San ju San Financial Group,IncJP:7322Cash flow

Market cap
¥121.8B
P/E ratio
10.9x
2019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization3,2373,4553,9945,2934,6484,4084,369
Cash from operations -21,517-110,265269,310374,900-382,46667,0939,742
Capital expenditures-1,876-2,485-3,383-2,020-1,825-3,426-2,471
Cash from investing 9,64370,07552,865-5,048-143,93723,385-11,667
Payments for dividends -2,795-2,224-2,225-2,228-2,056-1,883-2,118
Repurchases of common stock-325-3-2-2-30,223-4-4
Cash from financing -4,865-10,146-2,228-2,254-32,287-2,287-2,123