RISKMONSTER.COMJP:3768Cash flow

Market cap
¥4.3B
P/E ratio
20.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization257289294300308335358419532651775
Cash from operations 3874197104557397111,053651917812226
Capital expenditures-1,065-176-26-59-50-72-70-11-28-17-29
Cash from investing -1,373-382-377-366-255-468-442-793-790-714-1,021
Payments for dividends -36-37-39-51-59-66-74-104-109-110-110
Repurchases of common stock-76-83-202-328-89-246-0--100-100-
Proceeds from issuance of term debt, net600----------
Repayments of term debt-23-60-60-60-60-60-60-131-60-60-35
Cash from financing 465-186-193-307-195-373-137-249-273-278200