NAKAMURAYA CO.,LTD.JP:2204Cash flow

Market cap
¥18.6B
P/E ratio
34.5x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization9821,0811,1511,1161,3541,8841,8651,6281,6031,5981,487
Cash from operations 1,3321,9251,7496291,879-314-1735046584,7075,165
Capital expenditures-3,119-651-1,688-8,237-7,412-417-348-534-749-816-686
Cash from investing -3,145-4351,60579-6,5251,436596-250-605-110-654
Payments for dividends -591-591-591-682-507-507-507-298-299-299-347
Proceeds from issuance of term debt, net1,6002,300---3,2003,000----
Repayments of term debt-78-158-1,955-123--800-4,700-3,000---
Cash from financing 1,810-557-2,604-7102,886-608-1,094-213-17-4,679-3,032