MonotaRO Co.,Ltd.JP:3064Cash flow

Market cap
¥1.19T
P/E ratio
39.1x
2014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization4785196261,0651,2121,3951,5622,1453,5654,8765,760
Cash from operations 1,8693,7594,9836,09810,5389,06415,26912,25815,48329,93228,662
Capital expenditures-147-590-6,300-3,236-424-1,055-7,639-9,647-9,461-5,852-1,320
Cash from investing -857-1,073-6,101-3,285-1,467-3,765-9,015-14,290-12,535-8,401-3,582
Payments for dividends -792-1,047-1,977-2,478-2,979-3,478-3,975-5,214-6,087-7,451-8,444
Repurchases of common stock-20-17-14-13-20-21-68-97-89-126-139
Proceeds from issuance of term debt, net8006,500----9,000-633--
Repayments of term debt-89-314-315-225-2,126-2,000-2,498---4,715-4,722
Cash from financing -1,1074,343-2,561-1,380-5,674-6,5621,773-5,766-5,514-11,705-13,339