Sobal CorporationJP:2186Cash flow

Market cap
¥7.5B
P/E ratio
16.4x
2015/022016/022017/022018/022019/022020/022021/022022/022023/022024/022025/02
Depreciation & amortization2119221916151615131542
Cash from operations 70114522054034491036943152596844
Capital expenditures-54-29-7-3-3-4-7-11-10-17-18
Cash from investing -24615395-14-7-21-13-11400-17271
Payments for dividends -113-155-171-183-208-232-243-251-262-259-259
Repurchases of common stock-136-0-157-0-0-342--0---0
Cash from financing -248-578-328-183-208-573-243-251-262-259-259
Free cash flow
FCF margin (%)