HOTEL OKURA Co.,Ltd.JP:E04547Cash flow

Market cap
P/E ratio
2013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/03
Depreciation & amortization2,5272,6862,7089,0012,3052,1962,1915,5786,1977,9416,102
Cash from operations 6,4718,4997,0233,9822,8805,1901,2051,985-12,051-5,1343,453
Capital expenditures-1,389-1,024-1,717-7,523-20,161-19,813-39,381-29,790-1,039-291-666
Cash from investing -1,393142-1,75910,269-19,424-19,875-39,3446,903-1,89535,582-902
Payments for dividends -300-300-300-300-300-300-300-360-300-300-300
Repurchases of common stock--674---------
Proceeds from issuance of term debt, net6,000800304003,3501,000-1,20033651549
Repayments of term debt-8,010-4,567-4,759-4,348-3,583-2,241-3,689-1,357-326-1,488-39
Cash from financing -5,182-6,005-6,060-3,9176,74015,26138,129-8,39711,827-22,163-1,613