The below shows semiannual (key) financial figures for five business years.
For details of financial data, please refer to "Financial Data Sheets".
*Certain figures of the cumulated Q2/ the end of FY 2019 have been restated to reflect revisions to the previous fiscal years' financial statements.
For details, please refer to the "Notification Regarding Partial Revision of Summary of Financial Information and Consolidated Business Results etc. for the Previous Fiscal Year" released on May 15, 2020.
*The Company has applied the “Accounting Standard for Revenue Recognition” (ASBJ Statement No. 29, March 31, 2020) and other standards from the beginning of the FY2021.
(Unit: Millions ofyen) | Year Ended March 31, 2020 |
Year Ended March 31, 2021 |
Year Ended March 31, 2022 |
Year Ended March 31, 2023 |
Year Ended March 31, 2024 |
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H1 | Full-Year | H1 | Full-Year | H1 | Full-Year | H1 | Full-Year | H1 | Full-Year | |
Net sales | 27,772 | 66,587 | 10,591 | 38,796 | 37,348 | 94,900 | 42,230 | 117,125 | 67,015 | 141,923 |
Operating profit (loss) | (2,750) | 713 | (3,327) | (2,241) | 358 | 3,444 | 3,534 | 10,950 | 5,370 | 11,827 |
Ordinary profit (loss) | (2,534) | 939 | (3,247) | (2,032) | 597 | 3,634 | 3,753 | 11,218 | 5,907 | 12,947 |
Profit (loss) attributable to owners of parent | (2,756) | 490 | (3,923) | (3,452) | 315 | 2,471 | 2,536 | 8,221 | 4,123 | 11,551 |
Share capital | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 | 7,948 |
Net assets | 31,056 | 34,279 | 29,743 | 30,443 | 29,032 | 31,551 | 33,935 | 41,817 | 43,581 | 55,845 |
Total assets | 55,334 | 64,317 | 50,613 | 52,370 | 55,124 | 70,001 | 69,377 | 80,893 | 95,841 | 98,139 |
Cash flows from operating activities | (2,361) | (2,427) | 1,037 | 3,692 | 1,006 | 7,980 | (2,083) | 12,561 | (2,448) | 5,563 |
Cash flows from investing activities | 1,715 | 876 | (666) | (1,072) | (493) | (1,586) | (1,462) | (7,642) | (4,675) | (4,101) |
Cash flows from financing activities | (4,935) | (2,537) | (3,055) | (2,835) | (2,214) | 1,385 | (4,291) | (725) | (1,443) | (3,145) |
Cash and cash equivalents at end of period | 23,226 | 24,725 | 22,042 | 24,510 | 22,822 | 32,304 | 24,467 | 36,497 | 27,929 | 34,814 |