6058

JPX:6058

Vector Inc.

  • Stock

JPY

Last Close

1,000.00

26/07 06:15

Market Cap

53.73B

Beta: 1.16

Volume Today

310K

Avg: 339.42K

PE Ratio

17.33

PFCF: -

Dividend Yield

1.59%

Payout:0%

Preview

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Aug '13
Nov '13
Feb '14
May '14
Aug '14
Nov '14
Feb '15
May '15
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May '16
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Feb '19
May '19
Aug '19
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Feb '20
May '20
Aug '20
Nov '20
Feb '21
May '21
Aug '21
Nov '21
Feb '22
May '22
Aug '22
Nov '22
Feb '23
May '23
Aug '23
Nov '23
Feb '24
net income
135M
-
128M
5.19%
151M
17.97%
99M
34.44%
181M
82.83%
176M
2.76%
203M
15.34%
187M
7.88%
180M
3.74%
279M
55.00%
195M
30.11%
184M
5.64%
301M
63.59%
371M
23.26%
410M
10.51%
326M
20.49%
396M
21.47%
719M
81.57%
-16M
102.23%
370M
2,412.50%
630M
70.27%
-3.01B
577.94%
-410M
86.38%
-150M
63.41%
-568M
278.67%
693M
222.01%
-174M
125.11%
-163M
6.32%
-1.02B
525.15%
1.26B
223.36%
411M
67.30%
443M
7.79%
179M
59.59%
992M
454.19%
457M
53.93%
836M
82.93%
1.08B
29.43%
950M
12.20%
304M
68%
722M
137.50%
101M
86.01%
2.16B
2,042.57%
1.70B
21.58%
depreciation and amortization
234M
-
152M
35.04%
274M
80.26%
178M
35.04%
306M
71.91%
232M
24.18%
deferred income tax
stock based compensation
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-135M
-
-128M
5.19%
-151M
17.97%
-99M
34.44%
-181M
82.83%
-176M
2.76%
-203M
15.34%
-187M
7.88%
-180M
3.74%
-279M
55.00%
-195M
30.11%
-184M
5.64%
-301M
63.59%
-371M
23.26%
-410M
10.51%
-326M
20.49%
-396M
21.47%
-719M
81.57%
16M
102.23%
-370M
2,412.50%
-630M
70.27%
3.01B
577.94%
410M
86.38%
150M
63.41%
568M
278.67%
-693M
222.01%
174M
125.11%
163M
6.32%
1.02B
525.15%
-1.26B
223.36%
-411M
67.30%
-443M
7.79%
-179M
59.59%
-992M
454.19%
-457M
53.93%
-836M
82.93%
-848M
1.44%
-798M
5.90%
-30M
96.24%
-544M
1,713.33%
205M
137.68%
-1.93B
1,042.44%
-1.70B
12.16%
net cash provided by operating activities
468M
-
304M
35.04%
548M
80.26%
356M
35.04%
612M
71.91%
464M
24.18%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
net cash used provided by financing activities
effect of forex changes on cash
net change in cash
-248M
-
-678M
173.39%
1.80B
365.63%
-627M
134.81%
2.89B
561.40%
-274M
109.47%
cash at beginning of period
12.50B
-
12.25B
1.98%
11.57B
5.54%
13.37B
15.56%
12.74B
4.69%
15.64B
22.70%
cash at end of period
12.25B
-
11.57B
5.54%
13.37B
15.56%
12.74B
4.69%
15.64B
22.70%
15.36B
1.75%
operating cash flow
468M
-
304M
35.04%
548M
80.26%
356M
35.04%
612M
71.91%
464M
24.18%
capital expenditure
free cash flow
468M
-
304M
35.04%
548M
80.26%
356M
35.04%
612M
71.91%
464M
24.18%

All numbers in JPY (except ratios and percentages)