OXIDE Corporation (6521) Cash flow

Market cap
¥58.3B
P/E ratio
800.9x
Oxide develops and manufactures optical products including single crystals, laser components, and measurement instruments for semiconductor, healthcare, and emerging technology markets.
2019/022020/022021/022022/022023/022024/022025/02
Depreciation & amortization161209225269356716817
Cash from operations 266-126568443-119-954885
Capital expenditures-775-498-245-790-1,483-1,676-1,661
Cash from investing -1,085-508-301-849-1,732-6,143-1,545
Repurchases of common stock----0-1-0-
Proceeds from issuance of term debt, net7304441,017-1,2007,100620
Repayments of term debt-165-340-547-276-726-3,501-919
Cash from financing 1,5293332411,3761,1217,3001,278
Free cash flow
FCF margin (%)