Softmax Co Stock

Softmax Co OCF/Debt

The Operating Cash Flow to Debt Ratio of Softmax Co (3671.T) as of Aug 2, 2026 is 46.90 %. In the previous year, Operating Cash Flow to Debt Ratio was 17.43 % — a change of 169.12% (higher).

OCF/Debt

46.90 %

YoY

169.12%

Last updated:

Operating Cash Flow to Debt Ratio of Softmax Co is 2026 46.90 % . Operating Cash Flow to Debt Ratio of Softmax Co was 2025 17.43 % . It decreases by 169.12% higher compared to the previous year.
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Softmax Co Stock analysis

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Operating Cash Flow to Debt Ratio of Softmax Co is 46.90 % in 2026.

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