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Last ¥1,566 JPY
Change Today +0.50 / 0.03%
Volume 2.6M
As of 2:00 AM 10/2/15 All times are local (Market data is delayed by at least 15 minutes).

Financial Statements for kirin holdings co ltd (2503)

View Cash Flow In U.S. Dollar
Currency in
Millions of Japanese Yens
As of:Dec 31
Dec 31
Dec 31
Dec 31
4 Year
NET INCOME7,407.056,198.0157,206.077,879.0
Depreciation & Amortization103,871.0103,428.0101,126.098,914.0
Amortization of Goodwill and Intangible Assets38,891.042,934.047,910.049,686.0
DEPRECIATION & AMORTIZATION, TOTAL142,762.0146,362.0149,036.0148,600.0
(Gain) Loss from Sale of Asset-27,787.0-8,937.0-3,482.0-1,778.0
(Gain) Loss on Sale of Investment22,500.0-3,188.0-48,752.0-179.0
Asset Writedown & Restructuring Costs16,895.09,848.0----
Other Operating Activities20,947.047,595.0-47,474.0-45,479.0
(Income) Loss on Equity Investments-10,541.0676.0-1,643.0-2,925.0
Change in Accounts Receivable2,622.0-2,260.07,916.0-10,886.0
Change in Inventories-2,941.0-5,998.0-12,573.0-14,261.0
Change in Accounts Payable-11,005.0-366.0-4,045.04,954.0
Change in Other Working Capital35,933.0-27,869.09,328.0-678.0
CASH FROM OPERATIONS196,792.0212,061.0205,517.0155,247.0
Capital Expenditure-79,830.0-98,977.0-117,393.0-120,480.0
Sale of Property, Plant, and Equipment29,405.044,257.047,476.012,999.0
Cash Acquisitions-345,241.0-1,684.0----
Investments in Marketable & Equity Securities-31,431.014,927.0124,564.0-39,439.0
CASH FROM INVESTING-361,658.0-48,379.085,526.0-139,397.0
Short-Term Debt Issued110,989.0--5,851.083,994.0
Long-Term Debt Issued353,366.069,605.012,197.067,313.0
TOTAL DEBT ISSUED464,355.069,605.018,048.0151,307.0
Short Term Debt Repaid-103,193.0-51,244.0-77,994.0-7,847.0
Long Term Debt Repaid-122,600.0-136,381.0-120,587.0-162,595.0
TOTAL DEBT REPAID-225,793.0-187,625.0-198,581.0-170,442.0
Issuance of Common Stock244.075.025.0--
Repurchase of Common Stock-544.0-315.0-50,417.0-19,778.0
Common Dividends Paid-25,009.0-25,966.0----
Common and/or Preferred Dividends Paid-----31,921.0-34,081.0
TOTAL DIVIDEND PAID-25,009.0-25,966.0-31,921.0-34,081.0
Other Financing Activities-20,039.0-15,782.0-9,511.0-7,707.0
CASH FROM FINANCING193,214.0-160,008.0-272,357.0-80,701.0
Foreign Exchange Rate Adjustments-2,833.03,272.08,743.0109.0
Miscellaneous Cash Flow Adjustments54.0248.01.01.0
NET CHANGE IN CASH25,569.07,194.027,430.0-64,741.0

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Valuation 2503 Industry Range
Price/Earnings 28.4x
Price/Sales 0.7x
Price/Book 1.7x
Price/Cash Flow 15.7x
TEV/Sales 0.2x

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