AXEL MARK INC.JP:3624Cash flow

Market cap
¥1.7B
P/E ratio
2014/092015/092016/092017/092018/092019/092020/092021/092022/092023/092024/092025/09
Depreciation & amortization7526115014032544163
Cash from operations 114115-335-128-390-499-660-1494-173-288-467
Capital expenditures-1-1-46-20-1-2-----0-20
Cash from investing -515270-102-213-378-275-71897-162-108-234
Repurchases of common stock-0-----------
Proceeds from issuance of term debt, net--700---------
Repayments of term debt---19-33-33-165-300-150----2
Cash from financing -992643-377451,147-1278121111,109
Free cash flow----
FCF margin (%)----