SMS CO.,LTDJP:2175Cash flow

Market cap
¥121.4B
P/E ratio
16.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization2645578779651,0611,2111,3711,6491,9772,4102,765
Cash from operations 3,1032,2443,9204,8115,1565,5916,7699,8188,5049,7735,806
Capital expenditures-128-130-67-214-216-419-376-212-286-446-425
Cash from investing -1,050-18,402-1,034-2,095-1,066-2,127-1,783-2,079-3,763-3,739-4,071
Payments for dividends -204-283-289-478-557-644-732-849-915-1,307-1,735
Repurchases of common stock-534---------2,000-3,915
Proceeds from issuance of term debt, net--12,01297310,953------
Repayments of term debt--13-601-1,359-1,941-2,488-4,507-3,070-2,013-1,901-1,901
Cash from financing -1,27218,656-875-1,107-2,943-3,132-5,224-3,987-3,043-5,020-4,148