baudroie,inc.JP:4413Cash flow

Market cap
¥74.6B
P/E ratio
30.7x
2020/022021/022022/022023/022024/022025/02
Depreciation & amortization1111101715241
Cash from operations 4383534938521,1911,909
Capital expenditures-0-2-4-3-166-2
Cash from investing -408615-107-332350
Repurchases of common stock----0-700-2,691
Proceeds from issuance of term debt, net1805030400400400
Repayments of term debt-137-126-120-174-217-394
Cash from financing -9-64895197-535-3,023