Financial Results & Forecasts
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
P-ライジング (207A0)
Financial Results & Forecasts
20251114 20:00
Summary not available.
2025年12月期第3四半期決算短信の開示が四半期末後45日を超えることに関するお知らせ
ピクセル (27430)
Financial Results & Forecasts
20251114 20:00
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
G-窪田製薬HD (45960)
Financial Results & Forecasts
20251114 19:00
Summary not available.
特別利益の計上と業績予想の修正に関するお知らせ
ニチリョク (75780)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2026年3月期 通期業績予想の修正(上方修正)に関するお知らせ
G-イオレ (23340)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2026年3月期 第2四半期(中間期)決算補足説明資料
G-イオレ (23340)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
ニチリョク (75780)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
市光工 (72440)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-イオレ (23340)
Financial Results & Forecasts
20251114 18:30
Summary not available.
2026年3月期第2四半期決算短信〔日本基準〕(連結)
G-海帆 (31330)
Financial Results & Forecasts
20251114 18:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
P-エクシオHD (362A0)
Financial Results & Forecasts
20251114 18:00
Summary not available.
[本編書き起こし]2026年3月期 第2四半期決算説明会
ネットプロHD (73830)
Financial Results & Forecasts
20251114 18:00
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
フォーシーズHD (37260)
Financial Results & Forecasts
20251114 18:00
Summary not available.
特別損失の計上並びに通期連結業績予想と今期実績値との差異、通期個別前期実績値と今期実績値との差異に関するお知らせ
フォーシーズHD (37260)
Financial Results & Forecasts
20251114 18:00
Summary not available.
2025年12月期 第3四半期 決算説明資料スクリプト
G-スパイダープラス (41920)
Financial Results & Forecasts
20251114 18:00
Summary not available.
2026年3月期第2四半期 決算説明会のお知らせ
エヌ・シー・エヌ (70570)
Financial Results & Forecasts
20251114 17:45
Summary not available.
2026年3月期第2四半期 決算説明資料
エヌ・シー・エヌ (70570)
Financial Results & Forecasts
20251114 17:45
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
エヌ・シー・エヌ (70570)
Financial Results & Forecasts
20251114 17:45
Summary not available.
第22期(2025年12月期)第三四半期決算説明資料
G-モブキャストHD (36640)
Financial Results & Forecasts
20251114 17:45
Summary not available.
第2四半期業績予想と実績値の差異および通期業績予想の修正に関するお知らせ
進学会HD (97600)
Financial Results & Forecasts
20251114 17:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
進学会HD (97600)
Financial Results & Forecasts
20251114 17:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
NEXYZ.G (43460)
Financial Results & Forecasts
20251114 17:30
Summary not available.
2025年12月期 第3四半期決算説明資料スマホ向けサマリ版
G-エフ・コード (92110)
Financial Results & Forecasts
20251114 17:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
イメージワン (26670)
Financial Results & Forecasts
20251114 17:30
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
低ベータ50ETN (20690)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
高ベータ30ETN (20680)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
野村AI70ETN (20670)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
東証リートETN (20660)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
日本株配当貴族ETN (20650)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
ニッチトップ中小型 (20500)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
高配株$ヘッジETN (20480)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
インドベアETN (20470)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
インドブルETN (20460)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
シンガポールリート (20450)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
米国配当貴族ETN (20440)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
アセアン50ETN (20430)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
グロース250ETN (20420)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
NYダウベアETN (20410)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
NYダウブルETN (20400)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
ドバイ原油先物ベア (20390)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
ドバイ原油先物ブル (20380)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
金先物ベア (20370)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
金先物ダブルブル (20360)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
KOSPIベア (20340)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
KOSPIブル (20330)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
ハンセンベア (20320)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期 第2四半期 保証者の連結普通株式等Tier1比率・連結Tier1比率・連結総自己資本規制比率について
ハンセンブル (20310)
Financial Results & Forecasts
20251114 17:25
Summary not available.
2026年3月期第2四半期決算補足説明資料
ウィルソンWLW (96100)
Financial Results & Forecasts
20251114 17:15
Summary not available.
2025年12月期第3四半期決算説明資料
G-T.S.I (73620)
Financial Results & Forecasts
20251114 17:10
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-T.S.I (73620)
Financial Results & Forecasts
20251114 17:10
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
バルコス (77900)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期第3四半期決算説明資料
リベルタ (49350)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-アップルパーク (164A0)
Financial Results & Forecasts
20251114 17:00
Summary not available.
【6081】2025年12月期第3四半期_決算説明資料
G-アライドアーキ (60810)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
テイン (72170)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-グローカルマーケ (266A0)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期第2四半期連結決算説明資料
アテクト (42410)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算参考資料
テイン (72170)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
リベルタ (49350)
Financial Results & Forecasts
20251114 17:00
Summary not available.
通期業績予想の修正に関するお知らせ
オーケストラHD (65330)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期 第3四半期 決算説明資料
オーケストラHD (65330)
Financial Results & Forecasts
20251114 17:00
Summary not available.
剰余金の配当(中間配当)および配当予想の修正に関するお知らせ
三井住友 (83160)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年度 第2四半期決算説明資料
三井住友 (83160)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
P-ゼン・ランド (358A0)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
P-CChan (76910)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-シュンビン (203A0)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
オーケストラHD (65330)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
アテクト (42410)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-はなHD (91560)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期 第3四半期決算補足説明資料
ロココ (58680)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ウィルソンWLW (96100)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ロココ (58680)
Financial Results & Forecasts
20251114 17:00
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
G-OPS (76990)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-アライドアーキ (60810)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔SFRS〕(連結)
G-OPS (76990)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三井住友 (83160)
Financial Results & Forecasts
20251114 17:00
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
ライオン事務器 (423A0)
Financial Results & Forecasts
20251114 16:55
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
チエル (39330)
Financial Results & Forecasts
20251114 16:50
Summary not available.
