Cash Flow

(¥ million)
2020/11 2021/11 2022/11 2023/11 2024/11
Cash flow from operating activities 1,281 1,132 525 -937 454
Cash flow from investments -594 -1,910 -962 -2,436 972
Free cash flow 687 -778 -437 -3,373 1,427
Cash flow from financial activities -339 1,290 55 2,367 -445
Cash and cash eqivalents, end of year 3,815 4,187 4,074 3,089 4,042