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Mitsubishi Electric Corporation (MEL.LN)

Mitsubishi Electric Corporation (MEL.LN)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 03/31

(Values in thousands)
  03-2025 03-2024 03-2023 03-2022 03-2021
Cash Flows From Operating Activities
Income taxes - deferred 90,349,000 68,908,000 67,235,000 61,808,000 57,071,000
Accounts receivable -88,868,000 -13,968,000 -89,461,000 -19,464,000 83,169,000
Other Working Capital -51,391,000 -4,169,000 -240,706,000 -118,221,000 125,143,000
Other Operating Activity 505,815,000 364,708,000 429,643,000 358,248,000 276,736,000
Operating Cash Flow $455,905,000 $415,479,000 $166,711,000 $282,371,000 $542,119,000
Cash Flows From Investing Activities
PPE Investments -190,512,000 -147,827,000 -119,435,000 -131,215,000 -154,694,000
Net Acquisitions 40,966,000 N/A N/A N/A N/A
Purchase Of Investment -54,581,000 -93,484,000 -28,345,000 -13,558,000 -15,903,000
Sale Of Investment 45,708,000 181,663,000 20,669,000 53,227,000 13,445,000
Purchase Sale Intangibles -32,083,000 -33,248,000 -24,439,000 -21,725,000 -19,439,000
Other Investing Activity -1,248,000 -1,223,000 3,017,000 -1,596,000 39,000
Investing Cash Flow $-191,750,000 $-94,119,000 $-148,533,000 $-114,867,000 $-176,552,000
Cash Flows From Financing Activities
Change In Short Term Borrowing -30,333,000 -18,315,000 14,340,000 1,677,000 20,225,000
Debt Issued 25,438,000 55,386,000 77,075,000 825,000 485,000
Debt Repayment -28,488,000 -50,774,000 -54,594,000 -35,514,000 -37,874,000
Common Stock Repurchased -31,294,000 -45,860,000 -1,575,000 -50,526,000 -367,000
Dividend Paid -104,316,000 -96,949,000 -84,524,000 -85,723,000 -77,283,000
Other Financing Activity -96,340,000 -83,606,000 -70,290,000 -72,058,000 -62,538,000
Financing Cash Flow $-265,333,000 $-240,118,000 $-119,568,000 $-241,319,000 $-157,352,000
Exchange Rate Effect -6,875,000 38,272,000 20,081,000 33,588,000 21,632,000
Beginning Cash Position 765,384,000 645,870,000 727,179,000 767,406,000 537,559,000
End Cash Position 757,331,000 765,384,000 645,870,000 727,179,000 767,406,000
Net Cash Flow $-1,178,000 $81,242,000 $-101,390,000 $-73,815,000 $208,215,000
Free Cash Flow
Operating Cash Flow 455,905,000 415,479,000 166,711,000 282,371,000 542,119,000
Capital Expenditure -226,071,000 -209,004,000 -175,556,000 -156,062,000 -188,359,000
Free Cash Flow 229,834,000 206,475,000 -8,845,000 126,309,000 353,760,000
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