STrust Co

STrust Co OCF/Debt

The Operating Cash Flow to Debt Ratio of STrust Co (3280.T) as of Oct 9, 2026 is -23.41 %. In the previous year, Operating Cash Flow to Debt Ratio was 16.69 % — a change of -240.28% (lower).

OCF/Debt

-23.41 %

YoY

-240.28%

Last updated:

Operating Cash Flow to Debt Ratio of STrust Co is 2026 -23.41 % . Operating Cash Flow to Debt Ratio of STrust Co was 2025 16.69 % . It decreases by -240.28% lower compared to the previous year.

The STrust Co OCF/Debt history

  • 3 Years

  • 10 Years

  • 25 Years

  • Max

OCF/Debt
Date
OCF/Debt
Jan 1, 2019
-20.45 JPY
Jan 1, 2020
-17.56 JPY
Jan 1, 2021
-26.66 JPY
Jan 1, 2022
6.15 JPY
Jan 1, 2023
-9.05 JPY
Jan 1, 2024
7.99 JPY
Jan 1, 2025
16.69 JPY
Jan 1, 2026
-23.41 JPY
The STrust Co OCF/Debt history
YEAROCF/DebtYoY
-23.41 %-240.28%
16.69 %+108.86%
7.99 %-188.32%
-9.05 %-247.18%
6.15 %-123.06%
-26.66 %+51.84%
-17.56 %-14.12%
-20.45 %-236.91%
14.93 %+35.60%
11.01 %-63.09%
29.84 %-347.31%
-12.07 %+29.09%
-9.35 %—
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STrust Co Stock analysis

What does STrust Co do? STrust Co is one of the most popular companies on Eulerpool.

Frequently Asked Questions about STrust Co stock

Operating Cash Flow to Debt Ratio of STrust Co is -23.41 % in 2026.

Operating Cash Flow to Debt Ratio of STrust Co changed from 16.69 % to -23.41 %, representing a -240.28% change. The value is lower than the previous year.

On Eulerpool you can find the complete historical development of Operating Cash Flow to Debt Ratio STrust Co since 2006 – with annual values, charts, and detailed analysis.

OCF/Debt measures what percentage of total debt can be covered by annual operating cash flow. Higher ratios indicate stronger debt repayment capacity.

A 'good' varies by industry and company stage. On Eulerpool, you can compare Operating Cash Flow to Debt Ratio's STrust Co with sector peers and the industry average to assess whether it is attractive.

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