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HITACHI KOKUSAI ELECTRIC INC. AND SUBSIDIARIES

CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED MARCH 31, 2009


Consolidated Quarterly Statements of Cash Flows (Unaudited)

Years ended March 31, 2009 and 2008

Cash Flows
  YEN (millions) (A)/(B)
×100(%)
U.S.Dollars
(millions)
FY2008(A) FY2007(B) FY2008
 Net cash provided by (used in) operating activities
Income (loss) before income taxes and minority interests

(10,996)

18,405

-

(112)
Depreciation and amortization
5,330 4,889 109 54
Decrease in provision for retirement benefits
(154) (872) - (2)
Increase (decrease) in provision for directors' retirement benefits
(96) 114 - (1)
Decrease in provision for product warranties
(563) (623) - (6)
Interest and dividends income
(644) (655) - (7)
Interest expenses
21 25 84 0
Loss on disposal of noncurrent assets
93 391 24 1
Gain on sales of noncurrent assets
(17) (4) - (0)
Decrease in notes and accounts receivable-trade
20,983 5,087 412 214
Decrease in inventories
13,385 1,324 1,011 136
Increase in other current assets
(760) (142) - (8)
Decrease in notes and accounts payable-trade
(20,162) (10,551) - (205)
Decrease in accrued consumption taxes
242 123 197 2
Decrease in other current liabilities
(6,948) (920) - (71)
Other, net
(227) (98) - (2)
Subtotal
(514) 16,491 - (5)
Interest and dividends income received
921 929 99 9
Interest expenses paid
(20) (25) - (0)
Income taxes paid
(1,792) (9,746) - (18)
Income taxes refund
238 8 2,975 2
Net cash provided by (used in) operating activities
(1,166) 7,657 - (12)
 Net cash provided by (used in) investment activities
Payments into time deposits


(199)


(83)


-


(2)
Proceeds from withdrawal of time deposits
359 41 876 4
Purchase of investment securities
(16) (35) - (0)
Proceeds from sales of investment securities
0 30 - 0
Purchase of property, plant and equipment
(3,993) (6,290) - (41)
Proceeds from sales of property, plant and equipment
86 14 614 1
Decrease in short-term loans receivable
8 3 267 0
Increase in investment in variable interest rate deposit
(2,000) - - (20)
Decrease in investment in variable interest rate deposit
1,000 2,000 50 10
Decrease in other investments
29 141 21 0
Other, net
(799) (751) - (8)
Net cash provided by (used in) investing activities
(5,525) (4,929) - (56)
 Net cash provided by (used in) financing activities        
Net decrease in short-term loans payable
- (150) - -
Redemption of bonds with subscription rights to shares
(6,000) - - (61)
Cash dividends paid
(1,953) (1,652) - (20)
Cash dividends paid to minority shareholders
(6) (7) - (0)
Increase in treasury stock
(30) (1,218) - (0)
Other, net
(2) - - (0)
Net cash provided by (used in) financing activities
(7,993) (3,028) - (81)
 Effect of exchange rate change on cash and cash equivalents (458) (533) - (5)
 Net increase in cash and cash equivalents (15,144) (833) - (154)
 Cash and cash equivalents at beginning of period 51,208 52,042 98 521
 Cash and cash equivalents at end of period 36,064 51,208 70 367