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Financial Data

Cash Flows

(In millions of yen)
  FY2008/3
07.4-08.3
FY2009/3
08.4-09.3
FY2010/3
09.4-10.3
FY2011/3
10.4-11.3
FY2012/3
11.4-12.3

I.Net cash provided by (used in) operating activities

192,302 27,359 134,816 33,660 83,857

II.Net cash provided by (used in) investment activities

∆135,760 ∆173,167 ∆41,241 ∆146,244 ∆49,706
Free cash flows (I+II) 56,542 ∆145,808 93,575 ∆112,584 34,151

III.Net cash provided by (used in) financing activities

∆100,704 102,155 ∆80,408 73,075 14,692

IV.Effect of exchange rate change on cash and cash equiva-lents

∆4,369 ∆13,914 110 ∆4,073 ∆879

V.Net increase (decrease) in cash and cash equivalents

∆48,531 ∆57,567 13,277 ∆43,582 47,964

VI.Cash and cash equivalents at beginning of period

423,369 374,838 317,271 330,548 203,879

VII.Increase (decrease) in cash and cash equivalents resulting from change of scope of consolidation

- - - ∆92,787 -

VIII.Increase in cash and cash equivalents resulting from merger

- - - 9,700 -

IX.Cash and cash equivalents at end of period

374,838 317,271 330,548 203,879 251,843

Cash Flows

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