PIA CORPORATIONJP:4337Cash flow

Market cap
¥42.1B
P/E ratio
15.3x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization4915306408111,3231,3611,9902,6072,3542,4972,657
Cash from operations -1,1992,7746,1015,85210,537-2,351-21,85813,0589,35512,37515,336
Capital expenditures-62-195-387-973-2,992-6,137-2,120-148-1,281-368-174
Cash from investing -1,067-831-1,618-4,031-5,080-7,963-4,163-2,701-3,564-2,216-1,932
Payments for dividends -140-210-228-232-181-274-68----
Repurchases of common stock--300-429-1,724-1,416-468----896-
Proceeds from issuance of term debt, net----2,8506,65013,900--7,000417
Repayments of term debt-743-162-80-40---294-565-1,315-9,590-1,432
Cash from financing -90648-741-2,0891,1668,97917,285-1,132-3,797-2,596-1,022