TAKAMATSU CONSTRUCTION GROUPJP:1762Cash flow

Market cap
¥143.3B
P/E ratio
18.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization7558348219061,1201,2191,2661,3841,3811,9732,051
Cash from operations 3,8232,6768,0615,1464,16021,791-4,1162,513-6,281-10,4765,132
Capital expenditures-938-1,514-1,614-7,151-3,976-10,936-3,450-4,397-6,969-3,163-1,374
Cash from investing 280-658-1,388-7,850-5,371-11,988-7,298-6,547-5,351-2,066-1,699
Payments for dividends -899-1,007-1,331-1,715-2,017-2,122-2,191-2,192-2,192-2,573-3,343
Repurchases of common stock----3,218-------
Repayments of term debt-----998------
Cash from financing -1,185-1,338-1,718-6,121-5,402-6512,336-1,179-19,5563,2445,458