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Sony Group Corp ADR (SONY)

Sony Group Corp ADR (SONY)
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[[ session ]] by (Cboe BZX)
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[[ item.bidPrice ]] x [[ item.bidSize ]] [[ item.askPrice ]] x [[ item.askSize ]]
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 03/31

(Values in U.S. thousands)
  12-2025 09-2025 06-2025 03-2025 12-2024
Cash Flows From Operating Activities
Net Income 8,440,712 5,428,862 2,460,547 9,726,592 8,323,702
Depreciation Amortization 5,424,321 3,784,737 1,893,353 7,609,714 5,595,784
Accounts receivable -1,906,996 -1,442,035 730,158 1,508,912 -1,505,506
Accounts payable and accrued liabilities 871,182 2,232,039 621,952 903,883 2,038,265
Other Working Capital -2,679,859 -4,336,720 -2,368,370 233,851 -1,195,016
Other Operating Activity -1,352,949 -2,459,894 -2,804,070 -4,659,903 -2,538,829
Operating Cash Flow $8,796,411 $3,206,989 $533,570 $15,323,050 $10,718,400
Cash Flows From Investing Activities
PPE Investments -1,825,811 -1,478,068 -816,167 -4,171,471 -3,449,345
Net Acquisitions -603,889 -408,204 -157,589 -1,943,152 -1,924,289
Purchase Of Investment -973,271 -754,412 -253,113 -650,338 -299,567
Sale Of Investment 75,043 57,562 30,464 307,164 241,283
Other Investing Activity -7,707,472 -95,881 511 319,005 296,010
Investing Cash Flow $-11,035,400 $-2,679,003 $-1,195,894 $-6,138,792 $-5,135,909
Cash Flows From Financing Activities
Change In Short Term Borrowing 40,463 N/A -317 -188,661 N/A
Debt Issued 98,787 71,264 39,965 919,367 99,911
Debt Repayment -800,332 -565,522 -172,962 -1,195,161 -912,146
Common Stock Repurchased -1,965,795 -1,491,682 -644,039 -1,884,617 -1,700,219
Dividend Paid -875,180 -409,421 -413,103 -760,670 -759,178
Other Financing Activity -462,345 -211,562 -276,614 1,141,338 1,228,385
Financing Cash Flow $-3,964,402 $-2,606,923 $-1,467,071 $-1,968,404 $-2,043,248
Exchange Rate Effect 389,428 -49,402 -316,393 -128,495 320,674
Beginning Cash Position 19,376,210 20,270,500 20,568,600 12,586,950 12,586,950
End Cash Position 13,562,250 18,142,160 18,122,810 19,674,310 16,446,860
Net Cash Flow $-5,813,964 $-2,128,339 $-2,445,788 $7,087,364 $3,859,917
Free Cash Flow
Operating Cash Flow 8,796,411 3,206,989 533,570 15,323,050 10,718,400
Capital Expenditure -1,918,533 -1,495,177 -828,649 -4,273,678 -3,539,666
Free Cash Flow 6,877,878 1,711,812 -295,079 11,049,372 7,178,734
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