IKK Holdings Inc.JP:2198Cash flow

Market cap
¥24.1B
P/E ratio
32.1x
2014/102015/102016/102017/102018/102019/102020/102021/102022/102023/102024/102025/10
Depreciation & amortization9401,1801,1191,0481,1791,1301,2111,1121,0111,0941,1591,125
Cash from operations 1,9822,5242,5991,1983,6252,050-4,3562,6253,4971,6663,9501,986
Capital expenditures-2,894-1,661-339-2,281-927-1,245-556-199-701-1,802-544-781
Cash from investing -3,089-1,715-323-3,533-1,185-2,095-442-151-750-1,685-308-1,722
Payments for dividends -287-299-300-360-359-359-359-1-1-299-702-703
Repurchases of common stock----459---482---400-507-0
Proceeds from issuance of term debt, net1,9502,100-2,260-1,2001,567-2302,670556-
Repayments of term debt-915-1,087-1,187-1,127-1,060-1,069-1,115-1,013-792-1,075-1,206-1,202
Cash from financing 869847-1,348694-1,278-911,633-936-427-875-1,923-1,590
Free cash flow
FCF margin (%)