Star Flyer Inc.JP:9206Cash flow

Market cap
¥7.9B
P/E ratio
4.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,4351,3331,3651,4261,7021,8081,7561,177820787753
Cash from operations 1,2354,2864,4784,9322654,895-3,720-5,2291225295,272
Capital expenditures-168-227-1,584-972-4,319-618-102-21-58-120-116
Cash from investing -42-306-1,908-1,438-4,845-1,9155201,075-159-267-427
Payments for dividends ---57-57-57-28--18---
Proceeds from issuance of term debt, net100--3503,8003,1001,000-3002,900-
Repayments of term debt-3,111-1,183-736-565-609-770-1,270-1,512-1,512-1,436-1,802
Cash from financing -2,057-2,810-1,590-1,0382,7261,2319,035-5,722-3562,168-2,648