JP:2975Cash flow

Market cap
¥47.5B
P/E ratio
11.3x
2019/112020/112021/112022/112023/112024/11
Depreciation & amortization226177485962
Cash from operations -10,2704,766-4,915-4,593-1,761-5,269
Capital expenditures-13-3-4-35-2-7
Cash from investing -69-378-312-310-63-57
Payments for dividends -552-583-531-688-669-687
Repurchases of common stock-0--720-3,258-230-469
Proceeds from issuance of term debt, net28,15224,90822,85332,28639,96538,558
Repayments of term debt-16,779-24,547-21,236-23,580-35,163-36,165
Cash from financing 10,542-1,3139344,9012,9143,031