CONSOLIDATED STATEMENTS OF CASH FLOWS,,,,,, ,,,,,,Million yen ,Mar-04,Mar-05,Mar-06,Mar-07,Mar-08,Mar-09 I Cash follows from operating activities,"15,750","11,102","16,405","8,293","18,249","14,055" II Cash flows from investing activities,"-3,804","-4,569","-4,896","-6,941","-8,969","-9,329" III Cash flows from financing activities,"-5,335","-7,808","-7,273","6,134","-5,748","-6,189" IV Effect exchange rate changes on cash and cash equivalents,-64,19,204,205,1,-959 V Increase in cash and cash equivalents,"6,546","-1,256","4,440","7,692","3,533","-2,423" VI Cash and cash equivalents at beginning of year,"7,929","14,476","14,035","18,496","26,188","29,722" VII Increase in cash and cash equivalents from newly consolidated company,-,815,20,-,-,- VIII Cash and cash equivalents at end of year,"14,476","14,035","18,496","26,188","29,722","27,299" Note: Amounts less than one million yen have been rounded down.,,,,,,