NEW OTANI CO., LTD.JP:E04564Cash flow

Market cap
P/E ratio
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/03
Depreciation & amortization2,0671,9782,0652,2372,4252,6072,8552,9922,9382,6422,509
Cash from operations 2,7533,6855,0988,7067,6388,5927,5688,540-7,975-6,3194,859
Capital expenditures-1,321-1,191-1,710-2,248-2,445-3,456-3,661-3,549-2,572-1,462-1,979
Cash from investing -1,189-857-875-3,041-849-3,296-3,046-2,242-4,153359-1,792
Payments for dividends ---69-69-138-138-138-138-138-69-69
Proceeds from issuance of term debt, net29,28130,60136,06022,59811,98024,89526,52926,19017,80823,8001,602
Repayments of term debt-29,727-31,678-37,095-21,244-20,395-28,176-29,219-29,259-15,898-12,072-9,483
Cash from financing -1,836-2,581-4,229-2-9,157-4,026-3,168-3,5117,5368,095-3,354