2025年12月期 第3四半期 決算補足説明資料
artience (46340)
Financial Results & Forecasts
20251114 16:50
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
artience (46340)
Financial Results & Forecasts
20251114 16:50
Summary not available.
2025年9月期 通期決算説明資料(事業計画及び成長可能性に関する事項)
G-バンクオブイノベ (43930)
Financial Results & Forecasts
20251114 16:45
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-バンクオブイノベ (43930)
Financial Results & Forecasts
20251114 16:45
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ICDA・HD (31840)
Financial Results & Forecasts
20251114 16:40
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
今仙電機 (72660)
Financial Results & Forecasts
20251114 16:40
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三光産業 (79220)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-Aiロボティクス (247A0)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 第2四半期(中間期)連結業績予想値と実績値との差異及び営業外費用(為替差損)計上に関するお知らせ
相模ゴム (51940)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
相模ゴム (51940)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年9月期決算短信〔日本基準〕(非連結)
G-PRISMBio (206A0)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績との差異に関するお知らせ
A-伸和HD (71180)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-ブランジスタ (61760)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年11月期 月次売上速報(10月度)のお知らせ
ホリイフード (30770)
Financial Results & Forecasts
20251114 16:30
Summary not available.
通期連結業績予想の修正(上方修正)に関するお知らせ
ホリイフード (30770)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
フィックスターズ (36870)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ケンコーマヨ (29150)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
P-ファーストステジ (29850)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年3月期 通期連結業績予想の修正に関するお知らせ
ケンコーマヨ (29150)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
太洋物産 (99410)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年10月度 月次概況(速報)に関するお知らせ
ヒロセ通商 (71850)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年11月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ホリイフード (30770)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年12月期通期業績予想の修正に関するお知らせ
G-シルバーエッグ (39610)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2025年9月期 配当予想の修正に関するお知らせ
G-cotta (33590)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-ココルポート (93460)
Financial Results & Forecasts
20251114 16:30
Summary not available.
2026年6月期 第1四半期決算補足説明資料
G-ココルポート (93460)
Financial Results & Forecasts
20251114 16:30
Summary not available.
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Summary not available.
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20251114 16:30
Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:30
Summary not available.
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Financial Results & Forecasts
20251114 16:30
Summary not available.
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20251114 16:30
Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:20
Summary not available.
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Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:15
Summary not available.
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20251114 16:15
Summary not available.
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Summary not available.
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20251114 16:15
Summary not available.
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Summary not available.
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Summary not available.
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Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:10
Summary not available.
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20251114 16:10
Summary not available.
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20251114 16:10
Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:01
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
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20251114 16:00
Summary not available.
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Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
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Financial Results & Forecasts
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Summary not available.
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Summary not available.
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Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
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Financial Results & Forecasts
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Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
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Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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Summary not available.
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20251114 16:00
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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20251114 16:00
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20251114 16:00
Summary not available.
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20251114 16:00
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20251114 16:00
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Financial Results & Forecasts
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Financial Results & Forecasts
20251114 16:00
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20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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20251114 16:00
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Financial Results & Forecasts
20251114 16:00
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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20251114 16:00
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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Financial Results & Forecasts
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
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Financial Results & Forecasts
20251114 16:00
Summary not available.
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Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
P-ワカ製作所 (65270)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期第3四半期決算説明資料
G-monoAI (52400)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
フクビ化学工業 (78710)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-monoAI (52400)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期通期業績予想に関するお知らせ
マイポックス (53810)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算補足資料
ダイイチ (76430)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ベビーカレンダー (73630)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
NFK-HD (64940)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
ラオックスHD (82020)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
トレックスセミ (66160)
Financial Results & Forecasts
20251114 16:00
Summary not available.
特別利益(投資有価証券売却益)の計上及び業績予想数値の差異並びに期末業績予想の修正に関するお知らせ
北沢産業 (99300)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明資料
G-GNI (21600)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算説明資料
アスモ (26540)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-デンタス (61740)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
高見サイ (64240)
Financial Results & Forecasts
20251114 16:00
Summary not available.
個別業績の前期実績値との差異に関するお知らせ
大阪油化工業 (41240)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期通期連結業績予想と実績との差異に関するお知らせ
大阪油化工業 (41240)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
大阪油化工業 (41240)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-クリニファー (432A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
業績予想の修正に関するお知らせ
P-インターグ (279A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明・補足 M&Aにともなう“のれん”の内容と安全性について
G-エフ・コード (92110)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-インターグ (279A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-SAAFHD (14470)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明資料
G-アディッシュ (70930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-アディッシュ (70930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
オーネックス (59870)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
G-GEI (92120)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-クラスターT (42400)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算説明資料
G-アイパートナーズ (73450)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算補足説明資料
一正蒲鉾 (29040)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-アイパートナーズ (73450)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
アズパートナーズ (160A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期決算説明資料
G-交換できるくん (76950)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-交換できるくん (76950)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
一正蒲鉾 (29040)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明会資料
日本創発G (78140)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-コマースワン (44960)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エステールHD (78720)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ホープ (61950)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期第3四半期 決算説明資料
G-ユカリア (286A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
デュアルタップ (34690)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
FFJ (70920)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
レック (78740)
Financial Results & Forecasts
20251114 16:00
Summary not available.
