Astena Holdings Co., Ltd.JP:8095Cash flow

Market cap
¥19.7B
P/E ratio
8.3x
2014/112015/112016/112017/112018/112019/112020/112021/112022/112023/112024/112025/11
Depreciation & amortization8679469447597568181,3701,8302,1182,2162,3072,427
Cash from operations 4242,4499541,5241,6561,6044,1441,349-7421,6444,8483,393
Capital expenditures-534-538-584-403-681-1,094-1,308-2,935-2,771-3,821-2,841-2,893
Cash from investing -608-338-573-52-1,974-1,656-8,254-4,380-2,222-2,835-2,938-5,557
Payments for dividends -252-202-200-199-317-385-471-651-729-719-727-735
Repurchases of common stock---107-447-1-0-0-4-310-0-7-
Proceeds from issuance of term debt, net500600-184-1,0006,3501,000-1,000-5,000
Repayments of term debt-158-730-487-60-597-147-914-972-1,053-1,198-1,198-1,585
Cash from financing 439-1,735-838-7201383246,7686,353-1,0931,078-2,6516,202
Free cash flow
FCF margin (%)