TECHNOFLEX CORPORATIONJP:3449Cash flow

Market cap
¥48.3B
P/E ratio
16.6x
2018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization626668606731858902911
Cash from operations 2,1742,8252,5871,0611,8021,9152,846
Capital expenditures-904-913-1,018-929-1,905-2,881-3,315
Cash from investing -940-960-411-1,082-2,017-2,897-3,366
Payments for dividends -538-502-802-748-766-1,099-989
Repurchases of common stock----0---0
Proceeds from issuance of term debt, net----5,0008551,194
Repayments of term debt-664-1,263-557-482-454-714-670
Cash from financing -1,328-1,686-1,493-4991,774-1,3141,435