DKK-TOA CORPORATIONJP:6848

Market cap
¥16.8B
P/E ratio
14.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization506465448436510442426465537510697
Cash from operations 1,2599881,1169951,8491,0741,8091,4923071651,837
Capital expenditures-207-182-1,481-799-450-303-321-241-416-2,337-1,387
Cash from investing -358-492-1,205-823-476-350-451-366-374-1,729-596
Payments for dividends -218-218-238-257-297-317-337-336-337-354-414
Repurchases of common stock---------104--
Proceeds from issuance of term debt, net100100100100100-100100-100800
Repayments of term debt-100-102-91-91-100-100-68-65-66-68-65
Cash from financing -360-291-244-442-153-443-482-343-553-376266