Highlights of Business Performance

Consolidated Business Performance 

Net sales

Gross profit

Operating profit

Ordinary profit

Net income attributable to owners of the parent company

Net income per share

Consolidated Business Performance FY2019 FY2020 FY2021 FY2022 FY2023
Net sales
(Millions of yen)
1Q 30,444 25,390 25,532 27,622 31,840
2Q total 64,874 53,237 55,327 60,455 70,163
3Q total 95,590 80,525 83,003 92,267 107,791
Full Year 133,084 113,598 118,429 132,810 -
Gross profit
(Millions of yen)
1Q 13,308 10,493 10,973 12,279 14,422
2Q total 28,820 22,680 24,470 27,120 31,639
3Q total 42,612 34,693 36,961 41,504 48,565
Full Year 59,721 49,837 53,552 60,254 -
Operating profit
(Millions of yen)
1Q 2,297 - 82 925 1,692 2,844
2Q total 7,174 2,664 4,509 5,604 8,012
3Q total 10,651 5,135 7,255 8,970 12,581
Full Year 16,168 9,934 12,893 15,787 -
Operating profit ratio
(%)
1Q 7.5% - 0.3% 3.6% 6.1% 8.9%
2Q total 11.1% 5.0% 8.2% 9.3% 11.4%
3Q total 11.1% 6.4% 8.7% 9.7% 11.7%
Full Year 12.1% 8.7% 10.9% 11.9% -
Ordinary profit
(Millions of yen)
1Q 2,441 85 1,163 2,019 3,150
2Q total 7,459 3,085 4,972 6,244 8,609
3Q total 11,175 5,830 7,924 9,855 13,470
Full Year 16,864 11,017 13,919 16,960 -
Net income attributable to owners of the parent company(Millions of yen) 1Q 1,420 341 403 766 1,557
2Q total 4,679 2,749 3,216 3,703 5,557
3Q total 7,150 4,696 5,510 6,277 9,094
Full Year 10,567 7,248 9,733 11,288 -
Net income per share(yen) 1Q 19.01 4.57 5.43 10.42 21.44
2Q total 62.61 36.80 43.37 50.52 76.84
3Q total 95.68 62.90 74.40 85.80 126.10
Full Year 141.40 97.08 131.49 154.42 -
  • “Net income per share” is calculated based on the average number of shares outstanding during the period after deducting the number of treasury stock.

Consolidated Financial Condition

Total assets

Net assets

Equity capital / Equity ratio

Consolidated Financial Condition FY2019 FY2020 FY2021 FY2022 FY2023
Total assets
(Millions of yen)
1Q 145,585 147,517 149,528 156,754 168,075
2Q 148,025 147,897 152,433 161,666 176,912
3Q 146,309 146,556 151,749 163,857 178,778
4Q 154,276 150,559 159,342 171,250 -
Net assets
(Millions of yen)
1Q 103,506 104,890 108,705 112,747 116,983
2Q 106,325 107,295 110,915 116,880 121,946
3Q 106,493 107,938 110,933 118,105 123,371
4Q 109,478 111,585 116,271 121,638 -
Equity capital(Millions of yen) 1Q 102,870 104,204 107,966 111,950 116,592
2Q 105,633 106,574 110,183 116,028 121,511
3Q 105,750 107,239 110,221 117,238 122,906
4Q 108,695 110,851 115,519 120,756 -
Equity ratio
(%)
1Q 70.7% 70.6% 72.2% 71.4% 69.4%
2Q 71.4% 72.1% 72.3% 71.8% 68.7%
3Q 72.3% 73.2% 72.6% 71.5% 68.7%
4Q 70.5% 73.6% 72.5% 70.5% -
  • “Net income per share” is calculated based on the average number of shares outstanding during the period after deducting the number of treasury stock.

Consolidated Cash Flows

Consolidated Cash Flows (Full Year)

Consolidated Cash Flows FY2018 FY2019 FY2020 FY2021 FY2022
Cash flows from operating activities 15,719 23,211 15,596 19,200 18,951
Cash flows from investing activities - 6,133 - 5,706 - 6,355 - 5,891 - 7,376
Cash flows from financing activities - 6,800 - 7,741 - 8,634 - 10,870 - 13,950
Free cash flow 9,585 17,505 9,240 13,308 11,574
  • (Millions of yen)
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