ITEC CORPORATION (E01297) Cash flow

Market cap
P/E ratio
I-Tech Corporation sells and processes steel materials for construction companies, specializing in steel frame construction for high-rise buildings and bridges.
2015/032016/032017/032018/032019/032020/032021/032022/03
Depreciation & amortization7247608158341,3461,3971,2901,240
Cash from operations 2,3563,5917,041-880-2488,9895,611-532
Capital expenditures-350-1,379-1,315-3,406-3,049-483-1,036-1,114
Cash from investing -1,238-752-754-4,512-2,490-258-1,297-1,718
Payments for dividends -275-311-319-374-652-591-421-290
Repurchases of common stock--600-115-764-0--3,952-1,045
Proceeds from issuance of term debt, net---3,5001,000---
Repayments of term debt----398-562-562-562-1,262
Cash from financing 212-2,033-2,8287131,449-4,181-5,571-1,402
AI Chat