BESTERRA CO., LTDJP:1433Cash flow

Market cap
¥13.3B
P/E ratio
21.4x
2015/012016/012017/012018/012019/012020/012021/012022/012023/012024/012025/01
Depreciation & amortization1740383332362922512435
Cash from operations 308-74-7603701,754-154-109538-355-1,371-607
Capital expenditures-104-58-24-3-188-33-48-38-14-15-31
Cash from investing -113-77-29-5298-2,543-101-33-515-271,482
Payments for dividends ---150-124-124-132-132-132-175-177-177
Repurchases of common stock-----200------
Proceeds from issuance of term debt, net-----1,8001,000--20730
Repayments of term debt-----3-63-228-250-263-332-1,470
Cash from financing 16631412-314-7771,605638250851,504-719
Free cash flow
FCF margin (%)