Close

바카라 예측Financial Highlights

C바카라 예측solidated Financial Highlights

Net sales
바카라 예측 예측tal assets and net assets
R&D exp바카라 예측 예측ditures and R&D exp바카라 예측 예측ditures-to-sales ratio
Operating in바카라 예측 예측me and operating margin
Profit attributable to owners of par바카라 예측 예측t
캐시 플로우

(Billi바카라 예측s of yen)

FY2019FY2020FY2021FY2022FY2023
Net sales101.7102.9110.1103.2102.8
Operating income8.812.014.38.55.8
Recurring income9.112.214.79.06.0
Profit attributable to owners of parent4.58.510.56.64.5
Capital investment1.81.32.82.12.3
Depreciati바카라 예측 and amortizati바카라 예측2.72.72.62.62.8
R&D expenditures11.810.812.213.212.5
Total assets157.4161.7163.1158.8158.8
Net assets120.6126.9128.6126.7127.9
Cash flows from operating activities9.39.17.47.2▲7.4
Cash flows from investing activities▲1.7▲0.8▲2.0▲2.90.07
Cash flows from financing activities▲5.3▲5.1▲5.9▲6.8▲6.3
Page top