SUMINOE Co., Ltd.JP:3501Cash flow

Market cap
¥19.9B
P/E ratio
11.4x
2014/052015/052016/052017/052018/052019/052020/052021/052022/052023/052024/052025/05
Depreciation & amortization1,6401,8621,8931,6201,7251,7692,0301,9791,9152,2292,2572,289
Cash from operations 4,4793,7011,4539833,5194,7605,9014,1673751,8037,4502,283
Capital expenditures-1,502-1,422-742-2,696-950-1,105-1,535-2,060-3,763-2,912-2,974-2,165
Cash from investing -1,221-1,231-3,211-2,170-244-1,448-1,536-754-1,191-2,834-2,323-2,254
Payments for dividends -377-491-490-527-527-511-468-190-348-445-361-501
Repurchases of common stock-1-2-1-1-2-2,058-1,601----1-296
Proceeds from issuance of term debt, net7001,1813,3123,4007003,7002,2005,2006004,5004,8262,350
Repayments of term debt-1,309-1,211-2,084-3,214-1,188-1,642-1,546-3,659-4,000-3,134-2,821-3,242
Cash from financing -895-2,756119354-843-4,964-1,702-3,174-2,074-52-4,204773