PIETRO Co., Ltd.JP:2818Cash flow

Market cap
¥12.5B
P/E ratio
203.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization209208280302286312344387427444457
Cash from operations 638260703216823525640688561730458
Capital expenditures-188-766-1,030-52-234-212-621-944-198-656-1,462
Cash from investing -208-860-1,136782-192-281-565-770-207-565-1,497
Payments for dividends -106-106-117-125-121-128-128-141-145-145-165
Repurchases of common stock--0--303-0-0--182-0--
Proceeds from issuance of term debt, net-200400---611----
Repayments of term debt-118-328-178-193-158-133-205-172-121-113-127
Cash from financing -280355777-666-477-307222-551-3261,031-351