Smaregi,Inc.JP:4431Cash flow

Market cap
¥60.9B
P/E ratio
29.6x
2019/042020/042021/042022/042023/042024/042025/04
Depreciation & amortization5064123102150214314
Cash from operations 3717307732239861,7112,465
Capital expenditures-52-4--8-69-277-515
Cash from investing -106-190-103-85-311-393-1,920
Repurchases of common stock--0-316-0-448--
Proceeds from issuance of term debt, net100------
Repayments of term debt-29-96-----
Cash from financing 2,027-91-22917-448982
Free cash flow-
FCF margin (%)-