Filings/8151/INTERIM

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KPIsSections30
Headline metrics
RevenueGREEN¥21.48B
Gross marginGREEN45.1%
Net incomeGREEN¥2.19B
Net marginGREEN10.2%
Operating marginGREEN14.6%
Red flags1 red
Liquidity1
RED
Negative operating cash flowoperating_cf_burn
The company is burning cash from operations — sustainability depends on financing.
Income Statement
Income Statement
MetricValueFlag
Revenue¥21.48BGREEN
Gross Margin45.1%GREEN
Operating Margin14.6%GREEN
Net Margin10.2%GREEN
Gross Profit¥9.68BGREEN
Operating Income¥3.13BGREEN
Ordinary Income¥3.33BGREEN
Net Income¥2.19BGREEN
EBITDA¥3.58BGREEN
Income Tax Expense¥1.16BGREEN
EPS Diluted¥101.33GREEN
Interest Expense¥14.3MGREEN
Non-Operating Income¥219.7MGREEN
Non-Operating Expenses¥14.9MGREEN
Equity Ratio (Official)¥0.64GREEN
Cost Of Revenue¥11.80BGREEN
Selling General & Admin Exp¥6.55BGREEN
Interest and Investment Income¥21.8MGREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total Assets¥46.05BGREEN
Current Assets¥25.10BGREEN
Current Liabilities¥15.17BGREEN
Total Liabilities¥16.26BGREEN
Total Equity¥29.79BGREEN
Retained Earnings¥26.21BGREEN
Cash & Equivalents¥4.27BGREEN
Short-term Debt¥5.15BGREEN
Accumulated Deficit¥26.21BGREEN
Interest-Bearing Debt (Current)¥5.15BGREEN
Non-Current Assets¥20.95BGREEN
Investment Securities¥2.69BGREEN
Provision for Bonuses¥1.13BGREEN
Net Defined Benefit Liability¥819.8MGREEN
Net Defined Benefit Asset¥746.0MGREEN
Investments and Other Assets¥5.51BGREEN
Buildings and Structures (Net)¥839.5MGREEN
Construction in Progress¥6.58BGREEN
Contract Liabilities¥3.52BGREEN
Allowance for Doubtful Accounts-¥2.1MGREEN
Short Term Investments¥1.91BGREEN
Net Property, Plant & Equipment¥13.02BGREEN
Goodwill¥1.56BGREEN
Accounts Payable¥2.80BGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash Flow-¥246.0MGREEN
Capital Expenditures¥275.4MGREEN
Investing Cash Flow-¥536.8MGREEN
Depreciation & Amortization¥454.1MGREEN
Free Cash Flow-¥521.4MGREEN
Financing Cash Flow¥1.26BGREEN
Cash Dividends Paid¥840.4MGREEN

Sections in this filing

BusinessResultsOfGroupTextBlock

回次第73期中間連結会計期間第74期中間連結会計期間第73期会計期間自 2024年10月1日至 2025年3月31日自 2025年10月1日至 2026年3月31日自 2024年10月1日至 2025年9月30日売上高(千円)17,376,46921,482,22232,559,176経常利益(千円)1,490,6383,332,6581,985,195親会社株主に帰属する中間(当期)純利益(千円)858,6462,186,1491,195,595中間包括利益または包括利益(千円)1,054,8172,421,8061,560,768純資産額(千円)28,233,96729,789,86828,119,689総資産額(千円)41,689,78346,051,55239,937,0461株当たり中間(当期)純利益(円)39.92101.3355.55潜在株式調整後1株当たり中間(当期)純利益(円)39.75100.9555.32自己資本比率(%)67.464.470.1営業活動によるキャッシュ・フロー(千円)262,925△246,0202,195,024投資活動によるキャッシュ・フロー(千円)△308,145△536,771△770,204財務活動によるキャッシュ・フロー(千円)974,0701,259,107△972,417現金及び現金同等物の中間期末(期末)残高(千円)4,078,7164,271,6553,657,789(注) 当社は中間連結財務諸表を作成しておりますので、提出会社の主要な経営指標等の推移については記載しており ません。