Ricoh 2009 Annual Report Download - page 40

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39 ANNUAL REPORT 2009
Consolidated Statements of Cash Flows
Ricoh Company, Ltd. and Consolidated Subsidiaries Thousands of
For the Years Ended March 31, 2007, 2008 and 2009 Millions of Yen U.S. Dollars
2007 2008
2009
2009
CASH FLOWS FROM OPERATING ACTIVITIES:
Net income
Income from discontinued operations, net of tax
Income from continuing operations
Adjustments to reconcile net income to net cash provided by
operating activities-
Depreciation and amortization
Equity in earnings of affiliates, net of dividends received
Deferred income taxes
Losses on disposals and sales of property, plant and equipment
Losses on impairment of securities
Pension and severance costs, less payments
Changes in assets and liabilities, net of effects from acquisition-
(Increase) decrease in trade receivables
(Increase) decrease in inventories
Increase in finance receivables
(Decrease) increase in trade payables
(Decrease)Increase in accrued income taxes and accrued expenses and other
Other, net
Net cash provided by operating activities
CASH FLOWS FROM INVESTING ACTIVITIES:
Proceeds from sales of property, plant and equipment
Expenditures for property, plant and equipment
Payments for purchases of available-for-sale securities
Proceeds from sales of available-for-sale securities
(Increase) decrease in time deposits
Proceeds from sales of discontinued operations
Purchase of business, net of cash acquired
Other, net
Net cash used in investing activities
CASH FLOWS FROM FINANCING ACTIVITIES:
Proceeds from long-term indebtedness
Repayment of long-term indebtedness
(Decrease) increase in short-term borrowings, net
Proceeds from issuance of long-term debt securities
Repayment of long-term debt securities
Dividends paid
Payment for purchase of treasury stock
Other, net
Net cash provided by (used in) financing activities
CASH FLOWS OF DISCONTINUED OPERATIONS:
Net, operating cash flows
Net, investing cash flows
Net, financing cash flows
Effect of exchange rate change on cash and cash equivalents from discontinued operations
Net increase in cash and cash equivalents from discontinued operations
EFFECT OF EXCHANGE RATE CHANGE ON CASH AND CASH EQUIVALENTS
NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS
CASH AND CASH EQUIVALENTS AT BEGINNING OF YEAR
CASH AND CASH EQUIVALENTS AT END OF YEAR
SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:
CASH PAID DURING THE YEAR FOR-
Interest
Income taxes
The accompanying notes to consolidated financial statements are an integral part of these statements.
¥111,724
(5,500)
106,224
89,632
(711)
(2,197)
3,722
270
(773)
(15,919)
(1,494)
(28,047)
2,199
11,175
3,216
167,297
463
(85,747)
(97,158)
96,087
64
12,000
(23,200)
(17,941)
(115,432)
60,157
(49,115)
8,362
65,274
(55,000)
(18,240)
(799)
(1,357)
9,282
838
(13)
825
6,710
68,682
187,055
¥255,737
¥ 8,222
66,603
¥106,463
106,463
95,788
(622)
4,970
2,174
142
(320)
(16,567)
129
(17,183)
(7,491)
5,216
21,664
194,363
1,194
(85,205)
(97,958)
100,025
(240)
(96,796)
(19,370)
(198,350)
67,166
(75,716)
(14,598)
(10,000)
(22,628)
(15,770)
(639)
(72,185)
(8,958)
(85,130)
255,737
¥170,607
¥ 8,619
76,220
¥ 6,530
6,530
101,817
117
(5,163)
1,885
26,837
2,031
37,913
2,836
(3,050)
(97,372)
(14,094)
27,201
87,488
454
(96,945)
(1,781)
243
(615)
(157,404)
(27,124)
(283,172)
237,116
(59,500)
110,211
85,000
(50,539)
(25,320)
(644)
(410)
295,914
(12,353)
87,877
170,607
¥258,484
¥ 9,352
56,764
$ 65,960
65,960
1,028,455
1,182
(52,152)
19,040
271,081
20,515
382,960
28,646
(30,808)
(983,556)
(142,364)
274,758
883,717
4,586
(979,242)
(17,990)
2,455
(6,212)
(1,589,939)
(273,981)
(2,860,323)
2,395,111
(601,010)
1,113,242
858,586
(510,495)
(255,758)
(6,505)
(4,141)
2,989,030
(124,778)
(887,646)
1,723,303
$2,610,949
$ 94,465
573,374