Medirom Healthcare Technologies Inc. (MRM) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2019: 7.87M JPY2020: -366.42M JPY2021: -557.23M JPY2022: -685.70M JPY2023: -631.74M JPY2024: -1.33B JPY-1.33B JPY
2019Operating Cash Flow (JPY)2024
Fiscal YearOperating Cash FlowChange YoY
2024-1.33B JPY-110.8%
2023-631.74M JPY+7.9%
2022-685.70M JPY-23.1%
2021-557.23M JPY-52.1%
2020-366.42M JPY-4755.9%
20197.87M JPY