SIGMAKOKI CO.,LTD.JP:7713Cash flow

Market cap
¥11.7B
P/E ratio
12.4x
2014/052015/052016/052017/052018/052019/052020/052021/052022/052023/052024/052025/05
Depreciation & amortization434406384339340340385388368383387418
Cash from operations 1,0064369958279868691,1441,5779439831,410380
Capital expenditures-115-227-145-147-201-887-768-175-146-454-1,275-439
Cash from investing -145-209-467-53664-825-298-1,486-708183-1,458-418
Payments for dividends -225-226-226-240-248-262-282-282-282-282-306-297
Repurchases of common stock-----779-------
Proceeds from issuance of term debt, net3252851003503105070021050510100-
Repayments of term debt-225-244-270-232-223-207-272-290-289-289-293-230
Cash from financing -125-185-396-122-942-421143-370-532-113-619-601
Free cash flow
FCF margin (%)