Sumitomo Pharma Co., Ltd.JP:4506Cash flow

Market cap
¥1.16T
P/E ratio
12.6x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization13,78014,28613,05812,88713,97617,36522,67338,34841,26337,76525,562
Cash from operations 30,25149,41521,62493,42048,71146,128135,60131,23911,937-241,89316,500
Capital expenditures-8,662-5,382-8,132-5,129-9,265-7,722-6,048-7,347-8,467-10,771-8,498
Cash from investing 23,44715,887-59,729-16,523-35,049-312,6848,875-18,27852,41933,03699,754
Payments for dividends -7,152-7,152-7,151-7,944-11,122-13,106-11,120-11,126-11,125-2,792-3
Proceeds from issuance of term debt, net---35,300--125,000---139,487
Repayments of term debt-10,348-6,529-12,000-9,400-2,960-19,623-2,960-4,960-20,060--70,000
Cash from financing -15,725-42,6059,881-29,610-28,645231,081-57,215-21,426-146,81777,851-108,836