通期業績予想の修正に関するお知らせ
P-アイダ設計 (29900)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-アイダ設計 (29900)
Financial Results & Forecasts
20251114 16:00
Summary not available.
配当予想の修正(増配)に関するお知らせ
片倉 (30010)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算補足資料
DNホールディングス (73770)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
DNホールディングス (73770)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算説明資料
アクセスグループ (70420)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
アクセスグループ (70420)
Financial Results & Forecasts
20251114 16:00
Summary not available.
(訂正・数値データ訂正)「2026年3月期第1四半期決算短信〔日本基準〕(連結)の一部訂正に関するお知らせ
アクセスグループ (70420)
Financial Results & Forecasts
20251114 16:00
Summary not available.
配当予想の修正に関するお知らせ
ユニカフェ (25970)
Financial Results & Forecasts
20251114 16:00
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
電気興 (67060)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-ミラタップ (31870)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
電気興 (67060)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期通期業績予想の上方修正に関するお知らせ
G-エフ・コード (92110)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明資料
G-エフ・コード (92110)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
G-エフ・コード (92110)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
片倉 (30010)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ジモティー (70820)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アスモ (26540)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期決算説明資料
エンバイオHD (60920)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エンバイオHD (60920)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明資料
G-ジモティー (70820)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期 Q&A掲載のお知らせ
G-サイバーセキュリ (44930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
第一パン (22150)
Financial Results & Forecasts
20251114 16:00
Summary not available.
通期連結業績予想の上方修正に関するお知らせ
G-スタメン (40190)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算説明資料
アズパートナーズ (160A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-サイバーセキュリ (44930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期 決算短信〔日本基準〕(連結)
G-サイバーセキュリ (44930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期決算補足説明資料
G-ホープ (61950)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
A-NTL (38490)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期決算短信〔日本基準〕(非連結)
アビスト (60870)
Financial Results & Forecasts
20251114 16:00
Summary not available.
剰余金の配当(中間配当・無配)に関するお知らせ
サン電子 (67360)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-manaby (92220)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算補足説明資料
サン電子 (67360)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
サン電子 (67360)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
リリカラ (98270)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期第3四半期 決算説明資料
リリカラ (98270)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
G-BCC (73760)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-スタメン (40190)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ヤシマキザイ (76770)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年8月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
燦HD (96280)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
北沢産業 (99300)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)連結業績予想と実績値との差異について
VTHD (75930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)個別業績予想と実績との差異及び通期個別業績予想の修正に関するお知らせ
G-クラスターT (42400)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期 決算補足説明資料
レアジョブ (60960)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期 決算説明資料
サンウェルズ (92290)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
クロスマーケティング (36750)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
レアジョブ (60960)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
サンウェルズ (92290)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
ピクセラ (67310)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期決算説明資料
イワキポンプ (62370)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
VTHD (75930)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
クエスト (23320)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-FRONTEO (21580)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アイダ (61180)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
イワキポンプ (62370)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
オーバル (77270)
Financial Results & Forecasts
20251114 16:00
Summary not available.
連結業績予想の修正(上方修正)のお知らせ
G-FRONTEO (21580)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
新コスモス (68240)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
CGSHD (66330)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ひらまつ (27640)
Financial Results & Forecasts
20251114 16:00
Summary not available.
特別損失及び繰延税金資産の計上並びに通期連結業績及び通期個別業績と前期実績値の差異に関するお知らせ
G-くふうカンパニー (43760)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期中間決算短信〔日本基準〕(連結)
P-エフアンドエフ (357A0)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-アジャイル (65730)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
JHD (27210)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)連結業績予想と実績値との差異に関するお知らせ
東プレ (59750)
Financial Results & Forecasts
20251114 16:00
Summary not available.
業績予想と実績値の差異に関するお知らせ
東北化学 (74460)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
東北化学 (74460)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
人・夢・技術G (92480)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ADR120S (37500)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
シリウスV (62760)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
オーケーウェブ (38080)
Financial Results & Forecasts
20251114 16:00
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日本精密 (77710)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期決算説明資料
G-Defコンサル (48330)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期期(中間期)決算短信〔日本基準〕(非連結)
G-Defコンサル (48330)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算説明資料
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Financial Results & Forecasts
20251114 16:00
Summary not available.
業績予想の修正(上方修正)および配当予想の修正(増配)に関するお知らせ
シンシア (77820)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
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Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
HABA (49250)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
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Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アドバネクス (59980)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
平山 (77810)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
東プレ (59750)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
関門海 (33720)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
シンシア (77820)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
コンセック (98950)
Financial Results & Forecasts
20251114 16:00
Summary not available.
令和7年12月期第3四半期決算短信〔日本基準〕(連結)
ピーエイ (47660)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
ユニカフェ (25970)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
マナック・ケミカルP (43600)
Financial Results & Forecasts
20251114 16:00
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ライトアップ (65800)
Financial Results & Forecasts
20251114 15:50
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
大豊建 (18220)
Financial Results & Forecasts
20251114 15:50
Summary not available.
2026年3月期第2四半期(中間期)業績予想と実績値との差異に関するお知らせ
大豊建 (18220)
Financial Results & Forecasts
20251114 15:50
Summary not available.
2025年度通期連結業績予想の修正に関するお知らせ
電通グループ (43240)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年9月期 決算短信[日本基準](連結)
G-フリークアウト (60940)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年9月期 通期決算説明資料
G-フリークアウト (60940)
Financial Results & Forecasts
20251114 15:45
Summary not available.
