JP:E33381Cash flow

Market cap
P/E ratio
2016/122017/122018/122019/122020/122021/122022/122023/122024/12
Cash from operations 3,8111,3995,58784310,4902,172-1,15514,213-1,317
Capital expenditures-1,089-689-127-1,455-589-574-387-2,311-1,280
Cash from investing -6,929-1,488-1,215-1,832-9,002-304-3,084-7,958-2,602
Payments for dividends -4-4-1,577-1,363-789-790-2,009-2,224-2,003
Repurchases of common stock---------752
Proceeds from issuance of term debt, net9,680--13,00014,10611,26219,38110,91928,676
Repayments of term debt-3,079-159-3,383-159-1,452-628-9,582-482-3,472
Cash from financing 8,9258,598-6,84311,47212,0859,7479,8699,60717,387