Mitsui & Co. Ltd. logo

Mitsui & Co. Ltd.

MITSF | OTC
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$32.38
-$0.72 (-2.18%)
At close: Sep 24, 2026, 12:14 PM ET
$32.05
-$0.33 (-1.03%)
Pre-market: Sep 24, 2026, 8:00 AM ET
TTM
Period Ending
Q1 2027
Jun 29, 2026
Q4 2026
Mar 30, 2026
Q3 2026
Dec 30, 2025
Q2 2026
Sep 29, 2025
Q1 2026
Jun 29, 2025
Q4 2025
Mar 30, 2025
Q3 2025
Dec 30, 2024
Q2 2025
Sep 29, 2024
Q1 2025
Jun 29, 2024
Q4 2024
Mar 30, 2024
Q3 2024
Dec 30, 2023
Q2 2024
Sep 29, 2023
Q1 2024
Jun 29, 2023
Q4 2023
Mar 30, 2023
Q3 2023
Dec 30, 2022
Q2 2023
Sep 29, 2022
Q1 2023
Jun 29, 2022
Q4 2022
Mar 30, 2022
Q3 2022
Dec 30, 2021
Q2 2022
Sep 29, 2021
Q1 2022
Jun 29, 2021
Net Income
936.38B 833.97B 860.12B 912.29B 815.88B 900.34B 989.45B 1.02T 1.1T 1.08T 1.04T 1.07T 1.12T 1.15T 1.15T 1.08T 1.03T 937.67B 791.26B 650.63B 483.72B
Depreciation & Amortization
347.63B 333.25B 316.31B 311.58B 311.13B 313.73B 319.13B 311.52B 301.61B 293.57B 275.3B 273.03B 276B 272.69B 277.68B 286.53B 288.51B 296.4B 298.45B 287.47B 284.51B
Stock-Based Compensation
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Working Capital
-225.91B -98.77B -270.29B -134.37B -21.59B 28.03B -37.82B -34.9B -191.8B -248.4B 14.96B -30.54B -127.08B -131.15B -184.15B -201.28B -82.87B -62.34B -120.6B -27.25B 79.27B
Other Non-Cash Items
-122.12B -79.12B -109.91B -206.05B -56.78B -145.32B -240.03B -231.34B -370.3B -308.99B -219.12B -261.19B -234.24B -222.55B -181.45B -70.68B -77.2B -26.46B -13.34B 23.96B 101.67B
Deferred Income Tax
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Change in Working Capital
-429.25B -135.19B -342.43B -167.35B -75.58B -51.24B -112.39B -109.48B -246.24B -200.66B 37.58B 123.95B -33.26B -157.23B -198.04B -481.93B -328.81B -400.71B -447.11B -263.04B -81.94B
Operating Cash Flow
732.64B 952.91B 724.09B 850.47B 994.65B 1.02T 956.15B 993.68B 783.01B 864.42B 1.13T 1.2T 1.13T 1.05T 1.05T 810.11B 908.53B 806.9B 629.27B 699.02B 787.96B
Capital Expenditures
-1.12T -1.11T -1.1T -356.35B -331.66B -346.15B -325.51B -318.43B -327.9B -294.77B -274.88B -260.62B -236.98B -228.07B -219.55B -203.25B -193.26B -185.53B -180.37B -178.97B -180.08B
Cash Acquisitions
62.41B 24.14B -41.51B -67.32B -31.48B -29.45B -5.99B -26.04B -121.35B -197.72B -216.53B -173.6B -102.15B -18.84B 8.19B -24.8B -39.45B -27.07B -30.88B -39.21B -65.69B
Purchase of Investments
-161.01B -208.85B -145.65B -121.93B -174.46B -202.02B -315.8B -342.52B -275.12B -197.2B -109.17B -103.92B -129.12B -245.61B -183.36B -174.14B -155.29B -106.02B -160.72B -195.9B -197.52B
Sales Maturities Of Investments
