Daito Trust Construction Co.,Ltd.
Cash Flow

Last updated:

Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Daito Trust Construction Co.,Ltd. generated cash of $90,876,000,000, which is more than the previous year. Cash used in financing activities reached the amount of -$96,787,000,000 last year. Net change in cash is therefore -$17,274,000,000.

Cash Flow

Daito Trust Construction Co.,Ltd. (OTC:DIFTY): Cash Flow
2015 59.40B 930M -60.80B
2016 78.82B -93.55B -57.92B
2017 124.09B -33.40B -72.28B
2018 62.55B -22.94B -25.33B
2019 71.98B 82M -97.67B
2020 102.12B -18.30B -111.41B
2021 98.46B -24.74B -34.31B
2022 112.48B -19.51B -34.08B
2023 82.10B -57.09B -40.06B
2024 90.87B -13.11B -96.78B

DIFTY Cash Flow Statement (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Cash at beginning of period
246.31B258.82B198.76B159.90B187.61B213.71B200.18B182.63B255.55B253.23B
Operating activities
Net income
74.68B101.83B103.21B90.77B133.01B132.34B130.94B123.99B105.26B95.54B
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
17.93B17.41B17.06B15.80B15.00B12.51B10.41B8.04B6.02B4.85B
Stock-based compensation expense
0000000000
Deferred income tax benefit 0000000000
Changes in operating assets and liabilities:
Accounts receivable, net
2.79B2.67B5.37B24.56B-43.46B-44.27B0-1.92B0-11.66B
Inventories
-25.90B-19.65B-5.10B-3.07B5.12B-797M-91M-2.54B208M-1.36B
Accounts payable
-844M13.64B8.89B-28.44B9.07B2.95B06.17B00
Cash generated by operating activities
90.87B82.10B112.48B98.46B102.12B71.98B62.55B124.09B78.82B59.40B
Investing activities
Purchases Of Investments
-33.56B-45.93B-4.44B-1.61B-6.97B-66.94B-65.39B-67.86B-80.97B-6.06B
Investments In Property Plant And Equipment
-14.57B-27.91B-17.35B-13.44B-27.36B-34.92B-18.59B-30.09B-24.58B-16.98B
Acquisitions Net
-479M-1.33B10M-13.89B-8.23B-1.04B-13.25B-12.13B-6.24B-2.29B
Cash generated by investing activities
-13.11B-57.09B-19.51B-24.74B-18.30B82M-22.94B-33.40B-93.55B930M
Financing activities
Common Stock Issued
2.06B2B1.80B4.50B1.90B2.02B2.07B1.99B7.02B4.33B
Payments for dividends
-36.23B-36.63B-33.53B-37.72B-43.62B-45.04B-43.96B-36.47B-30.43B-28.63B
Repurchases of common stock
-50.17B-865M-28M-11.37B-59.94B-40.93B-27.99B-20.24B-25.75B-19.14B
Repayments of term debt
-11.95B-4.32B-2.02B-85.19B-20.06B-13.31B-45.07B-17.19B-17.33B-16.99B
Cash used in financing activities
-96.78B-40.06B-34.08B-34.31B-111.41B-97.67B-25.33B-72.28B-57.92B-60.80B
Net Change In Cash
-17.27B-12.51B60.06B38.85B-27.71B-26.1B13.53B17.54B-72.92B2.31B
Cash at end of period
229.03B246.31B258.82B198.76B159.90B187.61B213.71B200.18B182.63B255.55B