PERSOL HOLDINGS CO.,LTD.JP:2181Cash flow

Market cap
¥666.9B
P/E ratio
15.9x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization2,7493,0613,9884,9077,2499,46610,78512,15016,05929,63432,984
Cash from operations 28,89413,27939,61735,00342,35328,59237,57450,69252,79677,75368,854
Capital expenditures-873-1,491-1,285-1,949-2,373-4,919-3,666-2,604-3,331-3,279-5,139
Cash from investing -13,529-15,065-9,708-66,732-15,141-17,576-14,022-7,057-22,504-19,000-29,765
Payments for dividends -2,046-2,721-3,522-4,209-4,677-7,001-6,485-7,651-9,969-18,921-19,809
Repurchases of common stock-3-11-3,001-1,276-5-5,007-1,903--9,999--20,000
Proceeds from issuance of term debt, net-15,713--20,00020,0005,747----
Repayments of term debt-4,640-4,860-4,640-13,533-4,640-10,021-10,032-691-13,040-190-10,001
Cash from financing 8,937-7,213-11,65550,186-48,165-1,987-17,973-21,145-38,268-53,803-63,878