Quick Analysis
Financials
| Year | Year | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | ¥1,71 | ¥1,88 | ¥0,09 | ¥2,57 | ¥2,79 | ¥2,25 | ¥2,37 | ¥2,55 | ¥1,66 | ¥1,49 | ¥1,51 | ¥1,09 | ¥0,89 | ¥1,41 | ¥1,57 |
| Earnings | Earnings | ¥1,66B | ¥1,84B | ¥88,88M | ¥2,59B | ¥2,81B | ¥2,27B | ¥2,39B | ¥2,57B | ¥1,67B | ¥1,50B | ¥1,54B | ¥1,11B | ¥907,98M | ¥1,20B | ¥1,34B |
| RPS | Revenue Per Share | ¥11,49 | ¥11,35 | ¥12,89 | ¥13,56 | ¥12,77 | ¥8,71 | ¥8,64 | ¥8,94 | ¥6,37 | ¥5,69 | ¥6,23 | ¥5,48 | ¥4,92 | ¥6,93 | ¥6,31 |
| Revenue | Revenue | ¥11,17B | ¥11,09B | ¥12,73B | ¥13,68B | ¥12,88B | ¥8,78B | ¥8,72B | ¥9,02B | ¥6,42B | ¥5,74B | ¥6,35B | ¥5,59B | ¥5,02B | ¥5,90B | ¥5,37B |
| OCF | Operating Cash Flow | ¥1,58B | ¥1,63B | ¥-2,58B | ¥627,71M | ¥781,81M | ¥1,05B | ¥874,38M | ¥957,70M | ¥527,34M | ¥542,05M | ¥889,90M | ¥803,96M | ¥1,17B | ¥326,27M | ¥536,17M |
| FCF | Free Cash Flow | ¥-3,71B | ¥512,34M | ¥-3,71B | ¥-110,57M | ¥289,13M | ¥459,15M | ¥232,27M | ¥545,02M | ¥84,97M | ¥145,47M | ¥91,97M | ¥360,59M | ¥909,61M | ¥-226,30M | ¥305,30M |
| OM | Operating Margin | 3,32% | 2,02% | -12,11% | 5,84% | 3,99% | 7,21% | 7,27% | 10,63% | 6,59% | 4,52% | 10,23% | 9,96% | 11,04% | 15,08% | 15,44% |
| GM % | Gross Margin % | 16,73% | 15,66% | 12,03% | 17,01% | 17,95% | 22,14% | 22,39% | 23,93% | 22,95% | 21,90% | 23,86% | 24,33% | 24,34% | 26,74% | 26,84% |
| FCFS | Free Cash Flow Per Share | ¥0,52 | ¥0,52 | ¥-2,82 | ¥-0,13 | ¥0,29 | ¥0,46 | ¥0,23 | ¥0,48 | ¥0,08 | ¥-0,03 | ¥0,01 | ¥0,35 | ¥0,92 | ¥-0,27 | ¥0,36 |
| LT Debt | Long-Term Debt | ¥108,74M | ¥309,57M | ¥250,52M | ¥13,75M | ¥18,40M | ¥16,84M | ¥47,16M | ¥62,50M | ¥77,84M | ¥18,17M | ¥78,85M | ¥79,19M | N/A | N/A | ¥3,00M |
| Sha. | Stocks | 971,99M | 977,16M | 987,52M | 1.008,89M | 1.008,89M | 1.008,95M | 1.008,95M | 1.008,95M | 1.008,95M | 1.008,95M | 1.020,2M | 1.020,2M | 1.020,2M | 850,91M | 850,91M |

































