Nishimatsu Construction Co., Ltd.JP:1820Cash flow

Market cap
¥245.3B
P/E ratio
13.2x
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,7571,7551,7781,8611,8252,0112,2092,6173,3503,7283,9663,9934,452
Cash from operations 9,7763,129-10,4484,12040,76313,570-15,88214,1204,90741,24334,74732,0375,889
Capital expenditures-12,202-5,736-3,446-9,828-11,179-18,364-21,043-24,756-19,889-29,833-26,043-14,737-24,048
Cash from investing -10,770-3,246-1,236-9,688-13,945-15,422-23,633-20,1475,302-22,532-27,450-41,819-36,250
Payments for dividends -1,109-1,110-1,663-2,764-4,420-5,756-5,193-5,744-5,743-10,651-10,728-6,388-9,520
Proceeds from issuance of term debt, net20,000950--100-----3,15721,82614,210
Repayments of term debt-14,237-5,823-4,793-25,106-5,610-607--100-----
Cash from financing 6,5363,750-5,701-2,960-15,039-4,91838,55520,952-12,653-16,074-2,36511,08316,134