Mito Securities Co., Ltd.JP:8622Cash flow

Market cap
¥37.4B
P/E ratio
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization373401338318329415380441443365334
Cash from operations 7,737-1,0452,6557794,5561,1072,278-721-426,920-467
Capital expenditures-295-137-170-530-246-317-150-187-835-79-104
Cash from investing -5681,439-154-560157126-52-587-3461,041963
Payments for dividends -1,064-1,221-637-709-1,193-409-649-1,173-520-1,947-1,871
Repurchases of common stock-786-410-145-359-56-1,242--138-69--1,809
Proceeds from issuance of term debt, net----800------
Cash from financing -2,241-1,645-786-1,082-1,257-1,657-652-1,318-596-1,955-3,691