通期連結業績予想数値と実績値との差異に関するお知らせ
G-フリークアウト (60940)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ispace (93480)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
まんだらけ (26520)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年度 第3四半期 決算説明会資料
電通グループ (43240)
Financial Results & Forecasts
20251114 15:45
Summary not available.
業績予想の修正に関するお知らせ
G-イメージマジック (77930)
Financial Results & Forecasts
20251114 15:45
Summary not available.
配当予想の修正(増配)に関するお知らせ
G-イメージマジック (77930)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年12月期 第3四半期決算説明資料
G-イメージマジック (77930)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-イメージマジック (77930)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
ドライルーブ (49760)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
オリコンHD (24980)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アールエスシー (46640)
Financial Results & Forecasts
20251114 15:45
Summary not available.
株式分割ならびに株式分割に伴う定款の一部変更及び配当予想の修正に関するお知らせ
ドライルーブ (49760)
Financial Results & Forecasts
20251114 15:45
Summary not available.
2025年12月期第3四半期決算短信〔IFRS〕(連結)
電通グループ (43240)
Financial Results & Forecasts
20251114 15:45
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
NEW ART (76380)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
日本エコシステム (92490)
Financial Results & Forecasts
20251114 15:40
Summary not available.
通期連結業績予想値と実績値との差異に関するお知らせ
日本エコシステム (92490)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績との差異に関するお知らせ
NEW ART (76380)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-グロームHD (89380)
Financial Results & Forecasts
20251114 15:40
Summary not available.
業績予想および配当予想の修正に関するお知らせ
G-グロームHD (89380)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年6月期 第1四半期決算説明資料
G-ロジザード (43910)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年12月期 通期業績予想の修正に関するお知らせ
エアーテック (62910)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-ロジザード (43910)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
エアーテック (62910)
Financial Results & Forecasts
20251114 15:40
Summary not available.
業績予想の修正に関するお知らせ
倉元 (52160)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年12月期 第3四半期決算説明資料
倉元 (52160)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
倉元 (52160)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績値との差異及び通期連結業績予想の修正に関するお知らせ
G-PXB (61900)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期第2四半期(中間期)決算短信[日本基準](連結)
G-PXB (61900)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
名古屋銀 (85220)
Financial Results & Forecasts
20251114 15:40
Summary not available.
剰余金の配当(中間配当)及び期末配当予想の修正に関するお知らせ
TYK (53630)
Financial Results & Forecasts
20251114 15:40
Summary not available.
業績予想の修正に関するお知らせ
TYK (53630)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
清和中央 (75310)
Financial Results & Forecasts
20251114 15:40
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
夢みつけ隊 (26730)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
TYK (53630)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
NEW ART (76380)
Financial Results & Forecasts
20251114 15:40
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
フリージアマク (63430)
Financial Results & Forecasts
20251114 15:40
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ヤマイチ (29840)
Financial Results & Forecasts
20251114 15:38
Summary not available.
2025年12月期連結業績予想の修正(上方修正)及び配当予想の修正(復配)に関するお知らせ
ラックランド (96120)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ラックランド (96120)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年3月期第2四半期_決算説明資料
G-DELTA-P (45980)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-DELTA-P (45980)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年6月期 第1四半期決算短信補足説明資料
AIメカテック (62270)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
AIメカテック (62270)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2025年12月期 第3四半期決算説明資料
FIG (43920)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
FIG (43920)
Financial Results & Forecasts
20251114 15:35
Summary not available.
令和7年9月期決算短信〔日本基準〕(連結)
KLASS (62330)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
技研ホールディングス (14430)
Financial Results & Forecasts
20251114 15:35
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ブライトパス (45940)
Financial Results & Forecasts
20251114 15:32
Summary not available.
2026年3月期 第2四半期決算説明資料
G-LOIVE (352A0)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ベルトラ (70480)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年12月期第3四半期 決算説明資料
G-ベルトラ (70480)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年12月期 第3四半期決算説明会資料
G-eWeLL (50380)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2026年3月期第2四半期(中間期)の業績予想と実績値との差異に関するお知らせ
G-LOIVE (352A0)
Financial Results & Forecasts
20251114 15:31
Summary not available.
業績予想の修正に関するお知らせ
G-ベルトラ (70480)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年12月期 期末配当予想の修正(増配)に関するお知らせ
G-eWeLL (50380)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-LOIVE (352A0)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-eWeLL (50380)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
クレステック (78120)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
P-バレッグス (239A0)
Financial Results & Forecasts
20251114 15:31
Summary not available.
2025年9月期 第4四半期決算説明資料
エアトリ (61910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結決算補足資料<2025年度第2四半期(7-9月期)>
ニデック (65940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結決算補足資料<2025年度第1四半期(4-6月期)>
ニデック (65940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期連結決算説明資料
G-ブリーチ (91620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期累計期間の業績予想値と実績値との差異および通期業績予想の修正に関するお知らせ
ネットプロHD (73830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
【2026年3月期第2四半期】決算補足説明資料
INEST (71110)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-Birdman (70630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和7年9月期決算短信〔日本基準〕(連結)
東京一番フーズ (30670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期第4四半期決算説明資料
G-ハイブリッドテク (42600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)の決定に関するお知らせ
オーシャン (30960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期 決算説明資料
G-ナルネット (58700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔IFRS〕(連結)
INEST (71110)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想と実績値との差異、及び特別損失(減損損失)の計上に関するお知らせ
東京一番フーズ (30670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-ブリーチ (91620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期末その他有価証券評価差額金の増加に関するお知らせ
VLCセキュリティ (24670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
VLCセキュリティ (24670)
Financial Results & Forecasts
20251114 15:30
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2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ホットランドHD (31960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ワットマン (99270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想と実績値との差異に関するお知らせ
G-ハイブリッドテク (42600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期業績予想の修正に関するお知らせ
G-ジーニー (65620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和7年9月期連結業績の前年同期実績からの差異に関するお知らせ
G-ウェッジHD (23880)
Financial Results & Forecasts
20251114 15:30
- Revenue decreased by ¥44 million (-5.2%) to ¥816 million compared to the previous year’s ¥860 million.
