AIFUL CORPORATIONJP:8515Cash flow

Market cap
¥272.4B
P/E ratio
9.8x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization2,7532,3622,3382,3842,6533,0173,4183,4173,5993,9134,347
Cash from operations 18,503-31,674-51,222-70,221-41,765-51,13320,280-15,628-70,589-74,208-82,874
Capital expenditures-1,405-989-1,170-1,189-201-502-1,722-461-996-2,296-18,189
Cash from investing -6,385-3,043-6,192-3,546-4,219-2,718-9,274-2,218-8,947-12,762-35,099
Payments for dividends --------483-483-483-483
Repurchases of common stock-----------2,000
Proceeds from issuance of term debt, net68,100108,60076,450127,758132,470187,087120,450201,495259,557259,187365,698
Repayments of term debt-125,751-80,624-32,207-47,659-101,940-154,703-131,050-164,251-190,908-210,131-271,428
Cash from financing -26,58822,00251,05467,56052,65755,356-18,81321,02878,195100,929119,822