taisei oncho co.,ltd.JP:1904Cash flow

Market cap
¥33.1B
P/E ratio
16.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization206254246240238295309352365422426
Cash from operations -3,7404985,196-5831,351-5647,501-5337203,006561
Capital expenditures-607-94-52-74-133-40-2,352-73-231-152-473
Cash from investing -702386-135-1,416-2,104123-2,21143-241-768-114
Payments for dividends -170-196-235-300-299-457-457-472-482-485-1,164
Repurchases of common stock-4-3-1--0-0-0-377-869-3,201-1,531
Proceeds from issuance of term debt, net0----------
Repayments of term debt-0-0---------
Cash from financing -134-467-405-426-474-774-496-878-1,378-3,2251,139