- Operating income worsened by ¥76 million, shifting from a loss of ¥14 million in the previous year to a profit of ¥91 million this year.
- Ordinary income improved by ¥598 million due to a significant decrease in investment losses under the equity method, resulting in an ordinary profit of ¥297 million compared to the previous year’s loss of ¥895 million.
- Net income attributable to parent company shareholders improved by ¥716 million, turning from a net loss of ¥942 million last year to a net profit of ¥226 million this year.
- Decrease in royalty income and increase in personnel expenses contributed to the decline in operating income.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
G-ジーニー (65620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 通期決算短信〔IFRS〕(連結)
G-デジタルプラス (36910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔IFRS〕(連結)
G-ハイブリッドテク (42600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 通期決算説明資料
G-インテM (70720)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期 決算説明資料
G-デジタルプラス (36910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)業績予想と実績値との差異及び通期業績予想の修正に関するお知らせ
G-ナルネット (58700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和7年9月期 決算短信〔日本基準〕(連結)
G-ウェッジHD (23880)
Financial Results & Forecasts
20251114 15:30
- Business Performance Mixed: Content Business grew in Japan and internationally; Digital Finance faced challenges due to legal disputes and COVID-19 impacts.
- Cash Flow Used Increased compared to last year (¥0.16 billion vs ¥0.15 billion).
- Total Assets Decreased by ¥1.5 billion to ¥36.84 billion.
- Future Growth Expected in Content Business domestically and internationally; strategic investments planned for Digital Finance.
- Legal Disputes Ongoing: Multiple lawsuits against the company group, including JTA vs G/L Group and Associates, and lawsuits by JTRUST ASIA PTE.LTD. totaling billions of dollars.
- License Revocation and Liquidation: GL Finance PLC’s license revoked, undergoing liquidation with potential investment losses for the holding company.
- Revenue Increased 8% YoY to ¥5.6 billion; operating profit down 3% to ¥950 million; net income down 6% to ¥640 million.
- Dividend Per Share Unchanged at ¥12.
- Guidance for Next Fiscal Year: Revenue expected to reach ¥6.0 billion, operating profit ¥1.0 billion.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-データセクション (39050)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-ACSL (62320)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
魁力屋 (58910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-スペースマーケッ (44870)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期 決算説明資料
オプティマス (92680)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期連結業績予想と実績値の差異及び前期実績値との差異に関するお知らせ
G-デジタルプラス (36910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-スペースマーケッ (44870)
Financial Results & Forecasts
20251114 15:30
Summary not available.
(訂正・数値データ訂正)「2025年3月期第3四半期決算短信〔IFRS〕(連結)」の一部訂正について
G-ジーニー (65620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-カウリス (153A0)
Financial Results & Forecasts
20251114 15:30
- Financial Results (Q3 FY2025 vs Q3 FY2024):
- Revenue: +14.6%
- Gross Profit: +5.4%, Margin: -5.1pp
- Operating Income: +0.1%
- Year-to-Date (YTD FY2025 vs YTD FY2024):
- Revenue: +14.7%
- Operating Income: +9.1%, Margin: -1.7pp
- New Service Launch: “Grid Data KYC” for fraud prevention in partnership with major electric power companies.
- Expansion Plans:
- Increase ARPU for existing Fraud Alert service.
- Expand new services and monitoring range.
- Broaden customer base to regional banks and credit unions.
- Goals: Achieve an annual recurring revenue (ARR) of 10 billion yen by FY2028.
- Operational Improvements:
- Strengthen AML capabilities and improve customer satisfaction for the 2028 FATF audit.
- Increase sales and operating profits through organizational restructuring and hiring experienced professionals.
- Financial Highlights (23/12 period):
- Revenue: +13.9% YoY
- Gross Profit: +17.9% YoY
- Operating Income: +15.6% YoY
- Operating Performance (Q3 FY2025):
- Operating Profit Margin: +15.1% YoY to 26.8%
- Net Income: +45.1% YoY to ¥60M
- Employee count remained stable at 42
- Revenue Growth and Gross Margin (Q3 FY2025 vs Q3 FY2024):
- Revenue: +8% YoY to ¥7.5B
- Gross margin expanded to 45.6%
- Debt Reduction:
- Reduced debt by ¥300M, net debt now at ¥8.2B.
- Guidance Confirmation: Full-year guidance for revenue growth of 7% confirmed.
