(million yen)

                         Fiscal Years Ended March 31,

2022 2023 2024 2025 2026
Cash flows from operating activities 1,051,818 1,352,796 2,288,129 1,883,139 1,681,944
Cash flows from investing activities △373,695 △666,929 △827,156 △1,217,274 △623,941
Cash from financing activities △81,812 △564,865 △712,572 △1,390,352 △608,456
Free cash flow 678,123 685,867 1,460,973 665,865 1,058,003