Dynapac Co., Ltd.JP:3947Cash flow

Market cap
¥24.2B
P/E ratio
8x
2014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization2,0101,9482,0492,0552,0941,8931,7581,8531,8521,8571,976
Cash from operations 2,0632,4482,5503,1958102,6632,7644,2993,0655,7831,075
Capital expenditures-1,562-1,875-2,164-1,947-1,958-1,447-1,286-1,475-1,923-3,346-2,178
Cash from investing -1,796-1,808-2,177-233-209-1,393-1,588-1,593-1,808-3,400-4,042
Payments for dividends -395-396-396-389-499-494-494-495-496-497-595
Repurchases of common stock-4-2-2-2-1-1-1-1-1-0-1
Proceeds from issuance of term debt, net1,000-700--1,00080--379-
Repayments of term debt-262-425-495-565-426-542-452-420-343-260-571
Cash from financing 165-1,029-437-2,758-206-923-1,019-1,66527-667687