TANABE ENGINEERING CORPORATIONJP:1828Cash flow

Market cap
¥29.5B
P/E ratio
10.7x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization539545513550580574580689718728732
Cash from operations 9284251,6819273,0618441,6323,0521,830-4,74112,926
Capital expenditures-1,242-221-631-1,435-1,352-1,225-1,424-1,213-616-1,132-1,309
Cash from investing -1,274-207-671-1,436-1,369-1,257-1,134-1,351-648-1,090-1,278
Payments for dividends -92-91-107-214-212-288-320-321-346-434-524
Repurchases of common stock-0--0-0-0-----303-0
Proceeds from issuance of term debt, net700-800-1,000-1,000--5001,000
Repayments of term debt-353-391-511-551-495-380-460-440-400-325-400
Cash from financing 263-46243-1,002-238-497368-1,186-1962,900-4,171