TSUKISHIMA HOLDINGS CO., LTD.JP:6332Cash flow

Market cap
¥130.8B
P/E ratio
7.8x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,0571,2301,3061,4351,3971,6452,4502,5463,0373,4253,455
Cash from operations -7042,94811,970-6436,6913,64110,0848128,232-5,63218,463
Capital expenditures-1,304-1,447-2,346-1,995-11,543-7,045-4,140-14,627-2,065-2,331-753
Cash from investing -4,854-1,803-1,980-3,747-8,747-8,047-4,446-5,367-2,817-2,7681,434
Payments for dividends -801-979-756-756-756-1,105-1,097-1,055-1,454-2,027-2,052
Repurchases of common stock-1,123-----1,743---1,297-800-308
Proceeds from issuance of term debt, net1,125-3,0003,776-90015,000-1,300-1,065
Repayments of term debt-397-654-775-1,018-1,092-1,023-5,508-5,375-3,791-3,796-4,137
Cash from financing -904-2,0781,3842,3343,171-2,9317,324-628-11,5647,443-20,473