JP:E00698Cash flow

Market cap
P/E ratio
2014/112015/112016/112017/112018/112019/112020/112021/112022/112023/112024/11
Depreciation & amortization2,1072,0371,9562,2202,4352,1502,0791,9491,9012,0071,993
Cash from operations 3,3212,9253,6323,6414,0194,0393,3553,8532,6321,2814,131
Capital expenditures-866-553-1,605-1,285-3,537-3,964-3,448-5,457-1,422-511-1,190
Cash from investing -823-195455-4,921-1,599-2,657-3,524-5,717-1,590-42-1,020
Proceeds from issuance of term debt, net3,6003,9803,4603,5003,9005,8004,0907,8602,0002,5003,400
Repayments of term debt-4,439-4,644-4,526-4,194-4,266-4,173-4,175-4,290-4,248-3,982-4,031
Cash from financing -1,777-2,397-1,823-1,826-1,6101,163-8663,237-2,644-1,871-1,001