OKUMURA ENGINEERING CORP.JP:6229Cash flow

Market cap
¥8.4B
P/E ratio
13.1x
2019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization215301339379332329304
Cash from operations 2881,5741,093993-1,2946291,121
Capital expenditures-1,394-754-1,279-204-71-204-157
Cash from investing -1,390-819-1,903-237586-250-129
Payments for dividends -66-66-66-181-203-181-181
Repurchases of common stock---0----
Proceeds from issuance of term debt, net98200404-1,000--
Repayments of term debt-209-343-274-286-1,414-233-251
Cash from financing 546-8591,242-695-558-630-359