Consolidated Statements of Cash Flows

Latest Update : June 16, 2026

* MinebeaMitsumi has adopted International Financial Reporting Standards (IFRS) from the 1Q of FY3/2019.

  FY3/2022
Full Year
FY3/2023*1
Full Year
FY3/2024
Full Year
FY3/2025*2
Full Year
FY3/2026*3
Full Year
Net cash flows from operating activities
Profit before income taxes millions of yen 90,78892,12875,54582,609133,779
Depreciation and amortization millions of yen 45,231 53,022 58,359 66,206 70,422
Impairment loss millions of yen - 11,066 - 621 -
Gain on bargain purchase millions of yen - -23,719 -160 - -
Interest income and dividends income millions of yen -1,294 -1,947 -3,037 -3,630 -3,803
Interest expenses millions of yen 1,521 2,743 4,295 5,526 7,464
Loss (gain) on sale and disposal of property, plant and equipment millions of yen -381 -12,366 -2,990 -1,572 -815
Decrease (increase) in trade and other receivables millions of yen -24,237 -7,705 -5,389 32,146 -44,163
Decrease (increase) in inventories millions of yen -35,839 -10,854 -7,853 -37,343 -12,287
Increase (decrease) in trade and other payables millions of yen 20,955 -23,887 13,528 14,914 2,302
Other millions of yen -5,447 -11,919 -9,077 -1,834 -32,137
Interest received millions of yen 870 1,644 2,741 3,286 3,304
Dividends received millions of yen 371 351 318 366 454
Interest paid millions of yen -1,479 -2,525 -4,418 -5,512 -7,275
Income taxes paid millions of yen -12,642 -21,939 -20,103 -22,111 -22,395
Net cash flows from operating activities millions of yen 78,41744,093101,759133,67294,850
Net cash flows from investing activities
Decrease (increase) in time deposits millions of yen 610 12,627 1,382 -1,274 210
Purchase of property, plant and equipment millions of yen -68,476 -134,449 -77,578 -82,481 -79,364
Proceeds from sales of property, plant and equipment millions of yen 874 26,305 7,926 5,086 2,248
Purchase of intangible assets millions of yen -1,632 -2,268 -2,058 -6,068 -8,199
Purchase of securities millions of yen -735 -1,103 -12,718 -2,743 -3,077
Proceeds from sale and redemption of securities millions of yen 5,416 2,349 2,473 2,369 2,883
Proceeds from sales of investments in subsidiaries resulting in change in scope of consolidation millions of yen 502 - - 139 20
Proceeds from purchase of investments in subsidiaries resulting in change in scope of consolidation millions of yen 364 - 2,956 101 -
Purchase of investments in subsidiaries resulting in change in scope of consolidation millions of yen - -10,213 -1,688 -38,025 -2,035
Payments for acquisition of businesses millions of yen - - - -3,122 -
Proceeds from government grants millions of yen - - 2,517 114 5,068
Other millions of yen -528 477 489 132 -529
Net cash flows from investing activities millions of yen -63,605-106,275-76,299-125,772-82,775
Net cash flows from financing activities
Increase (decrease) in short-term borrowings millions of yen 9,200 5,843 -37,189 23,295 19,144
Proceeds from long-term borrowings millions of yen 500 50,503 51,500 80,500 -
Repayments of long-term borrowings millions of yen -2,964 -8,975 -11,071 -7,384 -6,107
Proceeds from bonds millions of yen - 25,000 - - -
Redemption of bonds millions of yen - - -26 - -
Acquisition of non-controlling interests millions of yen - -2,274 - - -
Proceeds from disposal of treasury shares millions of yen 3 3 0 853 32
Purchase of treasury shares millions of yen -10,775 -10,018 -9,676 -8,658 -2
Dividends paid millions of yen -16,236 -15,561 -16,293 -16,143 -20,080
Dividends paid to non-controlling interests millions of yen - - -362 -571 -1,127
Proceeds from share issuance to non-controlling interests millions of yen - - - - 809
Repayments of lease liabilities millions of yen -5,275 -6,646 -7,091 -7,896 -8,802
Net cash flows from financing activities millions of yen -25,54737,875-30,20863,996-16,133
Effect of exchange rate changes on cash and cash equivalents millions of yen 8,844 5,390 6,741 -4,304 17,324
Increase (decrease) in cash and cash equivalents millions of yen -1,891 -18,917 1,993 67,592 13,266
Cash and cash equivalents at beginning of period millions of yen 165,479 163,588 144,671 146,664 214,256
Cash and cash equivalents at end of period millions of yen 163,588 144,671 146,664 214,256 227,522
  • *1 We have included the following companies in the scope of consolidation;
    HONDA TSUSHIN KOGYO CO., LTD. since September 16, 2022
    Minebea Connect Inc. (formerly SUMIKO TEC CO., LTD.) since November 1, 2022
    Minebea AccessSolutions Inc. (formerly Honda Lock Mfg. Co., Ltd.) since January 27, 2023
  • *2 Minebea Power Semiconductor Device Inc. (formerly Hitachi Power Semiconductor Device, Ltd.) has been included in the scope of consolidation since May 2, 2024.
  • *3 Minebea Linear Motion Inc. (formerly TN Linear Motion Inc.) has been included in the scope of consolidation since October 3, 2025.

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