ベラ ジョン カジノ 危険 性
ベラ ジョン カジノ 危険 性 title
Years Ended March 31, 2002 and 2001
ベラ ジョン カジノ 危険 性
·Operating Activities ·Investing Activities ·Financing Activities ·Forward
ベラ ジョン カジノ 危険 性
Millions of Yen Thousands of U.S.
Dollars (Note 1)
2002 2001 2002
Operating Activities:
Income (loss) before income taxes and minority interest ¥49,905 ?(3,554) 5,226
Adjustments for:
Income taxes-paid (27,728) (20,778) (208,481)
Depreciation and amortization 31,764 29,900 238,827
Loss on disposal of property, plant and equipment 858 592 6,451
Loss on sales of marketable and investment securities 74 6,195 556
Equity in earnings of affiliated companies (800) (1,055) (6,015)
Changes in assets and liabilities, net of effects from newly consolidated subsidiaries:
Increase in notes and accounts receivable (152) (17,567) (1,143)
Decrease (increase) in inventories (1,428) 437 (10,737)
Increase in notes and accounts payable 966 1,088 7,263
Increase in liability for employees' retirement benefits 9,610 56,788 72,256
Other-net 6,655 3,203 50,038
Total adjustments 19,819 58,803 149,015
Net cash provided by operating activities 69,724 55,249 524,241
Investing Activities:
ベラ ジョン カジノ 危険 性ale of property, plant and equipment 772 1,691 5,804
Purchases of property, plant and equipment (39,435) (38,190) (296,504)
ベラ ジョン カジノ 危険 性ales of marketable and investment securities 5,777 17,983 43,436
Purchases of marketable and investment securities (12,113) (15,896) (91,075)
Decrease in investments in and advances to non-consolidated subsidiaries and affiliates 426 1,921 3,203
Cash collected from long-term loans 2,538 3,460 19,083
ベラ ジョン カジノ 危険 性dvanced for long-term loans (1,312) (2,953) (9,865)
Other (3,121) (947) (23,466)
Net cash used in investing activities (46,468) (32,931) (349,384)
Financing Activities:
ベラ ジョン カジノ 危険 性hort-term bank loans 1,084
Repayments of short-term bank loans (3,930) (1,063) (29,549)
Proceeds from long-term debt 2,227 2,400 16,744
Repayments of long-term debt (17,987) (29,505) (135,240)
Dividends paid (6,470) (6,249) (48,647)
Other (787) (41) (5,917)
Net cash used in financing activities (26,947) (33,374) (202,609)
Forward ¥(3,691) ? (11,056) $(27,752)
Foreign Currency Translation Adjustments on ベラ ジョン カジノ 危険 性nd Cash Equivalents 95 135 714
Net (Decrease) Increase in ベラ ジョン カジノ 危険 性nd Cash Equivalents (3,596) (10,921) (27,038)
ベラ ジョン カジノ 危険 性nd Cash Equivalents of Newly Consolidated Subsidiaries,beginning of Year 1,735
ベラ ジョン カジノ 危険 性nd Cash Equivalents, beginning of Year 158,899 168,085 1,194,730
ベラ ジョン カジノ 危険 性nd Cash Equivalents, end of Year ¥155,303 ?158,899 ,167,692
Noncash Financing Activities:
Proceeds from issuance of common stock upon conversion of convertible debt ¥290 ?15,356 ,180
See notes to consolidated financial statements.