Consolidated Performance Highlights
Consolidated Performance Highlights
- Revenue
- Gross ドラクエ11カジノ
- Operating ドラクエ11カジノ
- Non-GAAP operating ドラクエ11カジノ
- ドラクエ11カジノ attributable to owners of parent
- 【Reference】
Net sales
| FY2021 | FY2022 | FY2023 | FY2024 | FY2025 | |
|---|---|---|---|---|---|
| Revenue | 21,384 | 27,589 | 34,267 | 28,284 | 30,309 |
| Gross ドラクエ11カジノ | 17,285 | 22,565 | 27,467 | 22,203 | 23,164 |
| Operating ドラクエ11カジノ | 3,650 | 6,166 | 4,949 | 3,129 | 4,239 |
| Non-GAAP operating ドラクエ11カジノ | 3,796 | 6,565 | 5,091 | 3,197 | 4,414 |
| ドラクエ11カジノ attributable toowners of the parent | 2,604 | 5,734 | 4,319 | 5,526 | 3,491 |
| 【Reference】Net sales | 97,606 | 130,205 | 169,719 | 145,996 | 148,783 |
*1 FY2023 is 15 months from October 1, 2022 to December 31, 2023 due to a change in the fiscal year-end. *2 Revenue, gross ドラクエ11カジノ, operating ドラクエ11カジノ, Non-GAAP operating ドラクエ11カジノ, and net sales for FY2022 and FY2023 are presented based on the amounts after the reclassification of the performance of COMISMA INC. (formerly COMICSMART INC.) and its subsidiaries, etc., as discontinued operations.
- Revenue
- Gross ドラクエ11カジノ
- Operating ドラクエ11カジノ
- Non-GAAP operating ドラクエ11カジノ
- ドラクエ11カジノ attributable toowners of the parent
- 【Reference】
Net sales
| FY2024/4Q | FY2025/1Q | FY2025/2Q | FY2025/3Q | FY2025/4Q | |
|---|---|---|---|---|---|
| Revenue | 7,397 | 8,206 | 7,001 | 7,081 | 8,020 |
| Gross ドラクエ11カジノ | 5,685 | 6,364 | 5,186 | 5,421 | 6,194 |
| Operating ドラクエ11カジノ | 937 | 1,557 | 467 | 785 | 1,429 |
| Non-GAAP operating ドラクエ11カジノ | 944 | 1,571 | 494 | 797 | 1,553 |
| ドラクエ11カジノ attributable to owners of parent | 1,254 | 1,524 | 332 | 634 | 1,001 |
| [Reference] Net sales | 37,113 | 41,863 | 33,526 | 34,236 | 39,158 |
Financial Highlights
| FY2021 | FY2022 | FY2023 | FY2024 | FY2025 | |
|---|---|---|---|---|---|
| Total assets | 42,011 | 88,731 | 93,606 | 97,637 | 96,345 |
| Total equity | 18,445 | 62,754 | 65,705 | 69,955 | 66,584 |
| Total liabilities | 23,566 | 25,977 | 27,901 | 27,683 | 29,761 |
| FY2024/4Q | FY2025/1Q | FY2025/2Q | FY2025/3Q | FY2025/4Q | |
|---|---|---|---|---|---|
| Total assets | 97,637 | 101,811 | 89,985 | 90,548 | 96,345 |
| Total equity | 69,955 | 64,906 | 65,006 | 65,626 | 66,584 |
| Total liabilities | 27,683 | 36,905 | 24,979 | 24,922 | 29,761 |
Cash Flows
| FY2021 | FY2022 | FY2023 | FY2024 | FY2025 | |
|---|---|---|---|---|---|
| Cash flows from operating activities | 4,619 | 3,650 | 3,785 | 3,677 | 3,374 |
| Cash flows from investing activities | 91 | -30,553 | -2,020 | 336 | -3,099 |
| Cash flows from financing activities | -1,914 | 31,229 | -1,835 | -1,632 | -6,044 |
| FY2024/4Q | FY2025/1Q | FY2025/2Q | FY2025/3Q | FY2025/4Q | |
|---|---|---|---|---|---|
| Cash flows from operating activities | 3,677 | 5,899 | 2,499 | 1,817 | 3,374 |
| Cash flows from investing activities | 336 | -847 | -884 | -2,434 | -3,099 |
| Cash flows from financing activities | -1,632 | -5,653 | -5,786 | -5,916 | -6,044 |
* Describe the results during the cumulative period
Various Indicators
| FY2021 | FY2022 | FY2023 | FY2024 | FY2025 | |
|---|---|---|---|---|---|
| EPS | 20.59 | 30.54 | 20.74 | 26.65 | 16.83 |
| BPS | 145.72 | 299.54 | 316.70 | 336.89 | 320.83 |
| Annual dividend per share | 3.4 | 4.6 | 5.2 | 31.35 | 18.0(forecast) |
| Payout ratio(consolidated) | 16.5% | 15.1% | 25.1% | 117.6% | 106.9% |
| Return on equity(ROE) | 15.2% | 14.1% | 6.7% | 8.2% | 5.1% |