JP:E04113Cash flow

Market cap
P/E ratio
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/03
Depreciation & amortization5,9635,8886,3467,2127,1928,0708,1748,4798,4757,8877,858
Cash from operations 11,33213,9023,5846,6597,3908,23414,0233,6296,6726,9109,006
Capital expenditures-6,161-7,235-6,693-8,605-12,269-10,080-11,912-11,285-9,398-8,663-10,264
Cash from investing -5,635-7,078-6,424-8,098-12,571-10,065-11,130-10,936-7,740-7,662-10,002
Payments for dividends -149-149-149-149-149-149-149-209-149-105-149
Repurchases of common stock-1-5-2-3-0-1-2-1-2-0-0
Proceeds from issuance of term debt, net3,4443,6902,7604,0289,13011,50012,9166,35011,4538,43711,555
Repayments of term debt-4,927-4,582-3,887-3,928-4,529-4,773-9,074-5,701-9,621-8,959-9,765
Cash from financing -5,013-7,2643,3593865,0123,269-3,4026,1221,477-1112,058