Gentex Corporation【GNTX】 キャッシュフロー計算書

機能の使い方
(単位:千ドル) 3Q10 4Q10 1Q11 2Q11 3Q11 4Q11 1Q12 2Q12 3Q12 4Q12 1Q13 2Q13 3Q13 4Q13 1Q14 2Q14 3Q14 4Q14 1Q15 2Q15 3Q15 4Q15 1Q16 2Q16 3Q16 4Q16 1Q17 2Q17 3Q17 4Q17 1Q18 2Q18 3Q18 4Q18 1Q19 2Q19 3Q19 4Q19 1Q20 2Q20 3Q20 4Q20 1Q21 2Q21 3Q21 4Q21 1Q22 2Q22 3Q22 4Q22 1Q23 2Q23 3Q23 4Q23 1Q24 2Q24 3Q24 4Q24 1Q25 2Q25 3Q25 4Q25
減価償却費 10,037 9,029 10,552 10,730 12,026 9,324 12,674 12,464 12,481 12,559 13,805 13,760 14,768 20,519 19,825 19,767 20,155 17,628 21,279 21,192 21,237 16,890 22,839 22,950 23,063 19,733 25,181 25,246 24,430 24,712 28,046 27,862 24,839 21,438 28,098 25,197 26,035 25,371 26,295 27,142 25,051 26,250 25,599 25,898 23,608 24,006 24,711 25,341 23,236 23,279 24,041 24,800 22,159 22,320 23,953 23,988 22,945 23,827 25,509 27,371 25,928 25,232
株式報酬費用 2,799 2,982 3,101 3,318 3,765 4,012 3,960 4,031 4,370 4,071 3,850 4,227 4,450 4,898 4,742 5,405 5,422 5,706 5,813 5,410 5,310 4,896 4,974 4,802 4,725 4,689 4,422 4,691 3,976 5,286 3,977 4,675 4,905 4,747 4,862 5,276 5,788 5,743 6,356 9,604 7,306 7,530 5,894 6,727 7,492 7,306 6,788 8,573 7,611 7,255 8,519 9,744 10,948 9,985 10,473 10,922 9,540 8,602 8,671 7,488 10,436 10,053
営業キャッシュフロー 25,002 36,024 77,375 27,239 20,816 16,236 61,131 40,397 74,920 81,396 97,422 74,863 51,380 93,672 97,721 44,383 85,348 99,769 107,951 83,935 91,273 68,416 151,441 102,029 99,553 118,439 131,191 132,366 88,998 148,446 147,449 144,935 105,822 154,211 133,840 139,627 110,473 122,026 151,280 39,171 138,592 135,447 190,849 61,393 47,138 62,786 115,958 73,302 47,096 101,842 120,914 120,852 125,902 169,581 129,877 129,250 84,690 154,395 148,505 166,139 146,982 125,498
資本的支出 - - - - - -35,183 -39,825 -29,600 -28,173 -19,878 -12,675 -11,393 -13,960 -17,354 -16,418 -13,831 -19,747 -22,525 -15,161 -18,430 -28,693 -35,659 -20,330 -34,504 -36,665 -29,459 -27,120 -29,099 -29,893 -17,930 -26,248 -25,613 -16,911 -17,220 -16,845 -28,661 -12,818 -26,258 -15,575 -13,254 -8,221 -14,659 -12,600 -18,754 -13,006 -24,478 -23,893 -34,107 -50,478 -37,958 -42,820 -47,459 -31,116 -62,285 -31,872 -31,764 -39,332 -41,703 -36,723 -31,112 -35,585 -25,670
投資キャッシュフロー -7,555 -13,722 20,860 -13,800 -58,960 -51,629 -33,810 -21,990 -18,048 -58,228 -32,882 -5,186 -588,551 -6,639 -17,300 -11,170 -17,056 -34,189 -15,131 -18,678 -19,000 -36,931 -1,414 -174,704 -24,204 -51,126 -36,503 -20,781 -23,279 2,847 29,473 -185,657 8,362 -38,001 -14,899 -33,140 -11,018 2,344 -43,717 47,144 21,283 1,704 -40,610 -23,787 -18,068 -30,645 -2,045 -61,174 -56,102 -53,420 -72,397 -53,999 -62,681 -110,341 -55,143 -46,937 -44,805 -55,196 -5,102 -176,257 -35,927 -49,615
自己株式の取得による支出 - - - - - - - - - 0 0 - - - - - - 20,010 25,049 25,058 32,793 28,328 44,585 47,689 30,466 40,619 30,986 42,570 56,270 101,535 202,572 146,633 172,543 69,828 96,267 69,871 96,625 68,708 178,819 0 31,660 78,000 97,692 115,921 90,581 20,447 71,252 0 12,588 28,689 25,675 28,519 22,663 70,541 41,224 46,741 96,642 21,498 67,833 131,036 30,153 86,475
長期借入れによる収入 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 75,000 0 0 0 - - - - - - - - - - - - - - - - - - - -
長期借入金の返済による支出 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 29,500 28,000 26,875 23,125 0 - - - - - - - 25,000 - - - - - - - - - - - - - - - - - - - -
財務キャッシュフロー -8,966 22,328 -6,264 -9,143 -9,372 -3,728 -14,504 -13,506 -51,478 -14,593 -11,667 -9,509 261,125 -4,120 -15,326 -16,252 -26,457 -1,638 -40,340 -45,274 -77,644 -44,458 -75,115 -54,304 -40,326 -55,356 -81,521 -90,653 -84,300 -143,560 -222,334 -186,903 -216,868 -93,203 -114,279 -67,843 -99,638 -88,201 -125,361 -21,030 -103,188 -114,281 -117,671 -140,515 -112,140 -39,796 -96,518 -22,466 -37,434 -52,603 -47,820 -48,640 -40,254 -93,440 -52,166 -71,077 -120,489 -45,522 -90,165 -156,667 -49,442 -111,628
フリーキャッシュフロー - - - - - 112,693 111,783 135,027 111,398 99,828
FCFマージン(%) - - - - - 20.8 19.4 20.5 17.0 15.5