Quick Analysis
Financials
| Year | Year | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | ¥1,78 | ¥1,71 | ¥1,06 | ¥0,67 | ¥0,64 | ¥0,17 | ¥0,11 | ¥0,80 | ¥1,53 | ¥2,57 | ¥2,44 | ¥1,97 | ¥1,76 | ¥2,17 | ¥1,98 |
| Earnings | Earnings | ¥1,54B | ¥1,48B | ¥915,00M | ¥578,35M | ¥570,59M | ¥146,75M | ¥94,95M | ¥690,57M | ¥1,32B | ¥2,22B | ¥2,11B | ¥1,70B | ¥1,52B | ¥1,87B | ¥1,71B |
| RPS | Revenue Per Share | ¥44,46 | ¥38,42 | ¥34,87 | ¥40,80 | ¥37,12 | ¥33,80 | ¥32,73 | ¥36,31 | ¥30,85 | ¥28,41 | ¥29,58 | ¥24,20 | ¥20,24 | ¥20,22 | ¥18,27 |
| Revenue | Revenue | ¥38,37B | ¥33,17B | ¥30,10B | ¥35,22B | ¥33,10B | ¥29,17B | ¥28,25B | ¥31,35B | ¥26,63B | ¥24,53B | ¥25,54B | ¥20,89B | ¥17,47B | ¥17,46B | ¥15,77B |
| OCF | Operating Cash Flow | ¥2,63B | ¥4,57B | ¥-1,52B | ¥1,76B | ¥3,70B | ¥2,74B | ¥-101,59M | ¥674,81M | ¥4,59B | ¥1,93B | ¥4,19B | ¥3,15B | ¥2,27B | ¥1,15B | ¥2,72B |
| FCF | Free Cash Flow | ¥822,60M | ¥3,27B | ¥-2,90B | ¥590,78M | ¥2,29B | ¥1,10B | ¥-1,49B | ¥-345,02M | ¥3,45B | ¥426,13M | ¥2,91B | ¥2,08B | ¥872,37M | ¥115,29M | ¥2,26B |
| OM | Operating Margin | 2,47% | 0,95% | -1,91% | -0,80% | 1,89% | 0,25% | -0,59% | 1,74% | 4,86% | 9,42% | 9,14% | 8,71% | 9,90% | 11,50% | 12,48% |
| GM % | Gross Margin % | 13,97% | 15,07% | 14,10% | 14,22% | 16,36% | 13,48% | 11,24% | 17,56% | 20,14% | 23,63% | 22,63% | 23,44% | 22,75% | 22,42% | 24,44% |
| FCFS | Free Cash Flow Per Share | ¥0,95 | ¥3,79 | ¥-3,36 | ¥0,68 | ¥2,65 | ¥1,29 | ¥-1,72 | ¥-0,40 | ¥4,00 | ¥0,44 | ¥3,36 | ¥2,40 | ¥1,01 | ¥0,13 | ¥2,61 |
| LT Debt | Long-Term Debt | ¥0,94M | ¥1,39M | ¥20,86M | ¥2,09M | ¥2,56M | ¥3,20M | ¥3,60M | ¥3,85M | ¥4,54M | ¥4,68M | ¥4,81M | ¥5,19M | ¥5,76M | ¥6,19M | ¥6,94M |
| Sha. | Stocks | 863,21M | 863,21M | 863,21M | 863,21M | 891,55M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M | 863,21M |




































