Investor Relations
- Financial Highlights
- Consolidated Statements of Income
- Consolidated Balance Sheets
- Consolidated Statements of Cash Flows
Downloadable File
Print
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
For the year/Millions of Yen |
Net sales |
260,527 |
332,532 |
365,275 |
343,267 |
356,344 |
Operating income |
32,759 |
47,226 |
59,261 |
44,331 |
32,558 |
Ordinary income |
32,095 |
49,983 |
70,704 |
54,709 |
41,541 |
Profit attributable to owners of parent |
21,346 |
26,942 |
51,013 |
49,264 |
14,912 |
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
At year-end/Millions of Yen |
Total Assets |
302,634 |
336,144 |
380,902 |
399,634 |
410,876 |
Net Assets |
221,928 |
243,278 |
284,429 |
317,266 |
317,129 |
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Per Share of Common Stock/Yen |
Earnings |
179.02 |
225.75 |
426.82 |
411.62 |
124.37 |
Net Assets |
1,854.10 |
2,029.69 |
2,370.48 |
2,641.74 |
2,638.33 |
Dividends per share (annual) |
54.00 |
78.00 |
129.00 |
124.00 |
38.00 |
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Key Ratios |
Operating income margin |
12.6% |
14.2% |
16.2% |
12.9% |
9.1% |
Ordinary income margin |
12.3% |
15.0% |
19.4% |
15.9% |
11.7% |
Return on equity |
10.0% |
11.6% |
19.4% |
16.4% |
4.7% |
Equity ratio |
73.1% |
72.1% |
74.4% |
79.1% |
77.0% |
Consolidated dividend payout ratio |
30.2% |
34.6% |
30.2% |
30.1% |
30.6% |
Downloadable File
Print
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Cash flows from operating activities |
Profit before income taxes |
30,793 |
45,694 |
70,223 |
58,431 |
17,935 |
Depreciation and amortization |
7,417 |
7,515 |
7,594 |
6,921 |
7,557 |
Impairment loss |
367 |
520 |
109 |
73 |
5 |
Increase (decrease) in allowance for doubtful accounts |
(73) |
(5) |
60 |
(59) |
(56) |
Increase (decrease) in provision for bonuses |
780 |
(1,081) |
3,271 |
(2,408) |
560 |
Increase (decrease) in provision for sales returns |
(4,759) |
1,486 |
- |
- |
- |
Increase (decrease) in refund liabilities |
- |
- |
(761) |
(909) |
(1,343) |
Increase (decrease) in provision for directors' retirement benefits |
- |
- |
(34) |
(10) |
(7) |
Increase (decrease) in provision for game arcade closings |
36 |
148 |
(172) |
- |
- |
Decrease (increase) in net defined benefit asset |
96 |
134 |
(152) |
(91) |
(115) |
Increase (decrease) in net defined benefit liability |
271 |
391 |
268 |
291 |
150 |
Interest and dividends income |
(363) |
(76) |
(102) |
(715) |
(1,550) |
Subsidy income related to COVID-19 |
- |
(335) |
(290) |
(11) |
- |
Interest expenses |
135 |
87 |
150 |
72 |
187 |
Foreign exchange losses (gains) |
665 |
(1,860) |
(10,043) |
(9,635) |
(9,551) |
Loss (gain) on sales of shares of subsidiaries and associates |
- |
- |
(353) |
(9,465) |
- |
Loss (gain) on sale of crypto assets |
- |
- |
(2,904) |
(1,358) |
(341) |
Loss on disposal of property and equipment |
130 |
316 |
212 |
112 |
113 |
Loss (Gain) on sale of property and equipment |
(2) |
(1) |
(6) |
(826) |
47 |
Loss on sale of property and equipment |
- |
18 |
- |
- |
- |
Gain on sales of registered trademarks |
- |
- |
- |
(680) |
- |
Loss on valuation of investment securities |
- |
449 |
351 |
162 |
150 |
Loss on valuation of shares of subsidiaries and associates |
- |
251 |
239 |
498 |
1,216 |
Loss on disposal of content |
- |
- |
- |
6,303 |
22,087 |
Decrease (increase) in notes and accounts receivable |
(1,195) |