236.4B 237.16B 157.43B 100.09B 143.37B 304.29B 381.95B 428.42B 357.12B 163.38B 116.65B 133.61B 161.91B 248.24B 229.29B 184.18B 150.42B 63.05B 80.86B 82.68B 73.38B
Other Investing Acitivies
13.07B -63M 17.13B 69.25B 74.41B 110.61B 83.1B 79.25B 103.03B 92.4B 108.16B 61.68B 36.82B 27.75B 10.04B 15.4B 7.65B 74.37B 81.02B 78.63B 57.71B
Investing Cash Flow
-969.59B -1.06T -1.11T -376.26B -319.82B -162.73B -182.25B -179.31B -264.22B -433.92B -375.76B -342.86B -269.51B -216.52B -155.38B -202.61B -229.94B -181.19B -210.08B -252.77B -312.21B
Debt Repayment
687.63B 659.99B 828.55B 213.7B 83.91B 44.5B -255.42B -543.03B -326.17B -546.95B -402.13B -195.65B -249.5B -48.97B 19.27B -56.04B -78.67B -137.5B -215.7B -350.41B -252.11B
Common Stock Repurchased
-199.58B -199.58B -150.95B -199.84B -322.95B -399.76B -341.31B -249.92B -154.39B -139.26B -196.99B -259.34B -280.9B -270.25B -243.01B -167.82B -151.22B -174.92B -154.34B -132.62B -107B
Dividend Paid
-328.18B -301.82B -301.82B -290.57B -290.57B -274.16B -274.16B -255.32B -255.32B -242.37B -242.37B -216.35B -216.35B -198.08B -198.08B -169.18B -169.18B -148.21B -148.21B -142.26B -142.26B
Other Financial Acitivies
-119.15B -109.2B -101.19B -111.36B -108.59B -119.45B -111.85B -98.75B -88.84B -78.14B -92.52B -86.16B -88.72B -79.21B -134.44B -140.42B -143.13B -153.71B -78.21B -74.25B -63.86B
Financial Cash Flow
40.78B 49.39B 274.6B -387.9B -638.15B -748.86B -982.73B -1.15T -824.72B -1.01T -934B -757.49B -835.47B -596.51B -556.26B -533.46B -542.2B -614.33B -596.45B -699.53B -565.22B
Net Cash Flow
-121.3B 5.37B -90.86B 94.07B -29.65B 79.15B -172.76B -340.01B -245.76B -491.93B -124.21B 130.69B 62.18B 262.26B 404.68B 206.38B 243.62B 64.72B -137.39B -239.05B -65.87B
Free Cash Flow
-387.83B -155.49B -371.35B 494.12B 662.99B 671.37B 630.64B 675.26B 455.11B 569.65B 854.37B 943.04B 896.45B 819.47B 828.22B 606.86B 715.27B 621.37B 448.9B 520.04B 607.88B
Adj. Free Cash Flow
-387.83B -155.49B -371.35B 494.12B 662.99B 671.37B 630.64B 675.26B 455.11B 569.65B 854.37B 943.04B 896.45B 819.47B 828.22B 606.86B 715.27B 621.37B 448.9B 520.04B 607.88B
Maintenance CapEx
-1.12T -1.11T -1.02T -277.55B -198.67B -116.92B -156.11B -153.4B -217.07B -280.18B -247.58B -168.62B -90.22B -27.11B -44.02B -44.02B -44.02B -44.02B n/a -48.89B -94.76B
Growth CapEx
-4.69B n/a -72.54B -78.8B -132.99B -229.23B -169.41B -165.02B -110.83B -14.59B -27.3B -92B -146.76B -200.96B -175.53B -159.23B -149.24B -141.51B -180.37B -130.09B -85.33B
Owner Earnings
-383.14B -155.49B -298.81B 572.92B 795.98B 900.6B 800.05B 840.28B 565.94B 584.24B 881.67B 1.04T 1.04T 1.02T 1T 766.09B 864.51B 762.88B 629.27B 650.13B 693.21B

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