Consolidated Cash Flows

(Million-yen)

Fiscal years ended March 31 2016/3 2017/3 2018/3 2019/3 2020/3
Cash flows
from operating activities
10,853 15,185 11,879 10,470 19,086
Cash flows
from investing activities
-15,149 -10,584 -8,388 -7,449 -9,316
Cash flows
from financing activities
3,140 -1,570 -4,954 -2,715 -6,400
Effect of exchange rate changes
on cash and cash equivalents
-19 -36 -379 -122 7
Net increase (decrease)
in cash and cash equivalents
-1,174 2,994 -1,842 182 3,376
Cash and cash equivalents
at beginning of year
7,807 6,632 9,626 7,784 7,966
Cash and cash equivalents
at the end of year
6,632 9,626 7,784 7,966 11,342