(1,207) |
1,332 |
6,463 |
(3,508) |
Decrease (increase) in inventories |
(22,632) |
(4,405) |
(17,207) |
(13,711) |
18,344 |
Increase (decrease) in notes and accounts payable-trade |
1,581 |
(835) |
2,641 |
(5,455) |
765 |
Decrease (increase) in other current assets |
(614) |
(3,477) |
(575) |
(3,372) |
1,067 |
Decrease (increase) in other non-current assets |
1,298 |
(1,016) |
56 |
(83) |
199 |
Increase (decrease) in other current liabilities |
3,585 |
6,765 |
(508) |
24 |
4,078 |
Other,net |
270 |
290 |
(321) |
548 |
(480) |
Subtotal |
17,791 |
49,768 |
53,077 |
31,108 |
57,510 |
Interest and dividends income received |
363 |
76 |
102 |
715 |
1,556 |
Interest expenses paid |
(142) |
(87) |
(150) |
(72) |
(119) |
Subsidy income related to COVID-19 received |
- |
335 |
290 |
11 |
- |
Income taxes paid |
(2,538) |
(16,764) |
(26,161) |
(19,755) |
(11,398) |
Income taxes refund |
2,530 |
1,672 |
412 |
219 |
4,689 |
Net cash provided by operating activities |
18,005 |
35,000 |
27,570 |
12,226 |
52,238 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Cash flows from investing activities |
Payments into time deposits |
(5,141) |
(3,284) |
(3,449) |
(3,933) |
(2,712) |
Proceeds from withdrawal of time deposits |
5,220 |
3,284 |
3,449 |
3,929 |
2,716 |
Purchases of property and equipment |
(5,827) |
(4,949) |
(5,494) |
(5,676) |
(9,285) |
Proceeds from sale of property and equipment |
2 |
1 |
7 |
- |
4 |
Purchase of intangible assets |
(1,587) |
(1,449) |
(2,464) |
(2,873) |
(1,162) |
Proceeds from sale of intangible assets |
- |
- |
- |
1,506 |
- |
Payments for acquiring investment securities |
(1,612) |
(527) |
(640) |
(1,606) |
(673) |
Proceeds from investments in securities |
- |
- |
697 |
- |
- |
Payments for investments in capital |
- |
(144) |
(1,306) |
(348) |
(174) |
Purchase of investments in subsidiaries |
(85) |
(161) |
(687) |
(682) |
(190) |
Proceeds from sale of shares of subsidiaries and associates |
- |
- |
382 |
36,122 |
- |
Proceeds from sale of crypto assets |
- |
- |
2,904 |
1,358 |
341 |
Payments for guarantee deposits |
(433) |
(31) |
(2,059) |
(265) |
(2,176) |
Proceeds from collection of guarantee deposits |
193 |
622 |
527 |
225 |
85 |
Other,net |
(767) |
(11) |
7 |
(151) |
13 |
Net cash used in investing activities |
(10,039) |
(6,651) |
(8,124) |
27,602 |
(13,214) |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Cash flows from financing activities |
Payments for short‐term loans |
(8,525) |
- |
- |
- |
- |
Purchase of treasury stock |
(9) |
(18) |
(8) |
(5) |
(3) |
Repayments of lease obligations |
(485) |
(623) |
(671) |
(454) |
(292) |
Proceeds from exercise of share options |
293 |
425 |
599 |
354 |
347 |
Cash dividends paid |
(5,599) |
(6,437) |
(9,308) |
(15,418) |
(14,838) |
Other,net |
276 |
5 |
46 |
0 |
- |
Net cash used in financing activities |
(14,048) |
(6,647) |
(9,343) |
(15,523) |
(14,787) |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Effect of exchange rate changes on cash and cash equivalents |
(479) |
1,049 |
6,458 |
8,029 |
190,903 |
Net increase (decrease) in cash and cash equivalents |
(6,562) |
22,750 |
16,561 |
30,280 |
32,266 |
Cash and cash equivalents at beginning of the year |
127,181 |
121,311 |
144,061 |
160,622 |
190,903 |
Increase (decrease) in cash and cash equivalents resulting from change in scope of consolidation |
691 |
- |
- |
- |
- |
Increase in cash and cash equivalents resulting from merger |
