TAKANO CO.,Ltd.JP:7885Cash flow

Market cap
¥12.6B
P/E ratio
20.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization5195947107368971,001984915913990930
Cash from operations 396-1,2492,9471,2721,1497241,5266717331,679836
Capital expenditures-543-772-1,659-1,104-1,258-1,742-639-607-640-889-622
Cash from investing 25081309-1,643-2,358-1,779-732-896-400-508-335
Payments for dividends -122-122-152-213-213-243-243-122-244-274-304
Repurchases of common stock--0-0-----0---
Proceeds from issuance of term debt, net50-150200---10015030-
Repayments of term debt-110-115-100-88-80-83-70-70-59-94-56
Cash from financing -228-285-180-190-391-425-395-133-223-405-425