FINANCIAL HIGHLIGHTS

 March 2021March 2022March 2023March 2024March 2025
Net sales (Thousand yen)8,306,109
Ordinary income (Thousand yen)646,103

Net income attributable to owners of the parent (Thousand yen)

314,810
Net income per share (yen)67.03
Self-capitalization rate (%)32.6
Total assets (Thousand yen)6,565,547
Net assets (Thousand yen)2,095,198
Net assets per share (yen)205.85
Self-capitalization rate (%)14.7
Cash flows from operating activities
Cash flows from operating activities (Thousand yen)
△537,913
Cash flows from investing activities
Cash flows from investing activities (Thousand yen)
△1,109,457
Cash flows from financing activities
Cash flows from financing activities (Thousand yen)
2,017,699
Cash and cash equivalents
at end of year (Thousand yen)
983,419

 

The Company has prepared consolidated financial statements since the fiscal year ending March 31, 2025; therefore, no information is presented for prior periods.