2026年3月期 第2四半期 決算説明資料
G-MUSCAT G (195A0)
Financial Results & Forecasts
20251114 15:30
- Revenue: ¥29.8B (+15.0% YoY)
- Adjusted EBITDA: ¥23.7B (+5.4% YoY)
- Adjusted Net Income: ¥18.3B (+15.3% YoY)
- Brand-Producing business revenue: ¥29.8B (+16.0% YoY)
- Fujiko and ROCO NAILS profits expanded significantly
- EBITDA target of ¥6.0B reached one year earlier, by end of 2028Q3
- Revenue growth driven by increased brands and niche market acquisitions
- Shift to balanced approach of profit growth and long-term investment from FY2029Q1
- Q2 sales: ¥14.8B (+5% YoY)
- Operating income: ¥3.2B (+7% YoY)
- FY2026 guidance revised downwards for sales (¥59-¥63B) due to slower electronics growth
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ナルネット (58700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算説明会資料
G-アイリック (73250)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ラクス (39230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
DLE (36860)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
unbanked (87460)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026 年3 月期第1四半期決算短信のレビュー結論不表明のお知らせ
ニデック (65940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
G-ウェルネスC (366A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正ならびに剰余金の配当(中間配当)の決定および期末配当予想の修正(増配)に関するお知らせ
ダイコク電 (64300)
Financial Results & Forecasts
20251114 15:30
Summary not available.
(訂正・数値データ訂正)「2025年3月期第2四半期(中間期)決算短信〔IFRS〕(連結)」の一部訂正について
G-ジーニー (65620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
ブイキューブ (36810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期FAQ
G-JDSC (44180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
G-JDSC (44180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
日本システムバンク (55300)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
G-ブシロード (78030)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-BUYSELL (76850)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-アイリック (73250)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ダイコク電 (64300)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当無配)に関するお知らせ
P-ジェイウェイブ (437A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
DLE (36860)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期中間決算短信〔日本基準〕(非連結)
P-ジェイウェイブ (437A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-ブシロード (78030)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
テクニスコ (29620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
G-ウィルズ (44820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ブイキューブ (36810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期業績予想の修正に関するお知らせ
G-MUSCAT G (195A0)
Financial Results & Forecasts
20251114 15:30
- Revised Consolidated Revenue Forecast: Increased to ¥4,470 million (¥3,887 million previously)
- Revised Consolidated EBITDA Forecast: Increased to ¥350 million (¥332 million previously)
- Revised Net Income Forecast: Increased to ¥218 million (¥189 million previously)
- Acquisition of Kanarabo and Nadesiko: Expected to boost revenue and profitability
- Achievement of EBITDA Target in 2027: Revised due to recent acquisitions
2025年12月期 第3四半期 決算補足説明資料
G-Sイノベーション (41780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算補足資料
鈴茂器工 (64050)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想及び配当予想の修正に関するお知らせ
DmMiX (73540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025 年9月期 決算短信〔IFRS〕(連結)
エアトリ (61910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
G-ウィルズ (44820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期 決算説明資料(事業計画及び成長可能性に関する資料)
G-クラウドワークス (39000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-AVILEN (55910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
fantasista (17830)
Financial Results & Forecasts
20251114 15:30
- Financial Performance (FY2025):
- Net Sales: ¥93,147 million (-YoY)
- Operating Income: ¥1,267 million (-YoY)
- Net Income Attributable to Parent Company Shareholders: ¥(2.648) billion (-YoY)
- Cash Flow:
- Cash received from operating activities: ¥24,620 million (-YoY)
- Cash paid for investing activities: ¥10,250 million (+YoY)
- Cash paid for financing activities: ¥26,490 million (+YoY)
- Future Outlook:
- Expected sales and profit recovery in FY2026
- Real Estate Business: Recovery of land sales and accommodations
- Healthcare Business: Launch of new drugs using 5-ALA
- Renewable Energy Business: Revenue from electricity market participation and power storage
- Dividend: No dividend paid for FY2025
- Debt: Net debt as of March 31, 2026 was ¥18,749 million (-YoY)
- Segment Performance (FY2025 vs. FY2024):
- Real Estate Business Segment:
- Revenue: Increased by 6.2% to ¥8.9B
- Segment Profit: Decreased by 15.2% to ¥1.1B
- Cash Flow and Balance Sheet:
- Operating Activities Cash Flow: Increased by 16.9% to ¥2.8B
- Current Ratio: Improved from 2.0x to 2.2x
2025年9月期 決算短信〔日本基準〕(連結)
アドバンスクリエイト (87980)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結業績予想の修正に関するお知らせ
G-ACSL (62320)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年10月期通期連結業績予想の修正に関するお知らせ
G-笑美面 (92370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 期末配当予想の修正に関するお知らせ
アエリア (37580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
DmMiX (73540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔IFRS〕(連結)
G-シェアリングT (39890)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 通期連結業績予想の修正に関するお知らせ
G-BUYSELL (76850)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
冨士ダイス (61670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算説明資料
テラプローブ (66270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
配当予想(「名代 宇奈とと」創業25周年記念配当)の修正に関するお知らせ
G-G-FAC (34740)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
山喜 (35980)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
DmMiX (73540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-ドラフト (50700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-BUYSELL (76850)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績値との差異に関するお知らせ
冨士ダイス (61670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-GVATECH (298A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-AVILEN (55910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想と実績値との差異並びに通期連結業績及び通期個別業績の前期実績値との差異に関するお知らせ
G-クラウドワークス (39000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算説明資料
G-インバウンド (70310)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-バルテスHD (44420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-G-FAC (34740)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔IFRS〕 (連結)
プレミアグループ (71990)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-バルテスHD (44420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-インバウンド (70310)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 期末配当に関するお知らせ