- |
- |
- |
- |
11 |
Cash and cash equivalents at end of the year |
121,311 |
144,061 |
160,622 |
190,903 |
223,181 |
Downloadable File
Print
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Net sales |
260,527 |
332,532 |
365,275 |
343,267 |
356,344 |
Cost of sales |
139,012 |
171,837 |
169,960 |
167,377 |
188,975 |
Gross profit |
121,515 |
160,695 |
195,314 |
175,889 |
167,369 |
Reversal of provision for sales returns |
9,016 |
4,150 |
- |
- |
- |
Provision for sales returns |
4,257 |
5,637 |
- |
- |
- |
Net gross profit |
126,274 |
159,208 |
195,314 |
175,889 |
167,369 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Selling, general and administrative expenses |
Packaging freight charge |
2,304 |
2,436 |
2,999 |
3,459 |
3,837 |
Advertising expense |
21,006 |
28,239 |
24,739 |
24,744 |
25,108 |
Sales promotion expense |
159 |
673 |
611 |
309 |
336 |
Compensation for directors |
497 |
771 |
738 |
587 |
564 |
Salaries |
18,901 |
21,165 |
24,228 |
24,540 |
27,425 |
Provisions for bonuses |
4,005 |
3,368 |
6,484 |
3,978 |
5,617 |
Net periodic pension costs |
1,021 |
1,205 |
1,002 |
1,221 |
1,071 |
Welfare expense |
2,835 |
3,051 |
3,396 |
3,587 |
3,887 |
Rental expense |
2,919 |
2,882 |
2,991 |
3,027 |
3,174 |
Commission fee |
28,377 |
35,900 |
55,391 |
52,875 |
47,980 |
Depreciation and amortization |
2,725 |
2,903 |
3,153 |
2,874 |
3,693 |
Other |
8,762 |
9,384 |
10,314 |
10,353 |
12,112 |
Total Selling, general and administrative expenses |
93,515 |
111,982 |
136,053 |
131,557 |
134,810 |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Operating income |
32,759 |
47,226 |
59,261 |
44,331 |
32,558 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Non-operating income |
Interest income |
363 |
76 |
101 |
714 |
1,550 |
Dividends received |
0 |
0 |
0 |
0 |
0 |
Foreign exchange gain |
- |
2,727 |
10,489 |
10,365 |
9,304 |
Rental income |
36 |
17 |
33 |
38 |
47 |
Gain on forgiveness of payable for group tax |
370 |
- |
- |
- |
- |
Gain on sale of crypto assets |
- |
- |
2,904 |
1,358 |
341 |
Revenue from business held for sale |
- |
- |
- |
4,051 |
- |
Miscellaneous income |
198 |
222 |
777 |
411 |
487 |
Total non-operating income |
969 |
3,043 |
14,307 |
16,940 |
11,731 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Non-operating expenses |
Interest expenses |
135 |
87 |
150 |
72 |
187 |
Commission fee |
5 |
19 |
475 |
1,249 |
452 |
Loss on investments in securities |
127 |
169 |
- |
- |
- |
Loss on liquidation of content |
- |
- |
1,289 |
- |
- |
Loss on retirement of development related assets |
- |
- |
862 |
- |
- |
Office transfer related expenses |
- |
- |
- |
- |
1,017 |
Provision for office relocation expenses |
- |
- |
- |
- |
883 |
Foreign exchange loss |
1,173 |
- |
- |
- |
- |
Expenses from business held for sale |
- |
- |
- |
5,191 |
- |
Miscellaneous loss |
191 |
9 |
86 |
48 |
208 |
Total non-operating expenses |
1,633 |
286 |
2,865 |
6,562 |
2,748 |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Ordinary income |
32,095 |
49,983 |
70,704 |
54,709 |
41,541 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Extraordinary gain |
Gain on sale of property and equipment |
2 |
1 |
6 |
826 |
- |
Gain on sales of registered trademarks |
- |
- |
- |
680 |
- |
Gain on sale of investment securities |
- |
- |
- |
- |
8 |
Gain on reversal of subscription rights to shares |
7 |
2 |
8 |
4 |
8 |
Subsidy income related to COVID-19 |
