GREENS CO.,LTD.JP:6547Cash flow

Market cap
¥31B
P/E ratio
8.8x
2016/062017/062018/062019/062020/062021/062022/062023/062024/062025/06
Depreciation & amortization316386405448491500522560536638
Cash from operations 1,4192,2321,4782,216-4,591-7,617-1,0304,6296,0137,063
Capital expenditures-471-337-201-1,209-687-555-2,289-767-590-796
Cash from investing -1,184-76945-1,231-926-930-2,254-540-1,658-952
Payments for dividends -10-10-253-257-296-129-1-182-375-479
Repurchases of common stock-----13----2,080-2,428
Proceeds from issuance of term debt, net450--4,1505016,6251,991883-9,000
Repayments of term debt-1,366-886-1,752-4,042-707-732-732-773-821-6,994
Cash from financing -1,4791,163-1,739-1844,1778,1339,417-7,377-3,362-3,817