アドバンスクリエイト (87980)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ココペリ (41670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
プレミアグループ (71990)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ACSL (62320)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正に関するお知らせ
アミューズ (43010)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
エルアイイーエイチ (58560)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
サンアスタリスク (40530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期累計期間(中間期) 連結業績予想値と実績値との差異に関するお知らせ
京三製 (67420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-シンカ (149A0)
Financial Results & Forecasts
20251114 15:30
- Q3 Highlights (FY 2025):
- Achieved record quarterly sales
- ARPA increased by +12.8% YoY and +3.1% QoQ
- Maintained low customer churn rate, despite minor increase due to OEM customer’s business strategy change
- Product & Market:
- “Kairara” is a communication support tool for businesses, targeting large enterprises, mid-sized companies, and small businesses
- Business Model & Growth Strategies:
- Revenue growth driven by increasing active user locations (“Kairara Points”) and ARPA
- Short-term focus on organizational strengthening (sales force enhancement, advertising, product development)
- Mid-term expansion through new features and market penetration
- Market Expansion Plans:
- Target industries: Automobile, real estate, finance, local governments, or hospitals
- Strategies: Resource allocation, people investment, AI function upgrade, addition of new communication channels
- Financial Results & Guidance (FY 2025):
- Revenue grew by 5% YoY, beating guidance; revised up to ¥1.2 billion for the full year
- Operating income increased by 7% YoY; maintained full-year guidance of ¥100 million
- No major surprises or extremely good/bad results reported
2026年3月期 第2四半期決算説明資料
ネットプロHD (73830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算において想定されるご質問への回答
G-AnyMind (50270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信 補足資料(連結)
アミューズ (43010)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
Q-リプライオリティ (242A0)
Financial Results & Forecasts
20251114 15:30
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配当予想の修正(増配)に関するお知らせ
安永 (72710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
ネットプロHD (73830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期業績予想(連結・個別)と実績値との差異及び特別損失の計上に関するお知らせ
ケイ・ウノ (259A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-AnyMind (50270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
営業外収益の計上、2026年3月期第2四半期(中間期)業績予想と実績との差異に関するお知らせ
G-IGS (42650)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
極楽湯HD (23400)
Financial Results & Forecasts
20251114 15:30
- Financial Performance:
- Revenue increased by ¥88,956 to ¥304,247,323
- Operating Income improved by ¥14,903 to ¥69,009,311
- Cash Flow from Operations rose by ¥265,962 to ¥703,504
- Cash and Capital Changes:
- Cash Flow from Financing Activities increased by ¥739,065
- Change in Cash and Cash Equivalents decreased by ¥273,960
- Capital increase due to exercise of stock acquisition rights: ¥5,672 million
- Guidance Revision:
- Full-year revenue guidance revised down to ¥136-140 billion (previously ¥140-145 billion)
2025年12月期第3四半期決算短信〔日本基準〕(非連結)
G-フィスコ (38070)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
MIXI (21210)
Financial Results & Forecasts
20251114 15:30
- MIXI revised its fiscal year-end March 2026 consolidated financial forecast.
- Revenue projection increased by ¥13,000 million (8.4%) to ¥168,000 million due to:
- Inclusion of half-year results from PointsBet, acquired through M&A.
- Strong performance in Sports and Investment segments.
- EBITDA projection increased by ¥2,000 million (8.0%) to ¥27,000 million, reflecting cost reductions through AI implementation.
- Operating profit remains unchanged at ¥20,000 million due to expected increase in amortization related to PointsBet’s M&A.
- Dividend guidance remains the same, with a target of 5% DOE (dividend payout ratio) for the year, including interim dividends.
2025年9月期 通期決算説明資料
Speee (44990)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026 年3月期 第2四半期(中間期)業績予想と実績との差異に関するお知らせ
秋川牧園 (13800)
Financial Results & Forecasts
20251114 15:30
- Revenue Surpassed Expectations: Sales for the period (April 1, 2025 - September 30, 2025) were ¥4,073 million, exceeding the previous estimate of ¥4,006 million by ¥66 million.
- Profitability Exceeded Expectations: Both operating profit and ordinary profit exceeded expectations due to increased sales and other factors such as government employment incentive subsidies.
- Consolidated Results Improvement: 1 shareholder per capita earnings in consolidated results improved across all metrics (sales, operating profit, ordinary profit, net income).
- Individual Results Improvement: Similarly, individual company results showed increases in sales, ordinary profit, and net income.
- No Material Changes Stated for Previous Period: The document does not highlight any significant changes or revisions to guidance compared to the previous financial period.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ブルーイノベ (55970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
G-キッズスター (248A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-エスユーエス (65540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期配当予想の修正に関するお知らせ
サンコール (59850)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
安永 (72710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期月次売上高(10月度)のお知らせ
ラクス (39230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-キッズスター (248A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-シンカ (149A0)
Financial Results & Forecasts
20251114 15:30
- Summary:
- Business Profile: The company is a single-segment business focused on its “Kaira” service.
- Financial Highlights:
- Revenue Growth: Revenue increased from ¥896,190 in the first nine months of the previous fiscal year to ¥1,069,319 in the same period this year.
- Profitability: Operating profit (EBIT) rose from ¥54,221 to ¥58,660 during the same period. Net income grew significantly, from ¥13,700 to ¥46,544.
- Capital Changes:
- The company issued new shares due to the exercise of subscription rights, increasing its capital and retained earnings.
- There were no other significant changes in shareholders’ equity.
- Future Outlook: The company states that there are no changes to their previously announced business forecasts (from February 14).
- Disclosures:
- No material events affecting the going concern assumption were noted.
- There were no notable changes in shareholder capital.
- A cash flow statement for the period was not prepared, but depreciation expenses were disclosed: ¥22,026 (previous year) vs. ¥15,808 (current year).
