PRESSANCE CORPORATIONJP:E04047Cash flow

Market cap
P/E ratio
2013/032014/032015/032016/032017/032018/032019/032020/032021/032021/092022/092023/092024/09
Depreciation & amortization144140243269310406471471314220480543587
Cash from operations -1,947444-6,160-17,504-25,443-40,184-24,48023,18098,27825,90019,87511,810-19,914
Cash from investing -51-69-5-2,093-6,943-1,906-2,193-1,837-141-1,0692,658-4,605-6,402
Payments for dividends -526-527-764-768-1,398-1,478-2,107-3,058-1,681-1,092-2,191-2,609-2,899
Repurchases of common stock---0-2,865-0-0-------
Proceeds from issuance of term debt, net15,06815,30021,76046,04564,48469,43288,14347,74327,64519,17741,45742,34956,151
Repayments of term debt-13,651-11,281-16,517-19,006-22,328-41,118-51,604-55,325-85,941-26,938-57,835-43,645-32,478
Cash from financing 8923,8058,43019,54339,99842,96436,735-19,059-52,112-12,616-19,014-3,71517,482