MITSUI E&S Co., Ltd.JP:7003Cash flow

Market cap
¥667B
P/E ratio
25.1x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization17,45717,94518,57617,19514,49515,39012,74510,6497,0437,3877,617
Cash from operations 15,16729,802-7,843-3,55566,176-37,2137,478-20,265-15,043-34,43514,852
Capital expenditures-16,602-16,022-20,237-18,097-18,288-15,626-12,719-8,980-7,393-7,208-9,627
Cash from investing -32,385-34,599-28,753-9,046-13084,12521,115-70,923-2,999-35460,902
Payments for dividends -1,652-1,612-3,220-2,416-3-1----789-1,203
Repurchases of common stock-4,025-18-9-9-14------9,197
Proceeds from issuance of term debt, net29,15668,68257,60940,66420,1942,3361,30015,5101,70030043,857
Repayments of term debt-37,078-28,567-32,314-42,285-61,934-44,195-41,100-25,463-8,165-9,375-6,088
Cash from financing -4,37448,21619,401-14,813-53,340-26,825-6,8138069,51524,110-76,566