Arr Planner Co.,Ltd.JP:2983Cash flow

Market cap
¥16B
P/E ratio
6.6x
2019/012020/012021/012022/012023/012024/012025/01
Depreciation & amortization111136168183235249241
Cash from operations -950-1,092162-2,457-3,0676081,949
Capital expenditures-252-297-225-267-386-162-226
Cash from investing -281-301-291-379-468-214-324
Payments for dividends -----27-80-133
Repurchases of common stock------47-0
Proceeds from issuance of term debt, net3,0774,3023,4536,1308,5007,9869,466
Repayments of term debt-1,842-2,907-3,752-3,706-6,157-8,290-8,238
Cash from financing 2,2119254443,6193,10218290
Free cash flow
FCF margin (%)