TAKARA & COMPANY LTD.JP:7921Cash flow

Market cap
¥60.5B
P/E ratio
19.2x
2014/052015/052016/052017/052018/052019/052020/052021/052022/052023/052024/052025/05
Depreciation & amortization4585275535356146255657299621,0101,0411,068
Cash from operations 1,0931,0841,9781,5641,4871,8013,0692,5312,7434,7233,3554,367
Capital expenditures-99-204-88-78-109-77-422-83-68-186-552-308
Cash from investing -386-628-312-576-850-777-5,187-1,357-899-692-8331,272
Payments for dividends -233-279-549-565-556-558-580-654-751-839-973-1,100
Repurchases of common stock-0-500-1-1-0-1-0-0-0-199-213-1
Proceeds from issuance of term debt, net----80560-100----
Repayments of term debt-10-10-10-6-3-24-124-138-141-141-135-29
Cash from financing -337-790-561-575-481-301,4771,193-1,234-1,192-1,371-1,127
Free cash flow
FCF margin (%)