Sincere Co., LTD.JP:7782Cash flow

Market cap
¥3.4B
P/E ratio
12x
2015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization61013891411111033
Cash from operations -5261579-37186263-424-308246435
Capital expenditures-17-6-7-4-7-8-30-1-31-25
Cash from investing 119-86-317371-69-6076-29-377-421
Payments for dividends ---65-82-12-25-81-31-25-89
Repurchases of common stock-240---441-0--0---
Proceeds from issuance of term debt, net----300-400376473128
Repayments of term debt-60-60-40-17-45-60-60-164-221-227
Cash from financing -22-2409-249-57-752593311,177-333