SE CorporationJP:3423Cash flow

Market cap
¥8.4B
P/E ratio
141.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization272298359330339438505489572667717
Cash from operations 4351,7302181,849774-1352,1342,309-6382,1151,705
Capital expenditures-327-199-274-506-256-1,033-555-605-915-1,107-754
Cash from investing -174-1,001-740-1,221-158-875-655-367-656-1,146-898
Payments for dividends -329-329-299-240-269-299-299-300-421-391-391
Repurchases of common stock----0-------
Proceeds from issuance of term debt, net1,1402,0002,2401,2501,0201,0901,6001,1102,3101,9901,100
Repayments of term debt-1,455-1,292-1,476-1,421-1,354-1,273-1,396-1,780-1,343-1,469-1,546
Cash from financing -498112621-955-900-699-348-1,253749-254-1,040