SanBio Company LimitedJP:4592Cash flow

Market cap
¥122.2B
P/E ratio
-30.2x
2015/012016/012017/012018/012019/012020/012021/012022/012023/012024/012025/01
Depreciation & amortization614275437407413225159
Cash from operations -219-1,362-1,796-1,907-3,968-5,717-5,216-6,547-7,434-4,766-3,603
Capital expenditures-3-60-97-32-6-96-96-42-8-11-5
Cash from investing -480-43679658-1,007-1154,180-66-10-19-4
Proceeds from issuance of term debt, net1,100-9001,6501,8005002,300----
Repayments of term debt---800-550-67-533-2,800-975-1,592-268-268
Cash from financing 1,3747,40215998212,7207,022-57-1,4959,4462,3712,091
Free cash flow
FCF margin (%)-----