KOBELCO WIRE COMPANY, LTD.JP:5660Cash flow

Market cap
¥8.4B
P/E ratio
10.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization9881,0471,0641,1631,0591,0871,0441,019987950973
Cash from operations 2,5991,2211,4672,2262,2262887648875831,3691,133
Capital expenditures-626-1,393-825-1,134-834-1,009-857-958-709-708-907
Cash from investing -1,272-1,354-952-1,238-942-1,005-968-1,002-617-462-697
Payments for dividends -259-259-259-259-273-235-118-59-324-294-324
Repurchases of common stock-2-1--1-------
Proceeds from issuance of term debt, net2002,5501,9501,2001,500-2,6001,9801,2002,7001,400
Repayments of term debt-2,914-3,840-2,413-4,720-1,372-1,002-1,958-1,506-1,077-1,786-1,206
Cash from financing -3,027-1,638-443-1,150-1,752-1,460363-221-390-283-132