- |
335 |
290 |
11 |
- |
Gain on sale of shares of subsidiaries and associates |
- |
- |
353 |
9,465 |
- |
Other |
- |
- |
72 |
46 |
- |
Total extraordinary gain |
9 |
339 |
730 |
11,033 |
16 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Extraordinary loss |
Loss on sale of property and equipment |
- |
18 |
- |
- |
47 |
Loss on disposal of property and equipment |
130 |
316 |
212 |
112 |
110 |
Impairment loss |
367 |
520 |
109 |
73 |
5 |
Loss on valuation of investment securities |
- |
449 |
351 |
162 |
150 |
Loss on valuation of shares of subsidiaries and associates |
- |
251 |
239 |
498 |
1,216 |
Provision for game arcade closings |
117 |
629 |
- |
- |
- |
Loss on temporary closure |
141 |
2,392 |
296 |
- |
- |
Loss on evaluation of content |
- |
- |
- |
6,303 |
22,087 |
Loss on event cancellations |
544 |
- |
- |
- |
- |
Other |
9 |
49 |
1 |
161 |
5 |
Total extraordinary loss |
1,311 |
4,628 |
1,212 |
7,312 |
23,622 |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Profit (Loss) before income taxes |
30,793 |
45,694 |
70,223 |
58,431 |
17,935 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Income taxes |
Income taxes-current |
10,581 |
19,430 |
20,511 |
11,060 |
10,597 |
Income taxes-deferred |
(1,136) |
(690) |
(1,320) |
(1,916) |
(7,595) |
Total income taxes |
9,444 |
18,740 |
19,191 |
9,143 |
3,001 |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Profit |
21,348 |
26,954 |
51,031 |
49,287 |
14,933 |
Profit attributable to non-controlling interests |
1 |
12 |
17 |
22 |
21 |
Profit attributable to owners of parent |
21,346 |
26,942 |
51,013 |
49,264 |
14,912 |
Downloadable File
Print
Assets
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Current assets |
Cash and deposits |
123,450 |
146,229 |
163,088 |
193,501 |
225,901 |
Notes and accounts receivable |
41,474 |
43,036 |
44,968 |
39,908 |
44,683 |
Merchandises and finished goods |
5,850 |
3,829 |
4,687 |
4,872 |
4,684 |
Work in progress |
206 |
212 |
18 |
- |
- |
Raw materials and supplies |
433 |
363 |
485 |
827 |
1,033 |
Content production account |
71,479 |
78,153 |
96,765 |
87,217 |
48,577 |
Other |
8,163 |
11,987 |
12,711 |
16,185 |
14,561 |
Allowance for doubtful accounts |
(161) |
(190) |
(268) |
(255) |
(221) |
Total current assets |
250,896 |
283,622 |
322,455 |
342,258 |
339,219 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Non-current assets |
Property and equipment |
Buildings and structures |
18,341 |
18,735 |
18,793 |
18,275 |
19,598 |
Accumulated depreciation |
(11,603) |
(12,888) |
(13,489) |
(13,971) |
(15,135) |
Buildings and structures (net) |
6,738 |
5,847 |
5,303 |
4,303 |
4,462 |
Tools and fixtures |
15,943 |
17,716 |
19,431 |
17,232 |
20,263 |
Accumulated depreciation |
(11,112) |
(12,992) |
(14,730) |
(13,241) |
(14,164) |
Tools and fixtures (net) |
4,830 |
4,723 |
4,701 |
3,990 |
6,099 |
Amusement equipment |
17,529 |
17,275 |
17,008 |
17,815 |
18,116 |
Accumulated depreciation |
(15,420) |
(15,459) |
(15,379) |
(15,791) |
(15,949) |
Amusement equipment (net) |
2,108 |
1,816 |
1,629 |
2,023 |
2,166 |
Other |
3,425 |
4,116 |
4,955 |
3,050 |
3,858 |
Accumulated depreciation |
(484) |
(1,095) |
(1,314) |
(1,223) |
(1,988) |
Other (net) |
2,940 |
3,021 |
3,641 |
1,826 |
1,869 |
Land |
3,782 |
3,782 |
3,782 |
3,782 |
3,782 |
Construction in progress |
147 |
465 |
757 |
1,815 |
4,695 |
Total property and equipment |
20,547 |
19,656 |
19,814 |
