JSP CorporationJP:7942Cash flow

Market cap
¥83B
P/E ratio
11.9x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization5,3274,9034,9525,0725,6016,4276,6086,8327,1377,6327,843
Cash from operations 8,28913,84910,68810,8497,39111,48412,2115,9728,72515,6658,896
Cash from investing -8,029-6,001-6,188-7,661-10,368-12,406-5,174-5,888-6,478-8,056-8,611
Payments for dividends -894-894-1,341-1,639-1,490-1,490-1,490-1,490-1,490-1,490-2,096
Repurchases of common stock-3-2-2-2-1-----6,061-1
Proceeds from issuance of term debt, net6,6002,6001995,3256,5004,6004,5003,8004,9009,0003,800
Repayments of term debt-5,282-5,788-4,915-4,295-4,233-4,158-3,969-4,356-4,720-4,842-6,055
Cash from financing 1,156-5,907-6,497-5061,708-358-2,266-2,5651,016-8,449-3,833