ahjikanco.,ltdJP:2907Cash flow

Market cap
¥10.3B
P/E ratio
11.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization5805736058001,0861,1451,1201,0581,0631,1281,193
Cash from operations 1,0651,1342,261-5181,6412,2092,0024429601,3773,455
Capital expenditures-789-447-1,610-3,604-1,410-841-381-384-523-928-951
Cash from investing -818-470-1,603-3,618-1,064-816-239-438-534-1,101-763
Payments for dividends -91-91-91-137-114-114-113-113-116-121-189
Repurchases of common stock---0-0-------
Proceeds from issuance of term debt, net8001003002,550700500500-800650500
Repayments of term debt-410-444-384-558-866-1,052-1,018-708-699-514-553
Cash from financing -399-530-4613,969-569-1,060-1,771-78-180-248-2,578