543,102$2,253,080$2,647,425$2,046,983
Other Inv. Act.-$914,224-$597,623-$588,706-$219,110
Investing Cash Flow$164,619-$627,647$18,193-$665,444
Financing Activities
Debt Repay.$36,974-$136,923$2,169-$20,550
Stock Issued$12,834$11,218$11,091$6,794
Stock Repurch.-$269,038-$62,917-$111,691-$93,736
Dividends Paid-$281,243-$219,142-$192,008-$151,571
Other Fin. Act.-$687,964$1,560-$718,787-$245,566
Financing Cash Flow-$1,188,437-$406,204-$1,009,226-$504,629
Forex Effect$61,550$63,326$56,615$59,659
Net Chg. in Cash$382,813$101,599$73,166-$12,471
Supplemental Information
Beg. Cash$1,086,981$985,382$912,216$924,687
End Cash$1,469,794$1,086,981$985,382$912,216
Free Cash Flow$1,318,932$1,051,401$982,705$1,073,190