TONE CO.,LTD.JP:5967Cash flow

Market cap
¥11.5B
P/E ratio
13.4x
2014/052015/052016/052017/052018/052019/052020/052021/052022/052023/052024/052025/05
Depreciation & amortization108102108115969792103129120127159
Cash from operations 93904944984937888521,051770382-760629
Capital expenditures-118-256-61-152-338-127-229-53-691-232-439-390
Cash from investing -164-258-55-140-339213-262-49-1,346-238-550-353
Payments for dividends -134-103-134-124-72-144-124-116-111-135-207-203
Repurchases of common stock-------407-0-367-96-300-
Proceeds from issuance of term debt, net10020050050---100--2,250-
Repayments of term debt-267-240-401-274-231-140-63-38--100-92-397
Cash from financing -90-223-481-386-19-605-601472-112-131,700-607