freee K.K.JP:4478Cash flow

Market cap
¥181.7B
P/E ratio
2019/062020/062021/062022/062023/062024/062025/06
Depreciation & amortization50179296324--321
Cash from operations -1,726-1,380-193-1,070-4,754-6,7683,662
Capital expenditures-72-219-92-1,606-686-663-46
Cash from investing -539-1,307-3,181-4,484-1,935-1,088-4,601
Repurchases of common stock-----0-0-1
Repayments of term debt----292-120--18
Cash from financing 6,48411,97035,3804525443,7054,978