Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.
Financials
| Year | Year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| EPS | Earnings Per Share | ¥91,36 | ¥81,34 | ¥7,30 | ¥-29,37 | ¥35,75 | ¥69,27 | ¥146,82 | ¥175,94 | ¥137,50 | ¥159,69 | ¥95,83 | ¥72,52 |
| Earnings | Earnings | ¥6,48B | ¥5,78B | ¥518,81M | ¥-2,09B | ¥2,54B | ¥4,91B | ¥10,40B | ¥12,47B | ¥9,74B | ¥11,80B | ¥6,94B | ¥5,25B |
| RPS | Revenue Per Share | ¥2,38k | ¥2,24k | ¥2,05k | ¥1,64k | ¥2,12k | ¥2,57k | ¥2,60k | ¥2,43k | ¥2,20k | ¥2,18k | ¥1,86k | ¥1,50k |
| Revenue | Revenue | ¥168,56B | ¥159,02B | ¥145,74B | ¥116,67B | ¥150,23B | ¥182,22B | ¥184,31B | ¥171,97B | ¥155,64B | ¥160,78B | ¥134,34B | ¥108,52B |
| OCF | Operating Cash Flow | ¥16,78B | ¥20,37B | ¥14,05B | ¥3,71B | ¥16,79B | ¥19,58B | ¥3,22B | ¥24,74B | ¥17,63B | ¥29,68B | ¥10,08B | ¥15,78B |
| FCF | Free Cash Flow | ¥7,73B | ¥18,78B | ¥5,06B | ¥0,00M | ¥-779,00M | ¥-5,43B | ¥-13,27B | ¥11,59B | ¥10,41B | ¥20,43B | ¥-5,36B | ¥1,96B |
| OM | Operating Margin | 5,94% | 5,47% | 2,37% | -2,14% | 3,14% | 5,08% | 8,00% | 10,59% | 9,14% | 10,54% | 9,20% | 7,37% |
| GM % | Gross Margin % | 13,27% | 12,87% | 9,46% | 6,63% | 9,02% | 10,12% | 12,79% | 15,28% | 14,29% | 15,74% | 15,15% | 14,18% |
| FCFS | Free Cash Flow Per Share | ¥122,66 | ¥210,76 | ¥89,97 | ¥-210,87 | ¥0,79 | ¥-61,01 | ¥-214,67 | ¥197,75 | ¥123,05 | ¥282,30 | ¥-85,55 | ¥67,65 |
| LT Debt | Long-Term Debt | ¥18,11B | ¥28,07B | ¥32,19B | ¥34,13B | ¥29,24B | ¥17,66B | ¥15,55B | ¥2,07B | ¥4,94B | ¥8,26B | ¥11,97B | ¥8,32B |
| Sha. | Stocks | 70,88M | 71,1M | 71,07M | 71,02M | 70,98M | 70,86M | 70,85M | 70,85M | 70,85M | 73,9M | 72,38M | 72,38M |
























