OVAL CorporationJP:7727Cash flow

Market cap
¥16.9B
P/E ratio
15.7x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization350369351443465512511547613499534
Cash from operations 6337816567307137538241,2276171,0021,988
Capital expenditures-207-273-476-941-399-406-855-429-370-268-715
Cash from investing -352-296-815-54912-1,436-981-113-380-172-845
Payments for dividends -190-101-157-134-134-157-134-134-157-269-313
Repurchases of common stock-0-0--0--0---0--0
Proceeds from issuance of term debt, net2006002004002001,102440800200200200
Repayments of term debt-235-252-312-512-292-419-463-502-582-554-407
Cash from financing -187175-559-319-5384441,274-1,527-575-683-607