NAKAMOTO PACKS CO.,LTD.JP:7811Cash flow

Market cap
¥17.8B
P/E ratio
8.8x
2015/022016/022017/022018/022019/022020/022021/022022/022023/022024/022025/02
Depreciation & amortization6948428849418721,0031,0531,3121,3071,2941,289
Cash from operations 8091,2681,6661,4992,0298962,4363,3401,5483,4582,354
Capital expenditures-1,723-1,499-957-1,209-2,117-983-1,541-1,522---
Cash from investing -1,738-1,455-925-1,200-2,348-1,166-1,728-1,629-776-2,533-1,157
Payments for dividends -198-198-394-449-449-462-457-473-524-506-562
Repurchases of common stock---0-0-0-0-0---0-2
Proceeds from issuance of term debt, net7509128677008307007297297001,8631,200
Repayments of term debt-894-855-923-848-862-836-850-1,064-748-773-965
Cash from financing 33575507-492-214-181478-783-684-33-1,240