Namura Shipbuilding Co.,Ltd.JP:7014Cash flow

Market cap
¥287.6B
P/E ratio
19.2x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization3,9413,9713,9544,1904,0503,9294,1703,9493,5723,5883,447
Cash from operations 8,1728,565-3,141-14,237-15,613-11,639-26,63615,0968,99927,40537,727
Capital expenditures-1,190-2,067-4,650-6,464-3,482-6,733-3,779-1,443-1,896-1,800-5,302
Cash from investing -881-2,470-2,770-6,8445,595-6,983-4,065-715-1,262-1,919-5,258
Payments for dividends -1,694-2,069-1,173-897-690-691-207---693-2,428
Proceeds from issuance of term debt, net4,4334,2005,1005,2333,0001,4112,6621,2955,0733,7677,070
Repayments of term debt-4,281-4,833-4,672-3,724-3,428-2,972-2,214-7,977-3,805-2,297-2,203
Cash from financing -4,892-2,945-76432-1,279-3,297-124-2,500-3,3845712,287