Chart

Cash Flows (The former Sumitomo Light Metal)

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Consolidated Cash Flows

* Years ended March 31

(Millions of yen)

  2009 2010 2011 2012 2013
Net cash provided by operating activities 351 17,844 15,489 18,630 16,266
Net cash used in investment activities (10,948) 1,669 (6,525) (17,037) (6,322)
Net cash used in financing activities 12,230 (21,779) (8,141) (508) (12,436)
Cash and cash equivalents, end of year 9,093 7,415 7,955 8,960 8,206