JP:7172Cash flow

Market cap
¥125.2B
P/E ratio
11.8x
2014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization312910218998520446331360
Cash from operations -11,1487,410-11,469-23,086-23,007-20,67124,02424,147-48,944-18,101-10,114
Capital expenditures-13-17-9-40-74-26-309-56-128-54-695
Cash from investing -55-598-250-2,807-1,850-1,771-1,727-18,207-9,2703,94013,492
Payments for dividends ---48-146-326-564-850-962-966-965-1,210
Repurchases of common stock--200-0-0-1,271-0-----
Proceeds from issuance of term debt, net--9501,1002,7005,1504,8912,27621,6586,55519,793
Repayments of term debt---100-529-1,170-2,163-2,272-2,157-4,441-17,439-17,065
Cash from financing 12,163-5,72415,90130,75033,70138,984-37,054-15,35866,58921,26219,419