YONEX CO.,LTD.JP:7906Cash flow

Market cap
¥316.2B
P/E ratio
25.1x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,0481,1811,3531,3351,3771,5841,5371,6041,9762,6773,275
Cash from operations 1,0233,6383,2412,7842,2832,9684,5387,4312,98912,48912,978
Capital expenditures-1,844-3,505-2,594-951-1,642-1,443-701-883-3,472-6,574-5,801
Cash from investing -2,081-3,635-2,675-1,171-1,636-1,494-1,067-2,286-4,458-7,373-5,765
Payments for dividends -379-326-446-430-443-442-395-656-960-1,228-1,720
Repurchases of common stock--0-198--0-0-0-319-834-1,061-2,400
Proceeds from issuance of term debt, net1,2001,1002,950--84-3501,7002,1405,560
Repayments of term debt---488-566-566-669-648-893-578-705-982
Cash from financing 8487212,023-919-1,092-1,317-1,281-1,965-480764-2,614