Daiei Kankyo Co., Ltd.JP:9336Cash flow

Market cap
¥404.1B
P/E ratio
27.7x
2021/032022/032023/032024/032025/03
Depreciation & amortization6,2676,2495,4136,2216,174
Cash from operations 11,41218,04516,26621,67423,021
Capital expenditures-14,572-17,659-12,934-13,128-16,227
Cash from investing -14,582-16,445-12,296-15,562-18,956
Payments for dividends -3,058-2,724-2,747-3,393-6,428
Repurchases of common stock----1,985-1,862
Proceeds from issuance of term debt, net23,27016,60050011,90019,500
Repayments of term debt-17,984-15,845-15,348-12,852-13,522
Cash from financing 1,104-3,171-8,968-7,643-3,543