Sep 2019 Sep 2020 Sep 2021 Sep 2022 Sep 2023 Sep 2024 Sep 2025
Sales (in thousands of yen) 694,008 563,680 945,177 1,138,803 2,077,284 2,333,695 3,006,963
Operating profit or operating loss (△) (in thousands of yen) 129,013 △47,293 122,709 130,594 376,735 179,293 290,906
Net profit or net loss for the Term(△) (in thousands of yen) 106,402 △372,264 95,965 96,914 252,021 127,148 202,771
Net profit or net loss per share (in yen) 27,662.64 △96,597.17 30.97 30.99 80.02 36.96 58.78
Return on Equity (%) 25.9 49.2 30.6 35.7 11.3 14.3
Total Assets (in thousands of yen) 670,373 734,348 932,485 919,352 1,821,479 1,957,515 2,705,797
Net Assets (in thousands of yen) 464,267 121,987 267,927 364,842 1,048,866 1,204,642 1,423,890
Net Assets per Share (in yen) 120,526.23 31,496.86 85.69 116.69 310.09 349.21 411.53
Equity Ratio (%) 69.3 16.6 28.7 39.7 57.6 61.5 52.5
Cash Flow from Operating Activities (in thousands of yen) 292,329 121,478 643,123 199,920 616,024
Cash Flow from Investing Activities (in thousands of yen) △16,716 △132,109 △324,091 △760,711 △360,321
Cash Flow from Financing Activities (in thousands of yen) △21,221 △64,096 363,548 △33,262 55,308
Cash and Cash Equivalents at End of Period (in thousands of yen) 596,172 521,446 1,204,026 609,973 920,874

On June 18, 2023, our company conducted a stock split at a ratio of 800 shares for every 1 share. We are calculating per-share information assuming that this stock split took place at the beginning of the September 2021 fiscal year.
Our company began preparing cash flow statements from the fiscal year ending September 2021, so data for previous fiscal years is not provided.
The Company transitioned to consolidated financial statements starting from the Q4 of the fiscal year ended September 2025. To enable viewing of performance trends, this page uses non-consolidated figures for results prior to the fiscal year ended September 2024.