Consolidated Cash Flows

(Million-yen)

Fiscal years ended March 31 2021/3 2022/3 2023/3 2024/3 2025/3 2026/3
Cash flows
from operating activities
18,847 14,021 8,269 19,930 21,339 21,553
Cash flows
from investing activities
-6,582 -7,804 -11,014 -10,568 -12,459 -12,483
Cash flows
from financing activities
-2,088 -4,834 -5,793 -4,338 -3,417 -4,361
Effect of exchange rate changes
on cash and cash equivalents
30 1,172 1,781 415 800 1,584
Net increase (decrease)
in cash and cash equivalents
10,207 2,555 -6,757 5,440 6,263 6,293
Cash and cash equivalents
at beginning of year
11,342 21,549 24,105 17,347 22,788 29,051
Cash and cash equivalents
at the end of year
21,549 24,105 17,347 22,788 29,051 35,344