AT-Group Co., Ltd.JP:E02514Cash flow

Market cap
P/E ratio
2014/032015/032016/032017/032018/032019/032020/032021/03
Depreciation & amortization15,99617,14618,46519,32221,38822,58523,27422,429
Cash from operations 25,34924,31031,19223,19517,49929,02526,06428,250
Cash from investing -23,594-24,048-24,542-29,697-27,215-31,984-32,517-21,300
Payments for dividends -1,177-1,345-1,344-1,678-1,679-1,511-1,486-1,033
Proceeds from issuance of term debt, net4,8003,0004,300-10,00013,3005,200300
Repayments of term debt-1,697-878-4,928-1,300-300-5,100-500-5,800
Cash from financing -1,626-602-6,5655,9459,7283,0175,884-7,139