A.D.Works Group Co.,Ltd.JP:2982Cash flow

Market cap
¥22B
P/E ratio
2020/122021/122022/122023/122024/122025/12
Depreciation & amortization98109119125162201
Cash from operations -1,058-4,436-11,455-6841,726-5,954
Capital expenditures-3-4-14-35-393-1,233
Cash from investing -625-152142-147-330-1,335
Payments for dividends -140-106-164-390-443-564
Repurchases of common stock-----100-
Proceeds from issuance of term debt, net10,73716,47826,21127,23834,39653,168
Repayments of term debt-10,340-12,497-17,337-25,806-33,248-43,042
Cash from financing 1635,26010,0743,007-1,2038,901