Industrial Goods » Machinery | Fanuc Ltd.

Fanuc Ltd. | Cash Flow

Fiscal year is April-March. All values JPY Millions.
2014
2015
2016
2017
2018
2019
Net Income before Extraordinaries
174,360
311,951
229,361
168,829
249,525
208,540
Depreciation, Depletion & Amortization
18,394
21,685
21,106
26,530
34,190
39,709
Other Funds
168
197
1,082
281
652
86,271
Funds from Operations
97,093
259,928
123,844
147,071
227,450
161,978
Changes in Working Capital
28,466
37,016
16,789
25,358
51,460
15,760
Net Operating Cash Flow
125,559
222,912
140,633
121,713
175,990
177,738
Capital Expenditures
16,623
21,427
102,008
87,509
103,016
Purchase/Sale of Investments
-
-
7,830
-
21,426
Net Investing Cash Flow
16,468
24,926
112,677
88,562
130,257
Cash Dividends Paid - Total
31,100
46,568
151,237
76,505
92,003
Net Financing Cash Flow
31,929
47,314
169,572
90,267
93,097
Net Change in Cash
94,795
167,097
159,574
56,901
49,647
Free Cash Flow
108,936
201,485
38,625
34,204
72,974
Other Sources
155
-
-
-
-
Change in Capital Stock
661
549
17,253
13,481
442
Exchange Rate Effect
17,633
16,425
17,958
215
2,283
Other Uses
-
3,499
2,839
1,053
5,815

About Fanuc

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Address
3580 Shibokusa Komanba
Minamitsuru Yamanashi 401
Japan
Employees -
Website http://www.fanuc.co.jp
Updated 07/08/2019
FANUC Corp. engages in the development, manufacture, sale, and maintenance of computer numerical control (CNC) systems, lasers, robot systems, robomachines, roboshot, robocut and nano robots. It operates through the following divisions: Factory Automation (FA), Robot, and Robomachine. The FA division manufactures CNC systems, CNC servo motors, and lasers.