Oriental Shiraishi CorporationJP:1786Cash flow

Market cap
¥57.9B
P/E ratio
19.3x
2020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,0791,1851,5391,4881,4961,360
Cash from operations -246-2,0398,6944,0815,2737,803
Capital expenditures-1,380-1,131-1,145-910-1,530-2,388
Cash from investing 741-2,958-1,942-1,231-996-5,211
Payments for dividends -932-929-944-1,286-2,446-2,006
Repurchases of common stock---300--306-500
Proceeds from issuance of term debt, net-3,730--300600
Repayments of term debt-285-285-925-658-588-373
Cash from financing -1,2182,404-2,092-2,2591,999-2,895