JP:5857Cash flow

Market cap
¥267B
P/E ratio
11.9x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization1,7852,044-2,2672,3202,8272,5382,6893,3133,6322,764
Cash from operations 9,41914,2893,319-13,397-20,648-60,318-33,35311,10336,75412,62114,685
Capital expenditures-1,345-1,502--2,762-5,552-3,960-5,141-8,403-4,416-7,585-7,423
Cash from investing -29,633-1,900-2,442-2,829-5,6291,927-2,800-7,820-3,935-28,707250
Payments for dividends -1,965-1,967--1,956-3,666-4,714-5,902-7,077-6,992-6,897-6,510
Repurchases of common stock--338---744---1,785-4,106--1,000
Proceeds from issuance of term debt, net-20,304-----13,7832,00014,2816,000
Repayments of term debt-2,492-270--270-1,010--20,304----
Cash from financing 21,442-6,473-6,63029,77618,26165,16524,422-6,044-23,8187,050-6,207