YOROZU CORPORATIONJP:7294Cash flow

Market cap
¥26.1B
P/E ratio
31.5x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization8,37310,87010,59211,91512,07512,52210,2468,9039,8809,8137,653
Cash from operations 10,01018,73517,1919,42117,60310,82413,21814,9142,92412,5314,742
Capital expenditures-16,605-13,945-23,473-20,502-13,401-9,572-6,254-2,546-5,967-13,367-9,072
Cash from investing -16,766-15,046-22,627-20,814-13,807-9,584-7,048-4,536-5,164-11,851-11,814
Payments for dividends -494-1,832-913-1,545-1,354-831-309-455-337-749-778
Repurchases of common stock---1,592--------
Proceeds from issuance of term debt, net--14,29413,2215,4971,74216,1381,21010,0002,00012,758
Repayments of term debt-2,593-2,215-9,514-8,000-648-2,994-8,510-14,013-15,461-9,910-7,140
Cash from financing 4,08826010,0756,8751,103-7,7183,775-13,816-4,819-1,7416,758