SANTEN PHARMACEUTICAL CO.,LTD.JP:4536Cash flow

Market cap
¥573.5B
P/E ratio
16.3x
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization----10,89610,96916,57316,76817,05517,24918,17817,948
Cash from operations 26,68625,38622,52510,84342,84332,89439,94738,80846,04337,14772,64960,928
Capital expenditures-----3,984-5,470-5,824-4,139-17,344-17,277-9,319-6,662
Cash from investing -7,847-61,70937,052-28,201-8,259-2,935-5,175-53,355-35,169-26,777-6,145-8,223
Payments for dividends -----10,559-10,580-10,379-11,188-11,994-12,607-11,881-12,111
Repurchases of common stock-----1-14,124-22--12-26,007-16,962-37,883
Proceeds from issuance of term debt, net-----5671,47730710,00015,639--
Repayments of term debt-----8,316-4,098-500-3,000--5-2,112-158
Cash from financing -7,95428,960-24,066-28,657-17,631-28,107-12,729-16,6855,557-37,220-34,031-53,307