ARTNATURE INC.JP:7823Cash flow

Market cap
¥27.6B
P/E ratio
17.9x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,0011,2381,2681,1799759709379119021,0961,164
Cash from operations 3,3443,1074,3023,6864,4492,5164,2322,5052,9272,1372,580
Capital expenditures-4,910-1,453-877-874-1,112-787-720-787-1,000-1,134-1,768
Cash from investing -4,714-1,734-3,434-1,000-1,333-2,299-885-1,183-1,417-2,165-2,909
Payments for dividends -907-958-927-993-914-910-905-898-903-909-911
Repurchases of common stock----331-147-146-206----
Proceeds from issuance of term debt, net2,000----------
Repayments of term debt--401-401-401-400-398-----
Cash from financing 860-1,542-1,378-1,756-1,481-1,463-1,112-924-924-919-911