Sompo Holdings Inc
F:ANK

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Sompo Holdings Inc Logo
Sompo Holdings Inc
F:ANK
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Price: 30.37 EUR -2% Market Closed
Market Cap: €30.1B

Cash Flow Statement

Cash Flow Statement
Sompo Holdings Inc

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Cash Flow Statement
Currency: JPY
Mar-2011 Sep-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Mar-2016 Sep-2016 Mar-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024 Sep-2024 Mar-2025 Sep-2025
Operating Cash Flow
Net Income
(17 683)
(101 469)
(57 636)
(57 442)
70 179
157 167
69 157
47 905
104 527
126 064
211 330
232 148
231 989
165 473
114 336
145 319
202 029
237 195
177 191
180 680
194 937
319 430
317 632
39 969
50 383
318 351
614 529
658 358
330 279
573 423
Depreciation & Amortization
22 353
24 058
24 702
23 925
24 227
25 015
25 106
25 895
27 325
26 458
25 242
30 188
34 510
75 045
98 800
74 736
71 362
70 609
65 362
64 753
68 703
76 043
80 468
82 348
81 868
86 160
92 071
115 796
103 363
104 947
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 136
0
1 966
0
Other Non-Cash Items
(133 488)
(278 920)
(131 082)
(237 406)
(140 790)
(130 692)
(145 575)
(154 893)
(143 792)
(155 491)
(166 575)
(148 396)
(167 529)
(183 164)
(128 297)
(138 798)
(180 255)
(175 364)
(174 163)
(156 027)
(182 978)
(221 580)
(216 259)
(217 636)
(177 832)
(170 054)
33 402
142 484
46 131
44 302
Cash Taxes Paid
15 750
2 761
(2 637)
2 967
2 968
7 203
8 874
8 620
11 945
15 567
17 616
17 332
18 228
56 557
77 109
14 567
(1 758)
42 242
55 637
79 693
81 993
88 654
106 671
118 498
120 109
32 560
11 595
119 259
156 832
197 795
Cash Interest Paid
7 173
7 177
7 168
7 170
7 156
9 257
11 356
11 425
8 059
4 493
4 988
6 512
8 250
11 301
13 906
14 234
18 921
19 179
14 553
14 206
14 008
13 987
15 506
15 934
16 372
15 187
16 376
17 976
18 407
21 299
Change in Working Capital
110 218
266 127
19 456
160 557
14 223
(24 446)
174 997
167 951
162 892
273 419
196 904
178 181
266 216
269 882
167 819
189 308
(8 998)
180 410
291 401
231 934
545 709
415 962
424 609
587 154
427 655
197 197
(105 709)
(212 033)
93 236
(113 512)
Cash from Operating Activities
(18 600)
N/A
(90 204)
-385%
(144 560)
-60%
(110 366)
+24%
(32 161)
+71%
27 044
N/A
123 685
+357%
86 858
-30%
150 952
+74%
270 450
+79%
266 901
-1%
292 121
+9%
365 186
+25%
327 236
-10%
252 658
-23%
270 565
+7%
84 138
-69%
312 850
+272%
359 791
+15%
321 340
-11%
626 371
+95%
589 855
-6%
606 450
+3%
491 835
-19%
382 074
-22%
431 654
+13%
634 293
+47%
686 616
+8%
573 009
-17%
609 160
+6%
Investing Cash Flow
Capital Expenditures
(13 324)
(14 491)
(14 359)
(16 942)
(17 703)
(21 199)
(22 387)
(16 289)
(19 403)
(19 181)
(15 483)
(16 921)
(15 786)
(17 007)
(24 178)
(23 135)
(28 149)
(32 203)
(27 043)
(27 754)
(24 542)
(23 862)
(21 497)
(16 739)
(24 142)
(28 528)
(92 198)
(110 237)
(57 782)
(59 789)
Other Items
52 094
174 609
213 255
158 262
