OKUMA CorporationJP:6103Cash flow

Market cap
¥256.2B
P/E ratio
23x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization6,0505,5015,4635,0655,5985,9896,5817,0187,9639,6349,209
Cash from operations 24,11823,6689,92829,82711,64910,04118,96216,16016,0615,25117,802
Capital expenditures-1,865-2,557-7,009-7,875-6,501-9,976-2,605-3,738-5,512-6,374-6,629
Cash from investing -3,897-5,826-9,633-12,441-4,913-15,539-5,872-8,709-6,528-12,579-15,257
Payments for dividends -1,799-2,566-3,047-2,887-3,850-4,104-2,525-1,736-4,531-5,867-6,066
Repurchases of common stock-3,010-16-8-20-3,010-5-5-798-2,344-3,690-1,227
Proceeds from issuance of term debt, net----------5,000
Repayments of term debt-2,102-4,080---------
Cash from financing -8,870-7,435-1,264-6,135-7,471-8,219-4,072-3,043-7,616-10,727-3,498