Katakura Industries Co.,Ltd.JP:3001Cash flow

Market cap
¥109.7B
P/E ratio
19x
2014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/122025/12
Depreciation & amortization2,9553,8424,1133,4353,2563,0982,9553,2582,6782,6592,8222,901
Cash from operations 2,1113,0076,1804,6685,6914,9436,5304,604-7123,5765,6438,244
Capital expenditures-6,318-10,317-1,597-1,806-1,527-2,727-1,114-925-817-1,041-1,826-2,467
Cash from investing -7,083-6,7672,261-12,126-1,840-3,5532,1672,2503,623606-1,194609
Payments for dividends -352-351-351-351-421-421-491-546-665-532-663-1,618
Repurchases of common stock-----129--1,148-1,308-165-239-1,601-1,444
Proceeds from issuance of term debt, net4,0008,500-3,200-8,500--4,850-4,540-
Repayments of term debt-932-998-3,117-3,435-1,459-10,004-1,525-1,525-2,252-2,495-5,915-1,956
Cash from financing 3,0977,258-4,450-1,004-1,544-4,978-4,184-4,059-3,262-4,062-6,266-5,681