Sharp CorporationJP:6753Cash flow

Market cap
¥516B
P/E ratio
9.7x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization109,32476,72468,23576,11678,84974,71271,94272,39789,79966,21548,459
Cash from operations 17,339-18,866127,231105,27079,04368,086204,64275,15714,746124,495-1,590
Capital expenditures-49,710-46,364-77,397-102,063-126,259-73,077-35,656-47,590-43,565-40,874-26,798
Cash from investing -16,043-40,513-90,677-126,006-167,587-127,882-14,114-31,448-40,96710,875103,743
Payments for dividends -----21,076-15,028-10,980-18,312-24,425-25-
Repurchases of common stock--10-29,978-32-85,164-97,078-75----
Proceeds from issuance of term debt, net-3328,67535,00132,6951,79040,25115,648111,203-
Repayments of term debt-34,179-55,015-19,204-20,160-21,189-1,605-4,688-14,513-10,908-157,207-60,567
Cash from financing -136,090-15,360272,199-29,133-88,5174,560-76,724-124,291-18,483-149,668-74,768