NCXX Group Inc.JP:6634Cash flow

Market cap
¥4.5B
P/E ratio
270.5x
2014/112015/112016/112017/112018/112019/112020/112021/112022/112023/112024/11
Depreciation & amortization28561212132061136840191723
Cash from operations 1,449-1,090342-1,388981-602-285-176-293-149-353
Capital expenditures-134-385-113-134-278-86-25-42-6-48-11
Cash from investing -851-8456873,929-1,0991,230680638-355189-297
Payments for dividends --1-0--------
Repurchases of common stock--43-10-13-------
Proceeds from issuance of term debt, net9402,58377934339311045011--80
Repayments of term debt-199-1,896-2,654-2,060-1,055-807-244-85-38-17-58
Cash from financing 2,073829-2,047-1,852-1,389-733-297-736308-6728