Kobelco Wire Company, Ltd. Price (5660.T)

Stock Price

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High: Year High

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Shares Outstanding

5,910,000

(0.015)%

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Cash Flow Statement

Kobelco Wire Company, Ltd.

Currency: JPY

YEAR 2019 2020 2021 2022 2023
Operating Activities
Net Income 430.00M

+0%

260.00M

-40%

866.00M

+233%

1.17B

+35%

906.00M

-22%

Depreciation And Amortiz... 1.09B 1.04B 1.02B 987.00M 950.00M
Deferred Income Tax 0.00 0.00 0.00 0.00 0.00
Stock-Based Compensat... 0.00 0.00 0.00 0.00 0.00
Change In Working Capital
Accounts Receivables -1,383,000,000.00 -72,000,000.00 -1,039,000,000.00 717.00M 526.00M
Accounts Payables -309,000,000.00 -130,000,000.00 757.00M -22,000,000.00 -443,000,000.00
Inventory -263,000,000.00 124.00M -597,000,000.00 -1,670,000,000.00 -755,000,000.00
Other Working Capital -43,000,000.00 -49,000,000.00 -95,000,000.00 -76,000,000.00 157.00M
Other Non-Cash Items 4.90B -291,000,000.00 -404,000,000.00 -169,000,000.00 28.00M
Net Cash Provided By Op... 288.00M

+0%

764.00M

+165%

887.00M

+16%

583.00M

-34%

1.37B

+135%

Investing Activities
Investments In Propert... -1,046,000,000.00 -880,000,000.00 -996,000,000.00 -792,000,000.00 -708,000,000.00
Acquisitions Net 0.00 -61,000,000.00 3.00M 4.00M 273.00M
Purchases Of Investments -3,000,000.00 -30,000,000.00 -14,000,000.00 -4,000,000.00 -5,000,000.00
Sales Maturities Of Inve... 42.00M 1,000.00k 6.00M 176.00M 0.00
Other Investing Activities -2,000,000.00 1,000.00k -1,000,000.00 -1,000,000.00 -22,000,000.00
Net Cash Used For Inv... -1,005,000,000.00

+0%

-968,000,000.00

-4%

-1,002,000,000.00

+4%

-617,000,000.00

-38%

-462,000,000.00

-25%

Financing Activities
Debt Repayment -1,221,000,000.00 486.00M -172,000,000.00 -63,000,000.00 14.00M
Common Stock Issued 0.00 0.00 14.00M 0.00 0.00
Common Stock Repurch... 0.00 0.00 0.00 0.00 0.00
Dividends Paid -235,000,000.00 -118,000,000.00 -59,000,000.00 -324,000,000.00 -294,000,000.00
Other Financing Activities -4,000,000.00 -5,000,000.00 -4,000,000.00 -3,000,000.00 -3,000,000.00
Net Cash Used/Provide... -1,460,000,000.00

+0%

363.00M

-125%

-221,000,000.00

-161%

-390,000,000.00

+76%

-283,000,000.00

-27%

Effect Of Forex Changes... -4,000,000.00 -2,000,000.00 3.00M 7.00M 8.00M
Net Change In Cash -2,183,000,000.00 156.00M -333,000,000.00 -416,000,000.00 633.00M
Cash At Beginning Of Per... 5.17B 2.99B 3.14B 2.81B 2.39B
Cash At End Of Period 2.99B 3.14B 2.81B 2.39B 3.03B
Additional Metrics:
Operating Cash Flow 288.00M 764.00M 887.00M 583.00M 1.37B
Capital Expenditure -1,046,000,000.00 -880,000,000.00 -996,000,000.00 -792,000,000.00 -844,000,000.00
Free Cash Flow -758,000,000.00

+0%

-116,000,000.00

-85%

-109,000,000.00

-6%

-209,000,000.00

+92%

525.00M

-351%

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