AOYAMA TRADING Co., Ltd.JP:8219Cash flow

Market cap
¥132.2B
P/E ratio
13.4x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization8,5599,3169,7359,4008,8279,9617,7226,8436,9966,9097,084
Cash from operations 18,13619,81617,09327,98714,905-8,155-6,13516,52623,07712,96013,784
Capital expenditures-16,717-11,709-11,772-7,464-6,382-5,199-2,810-2,585-1,793-3,293-3,578
Cash from investing 8,456-35,118-11,288-6,986-2,580-7,92513,2293,776-3,264-2,4915,744
Payments for dividends -5,307-5,507-8,274-8,554-8,587-5,267---401-1,304-4,770
Repurchases of common stock-13,962-7,710-6,509-6,009-1,962-264-----3,140
Proceeds from issuance of term debt, net-40,0005007,00015,00016,5003018,37010,00011,50026,900
Repayments of term debt--4,300--3,000-15,000-500-40,215-377-8,572-18,003-23,954
Cash from financing -18,49725,761-16,055-10,528-11,0098,931-9,777-469-4,483-18,468-21,148