151 551
(86 197)
(52 317)
156 161
(54 974)
(151 161)
(153 760)
(130 972)
(510 882)
(460 743)
(7 681)
(1 441)
41 631
55 449
(113 074)
(228 759)
(334 974)
(320 846)
(327 043)
(259 972)
(232 599)
(369 442)
(547 891)
(480 688)
(214 454)
(57 761)
Cash from Investing Activities
38 770
N/A
160 118
+313%
198 896
+24%
141 320
-29%
133 848
-5%
(107 396)
N/A
(74 704)
+30%
139 872
N/A
(74 377)
N/A
(170 342)
-129%
(169 243)
+1%
(147 893)
+13%
(526 668)
-256%
(477 750)
+9%
(31 859)
+93%
(24 576)
+23%
13 482
N/A
23 246
+72%
(140 117)
N/A
(256 513)
-83%
(359 516)
-40%
(344 708)
+4%
(348 540)
-1%
(276 711)
+21%
(256 741)
+7%
(397 970)
-55%
(640 089)
-61%
(590 925)
+8%
(272 236)
+54%
(117 550)
+57%
Financing Cash Flow
Net Issuance of Common Stock
(749)
(575)
(911)
(399)
(875)
(9 187)
(9 239)
(10 939)
(10 048)
(18 505)
(18 491)
(35 224)
(35 205)
(27 796)
(56 895)
(68 085)
(38 999)
(36 210)
(36 212)
(25 883)
(35 259)
(38 709)
(60 428)
(73 563)
(57 911)
(40 334)
(24 904)
(60 623)
(185 548)
(246 931)
Net Issuance of Debt
0
0
0
0
133 560
0
0
(128 000)
(134 396)
(8 867)
(2 293)
200 118
199 885
251 682
224 913
(42 772)
(34 668)
(40 270)
(38 003)
(31 703)
(32 387)
(32 403)
(30 482)
(31 478)
37 342
121 226
66 872
1 249
987
(1 773)
Cash Paid for Dividends
(25 696)
(33 250)
(33 246)
(33 164)
(33 152)
(24 867)
(37 183)
(24 701)
(24 598)
(28 537)
(32 456)
(32 297)
(31 885)
(35 416)
(40 983)
(42 247)
(45 159)
(48 434)
(51 571)
(54 712)
(55 997)
(60 631)
(68 657)
(72 686)
(79 718)
(87 058)
(92 797)
(98 860)
(103 794)
(125 850)
Other
763
206
(2 701)
(3 032)
(2 960)
(3 434)
(4 051)
(3 051)
(3 179)
(2 983)
(3 598)
(9 304)
231 040
105 311
(193 632)
(107 791)
99 699
39 273
(104 819)
(13 622)
29 145
37 451
(10 541)
(12 362)
7 923
(16 439)
(61 788)
(80 380)
(193 305)
(161 417)
Cash from Financing Activities
(25 682)
N/A
(33 619)
-31%
(36 858)
-10%
(36 595)
+1%
96 573
N/A
96 072
-1%
(50 473)
N/A
(166 691)
-230%
(172 221)
-3%
(58 892)
+66%
(56 838)
+3%
123 293
N/A
363 835
+195%
293 781
-19%
(66 597)
N/A
(260 895)
-292%
(19 127)
+93%
(85 641)
-348%
(230 605)
-169%
(125 920)
+45%
(94 498)
+25%
(94 292)
+0%
(170 108)
-80%
(190 089)
-12%
(92 364)
+51%
(22 605)
+76%
(112 617)
-398%
(238 614)
-112%
(481 660)
-102%
(535 971)
-11%
Change in Cash
Effect of Foreign Exchange Rates
(2 584)
(2 521)
(3 033)
(1 048)
10 599
14 786
9 302
3 806
8 679
7 552
(9 222)
(19 683)
(5 679)
5 002
3 365
(6 581)
(18 231)
(15 108)
(12 609)
(28 819)
(22 341)
11 669
1 735
59 354
30 764
10 785
57 065
(10 418)
(8 224)
20 947
Net Change in Cash
(8 096)
N/A
33 774
N/A
14 445
-57%
(6 689)
N/A
208 859
N/A
30 506
-85%
7 810
-74%
63 845
+717%
(86 967)
N/A
48 768
N/A
31 598
-35%
247 838
+684%
196 674
-21%
148 269
-25%
157 567
+6%
(21 487)
N/A
60 262
N/A
235 347
+291%
(23 540)
N/A
(89 912)
-282%
150 016
N/A
162 524
+8%
89 537
-45%
84 389
-6%
63 733
-24%
21 864
-66%
(61 348)
N/A
(153 341)
-150%
(189 111)
-23%
(23 414)
+88%
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