CREAL Inc.JP:2998Cash flow

Market cap
¥28.3B
P/E ratio
15.7x
2020/032021/032022/032023/032024/032025/03
Depreciation & amortization33665626440
Cash from operations 516-5142751,290-1,21110,021
Capital expenditures-363-228-79-20-45-18
Cash from investing -637-239237-123-135-1,170
Payments for dividends -56-55----
Repurchases of common stock----0-1-0
Proceeds from issuance of term debt, net275277792,5822782,755
Repayments of term debt-5-48-255-566-1,404-1,257
Cash from financing 1,1221,409-1,0913,5732,907-1,114