JP:9278Cash flow

Market cap
¥33.7B
P/E ratio
13.1x
2019/032020/032021/052022/052023/052024/052025/05
Depreciation & amortization1,5701,5811,7101,5231,6501,8602,201
Cash from operations 2,7513,5432,2352,7822434,0843,062
Capital expenditures-663-1,161-681-880-2,033-1,732-2,154
Cash from investing -559-2,744-1,331-1,863-3,453-2,411-2,510
Payments for dividends -205-261-104-104-357-494-493
Repurchases of common stock-2,343------3,230
Proceeds from issuance of term debt, net5,4004,0502,5505,1953,2004,7003,700
Repayments of term debt-5,143-4,090-4,326-4,210-3,580-3,617-4,541
Cash from financing -9,895-832-1,1581,408490-100-1,118
Free cash flow
FCF margin (%)