Sumitomo Mitsui Finance and Leasing Company, LimitedJP:E04791Cash flow

Market cap
P/E ratio
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/03
Cash from operations -70,032-178,522-136,546-100,985-113,811-46,033-343,019-232,629-296,859-388,640-169,745394,387
Cash from investing 18,931-2,916-6,189-6,052-148,604-3,388-15,689-42,567-52,226-36,583-211,687-5,440
Payments for dividends -17,113-17,945-17,575-20,073-18,315-20,165-19,703-20,175-15,554-12,666-12,491-25,332
Repurchases of common stock-------176,284-----
Proceeds from issuance of term debt, net1,117,394438,363628,151461,955547,813438,664804,4451,105,4001,061,580976,9061,886,7611,167,510
Repayments of term debt-1,191,605-378,002-466,348-438,170-404,004-437,429-751,995-819,143-748,480-728,845-1,423,484-1,332,014
Cash from financing 52,067194,826146,90998,711275,47067,796334,357353,662386,094511,677347,474-246,593