17,743 |
23,075 |
Intangible assets |
Other |
5,387 |
5,540 |
7,375 |
5,856 |
5,881 |
Total intangible assets |
5,387 |
5,540 |
7,375 |
5,856 |
5,881 |
Investments and other assets |
Investment securities |
2,308 |
2,537 |
2,727 |
4,411 |
4,731 |
Guarantee deposits |
10,612 |
9,776 |
11,028 |
11,074 |
13,168 |
Net defined benefit asset |
- |
477 |
649 |
795 |
1,573 |
Deferred tax assets |
8,731 |
9,630 |
10,526 |
11,027 |
18,687 |
Other |
4,238 |
4,961 |
6,384 |
6,497 |
4,568 |
Allowance for doubtful accounts |
(88) |
(57) |
(57) |
(30) |
(30) |
Total investments and other assets |
25,802 |
27,325 |
31,257 |
33,775 |
42,698 |
Total non-current assets |
51,737 |
52,522 |
58,447 |
57,376 |
71,656 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Total assets |
|
302,634 |
336,144 |
380,902 |
399,634 |
410,876 |
Liabilities and Net Assets
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Current liabilities |
Notes and accounts payable |
25,537 |
24,559 |
27,598 |
23,558 |
24,384 |
Accrued income taxes |
10,159 |
14,593 |
8,442 |
3,452 |
6,978 |
Provision for bonuses |
4,061 |
2,956 |
6,539 |
4,532 |
5,345 |
Provision for sales returns |
4,253 |
5,873 |
- |
- |
- |
Refund liabilities |
- |
- |
5,616 |
5,186 |
4,410 |
Provision for game arcade closings |
43 |
231 |
- |
- |
- |
Asset retirement obligations |
3 |
6 |
- |
- |
9 |
Other |
25,285 |
32,122 |
35,602 |
34,974 |
40,431 |
Total current liabilities |
69,344 |
80,345 |
83,800 |
71,704 |
81,559 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Non-current liabilities |
Provision for directors' retirement benefits |
52 |
52 |
17 |
7 |
- |
Provision for game arcade closings |
40 |
- |
- |
- |
- |
Net defined benefit liabilities |
3,214 |
3,492 |
3,842 |
3,908 |
4,311 |
Deferred tax liabilities |
1,062 |
1,642 |
874 |
0 |
1 |
Asset retirement obligations |
3,291 |
3,715 |
3,842 |
4,424 |
4,902 |
Provision for office move-out costs |
- |
- |
- |
- |
883 |
Other |
3,698 |
3,617 |
4,094 |
2,322 |
2,089 |
Total non-current liabilities |
11,360 |
12,521 |
12,672 |
10,663 |
12,187 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Total liabilities |
|
80,705 |
92,866 |
96,472 |
82,368 |
93,747 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Shareholders' equity |
Common stock |
24,039 |
24,039 |
24,039 |
24,039 |
24,039 |
Capital surplus |
53,388 |
53,593 |
53,880 |
54,142 |
54,368 |
Retained earnings |
159,222 |
179,722 |
221,316 |
255,151 |
254,741 |
Treasury stock |
(9,900) |
(9,556) |
(8,964) |
(8,587) |
(7,876) |
Total shareholders' equity |
226,750 |
247,799 |
290,272 |
324,745 |
325,272 |
(Millions of yen)
|
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Accumulated other comprehensive income |
Unrealized loss on revaluation of other investment securities |
(162) |
59 |
(24) |
2 |
(305) |
Foreign currency translation adjustments |
(5,085) |
(5,655) |
(6,844) |
(8,765) |
(9,038) |
Remeasurements of defined benefit plans |
(318) |
160 |
116 |
308 |
566 |
Total accumulated other comprehensive income |
(5,567) |
(5,435) |
(6,752) |
(8,454) |
(8,776) |
(Millions of yen)
|
03/2020 |
03/2021 |
03/2022 |
03/2023 |
03/2024 |
Subscription rights to shares |
608 |
762 |
718 |
752 |
378 |
Non-controlling interests |
137 |
151 |
191 |
222 |
255 |
Total net assets |
221,928 |
243,278 |
284,429 |
317,266 |
317,129 |
Total liabilities and net assets |
302,634 |
336,144 |
380,902 |
399,634 |
410,876 |