Last Updated: 2025.04.17
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Consolidated figures for the most recent quarter and the past years (Excel) (130KB)
Performance by Group Operation (89KB)
IFRS
Unit: Million Yen
FY2024 2Q | FY2024 3Q | FY2024 4Q | FY2025 1Q | FY2025 2Q | |
---|---|---|---|---|---|
Profit before income taxes | 136,924 | 178,371 | 79,434 | 196,613 | 167,111 |
Depreciation and amortization | 50,439 | 51,780 | 52,856 | 53,376 | 54,528 |
Impairment losses | 562 | 354 | -2,819 | 120 | 533 |
Interest and dividend income | -15,447 | -17,597 | -18,484 | -17,010 | -16,911 |
Interest expenses | 2,462 | 2,890 | 3,248 | 3,288 | 3,036 |
Foreign exchange losses / (gains) | -13,537 | -18,946 | 34,902 | -25,324 | -6,586 |
Share of profit and loss of an associate accounted for using the equity method | -318 | -389 | -38 | -925 | -574 |
Losses on disposal of property, plant and equipment | 423 | 311 | 382 | 191 | 440 |
(Increase)/decrease in trade and other receivables | 74,452 | -41,561 | 23,706 | -89,161 | 102,477 |
(Increase)/decrease in inventories | 73,591 | 17,566 | -83,173 | -35,699 | 49,208 |
Increase/(decrease) in trade and other payables | -92,128 | 13,791 | 64,590 | 59,672 | -101,669 |
(Increase)/decrease in other assets | 3,304 | 1,524 | -2,885 | -9,796 | 8,131 |
Increase/(decrease) in other liabilities | -2,652 | -12,098 | 26,329 | 25,389 | -27,834 |
Others, net | -13,744 | -9,432 | 23,418 | -14,211 | -1,180 |
Cash generated from operations | 204,332 | 166,565 | 201,467 | 146,523 | 230,711 |
Interest and dividend income received | 13,526 | 12,467 | 19,598 | 16,481 | 17,815 |
Interest paid | -2,795 | -2,550 | -3,614 | -2,959 | -3,380 |
Income taxes paid | -21,897 | -44,470 | -21,093 | -72,444 | -35,919 |
Income taxes refund | 22,028 | - | 772 | 97 | 1,303 |
Net cash generated by operating activities | 215,194 | 132,012 | 197,130 | 87,697 | 210,530 |
(Increase)/decrease in bank deposits with original maturities of three months or longer | 9,491 | -12,143 | 36,359 | 35,261 | -221,074 |
Payments for investment securities | -125,901 | -62,394 | -96,636 | -78,563 | -139,283 |
Proceeds from sales and issurance of investment securities | 123,186 | 74,633 | 90,987 | 80,077 | 60,433 |
Payments for property, plant and equipment | -9,402 | -22,894 | -20,654 | -19,646 | -60,049 |
Payments for intangible assets | -7,691 | -7,824 | -6,823 | -8,764 | -6,112 |
Payments for acquisition of right-of-use assets | -107 | -90 | -715 | -733 | -13,741 |
Payments for lease and guarantee deposits | -1,102 | -2,022 | -1,622 | -1,852 | -1,029 |
Proceeds from collection of lease and guarantee deposits | 1,990 | 1,387 | 1,527 | 1,169 | 2,339 |
Investments in associates accounted for using the equity method | - | - | - | -14,712 | -367 |
Others, net | -217 | 48 | 811 | 4,187 | 334 |
Net cash used in investing activities | -9,752 | -31,300 | 3,232 | -3,577 | -378,550 |
Proceeds from short-term loans payable | -443 | 28 | 752 | -294 | 278 |
Dividends paid to owners of the Parent | -47 | -53,632 | -38 | -68,964 | -41 |
Dividends paid to non-controlling interests | -6,119 | -9,730 | -2,519 | -439 | -8,760 |
Repayments of lease liabilities | -35,849 | -34,828 | -37,637 | -36,607 | -35,476 |
Others, net | 14 | 13 | 17 | 49 | 13 |
Net cash used in financing activities | -42,444 | -98,148 | -39,425 | -106,256 | -43,985 |
Effect of exchange rate changes on the balance of cash held in foreign currencies | 15,507 | 29,325 | -65,130 | 27,416 | -9,504 |
Net increase/(decrease) in cash and cash equivalents | 178,504 | 31,888 | 95,807 | 5,280 | -221,510 |
Cash and cash equivalents at the beginning of period | 887,360 | 1,065,864 | 1,097,753 | 1,193,560 | 1,198,840 |
Cash and cash equivalents at the end of period | 1,065,864 | 1,097,753 | 1,193,560 | 1,198,840 | 977,330 |
Free cash flow | 205,441 | 100,711 | 200,362 | 84,120 | -168,019 |
* "-"denotes items where the balance is zero. "0" denotes items where the balance is less than 1 million yen.
* "Cash and cash equivalents" refers to cash and deposits, time deposits with a term of less than 3 months,
and short-term investment securities.
* Free cash flow = Net cash from operating activities + Net cash used in investment activities.