Avex Inc.JP:7860Cash flow

Market cap
¥57.1B
P/E ratio
44.2x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization5,6183,3003,6234,1093,3853,2922,8882,1702,3461,7721,607
Cash from operations 11,3378,1698,21913,42911,003-4,032-6,480-4,4649,1923,691-4,675
Capital expenditures-1,809-367-8,201-9,376-1,881-332-2,055-659-1,131-2,293-2,694
Cash from investing -1,330-6,778-11,845-12,919-6,381-3,44470,041-3,387-3,131-2,399928
Payments for dividends -2,090-2,163-2,153-2,158-2,166-2,174-2,179-5,094-2,254-2,258-2,206
Repurchases of common stock-1,790-2,201--290---2,587----4,358
Proceeds from issuance of term debt, net--8,0007,290--90----
Repayments of term debt-754-625--1,604-3,168-3,093-7,658-54-7-3-3
Cash from financing -3,040-5,9696,7923,476-10,0142,659-28,928-314-2,493-2,360-4,111