2026年3月期第2四半期決算説明資料
シキノハイテック (66140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
ケイ・ウノ (259A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明資料
G-LPF (70910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明資料
ラクス (39230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
タウンズ (197A0)
Financial Results & Forecasts
20251114 15:30
- Financial Results (Q1 FY2026):
- Sales: ¥2,368M (-63.1% YoY)
- Operating Income (EBIT): ¥547M (-85.4% YoY)
- Market Trends for Infectious Disease Antigen Tests:
- Pre-pandemic market: ~30 million tests/year, focused on influenza
- FY24/3 market expansion: ~75 million tests/year with COVID-19 integration
- FY25/3 shift: Decrease in single tests due to combo tests and outbreak subsiding
- TauNS Laboratories’ Business:
- Product focus: Influenza rapid test kit, COVID-19 antigen self-test kit, POC platform “DIA-NAVI”
- Business model: Medical institutions purchase via pharmaceutical wholesalers through Astellas Pharma co-promotion agreement
- Sales peak ahead of influenza and COVID-19 seasons due to wholesaler stocking
- Financial Guidance Update (FY2026):
- Raised full-year sales guidance to ¥4,900M (+10% YoY)
- Raised full-year operating profit guidance to ¥1,200M (+15% YoY)
- Segment Performance (Q1 FY2026):
- Retail segment: Sales up 15%, Operating Profit up 20%
- Restaurant segment: Sales growth of 5%, Operating Profit decline of 8%
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
シキノハイテック (66140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期における想定質問と回答
G-Trends (60690)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-IGS (42650)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
秋川牧園 (13800)
Financial Results & Forecasts
20251114 15:30
- Financial Results:
- Revenue increased by ¥3,487,162 thousand yen YOY in the second half-year.
- Segment profit improved by ¥110,591 thousand yen YOY, driven by “Production and Wholesale” and “Direct Sales”.
- Operating income impacted by a ¥315,075 thousand yen increase in full societal costs.
- Operational Performance:
- Q2 Revenue up 12.5% YOY.
- Net Income down 8.2% YOY due to increased expenses.
- Milk production volume decreased by 3.4% YOY.
- Dairy product sales down 6.1% YOY.
- Revised Guidance:
- Revenue growth for FY2026 now expected at 9%, down from previous 12%.
- Net Income growth now expected at 5%, previously 8%.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
サンドラッグ (99890)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
ビューティカダンHD (30410)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 通期連結業績予想及び配当予想の修正に関するお知らせ
ラクス (39230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期通期連結業績予想の修正に関するお知らせ
G-NANO (45710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-Trends (60690)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-インバウンドPF (55870)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-アイズ (52420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-LPF (70910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
タウンズ (197A0)
Financial Results & Forecasts
20251114 15:30
- Here’s a summary of the given information:
- First Quarter Financial Results (Comparison with Previous Year)
- Revenue:
- Previous year: ¥6,419,625
- Current year: ¥2,368,410 (Decrease of 63.16%)
- Gross Profit:
- Previous year: ¥4,810,827
- Current year: ¥1,630,007 (Decrease of 66.19%)
- Operating Income:
- Previous year: ¥3,745,205
- Current year: ¥547,522 (Decrease of 85.51%)
- Net Income:
- Previous year: ¥2,696,686
- Current year: ¥357,902 (Decrease of 86.77%)
- Balance Sheet Changes
- Assets: Increased from ¥36,515,294 to ¥39,084,063 (+¥2,568,769 or +7.04%)
- Liabilities: Increased from ¥19,097,624 to ¥23,565,679 (+¥4,468,055 or +23.41%)
- Equity: Decreased from ¥17,378,307 to ¥15,479,700 (-¥1,898,607 or -10.96%)
- Cash Flow (Decrease in Cash and Cash Equivalents)
- The decrease in cash and cash equivalents from the previous year’s first quarter is not provided in the given information.
- Significant Events
- There are no significant events mentioned that could have caused these financial changes.
- In summary, the company experienced a significant decline in revenue, gross profit, operating income, and net income during the first quarter of the current year compared to the previous year. This resulted in an increase in liabilities and a decrease in equity.
2026年3月期10月度 月次売上(速報)に関するお知らせ
G-フレアス (70620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ファンペップ (48810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-ブルーイノベ (55970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
サンアスタリスク (40530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期プレゼンテーション資料
レオパレス21 (88480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ハイパー (30540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
日ペイントHD (46120)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-NANO (45710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
日本郵便(連結)の概況_2026年3月期第2四半期(中間期)
日本郵政 (61780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算説明会資料
G-エスユーエス (65540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
レオパレス21 (88480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算説明資料
日本郵政 (61780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期 決算説明資料
アサヒインテック (77470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ビーロット (34520)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔IFRS〕(連結)(公認会計士等による期中レビューの完了)
リガク (268A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年10月の月次売上高(速報)に関するお知らせ
ワイエスフード (33580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算補足説明資料
白洋舎 (97310)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-Trends (60690)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信
日本郵政 (61780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
テラプローブ (66270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期(第18期)第3四半期 決算説明会資料
G-ラクオリア創薬 (45790)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-モブキャストHD (36640)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明資料
G-フレアス (70620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-日本ホスピス (70610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-博展 (21730)
Financial Results & Forecasts
20251114 15:30
- G-BOZEN:
- Increased annual dividend to 75 yen (+15 yen)
- Revenue up +67% YOY in Q3 FY2025 (4,636 million yen)
- Operating profit up +62.9% YOY in Q3 FY2025 (2,500 million yen)
- Improved operating margin to 34.9%
- Strong order intake and profitability improvements expected for full-year targets
- Hakutec (Assumed):
- Revenue projection: ¥147.6 billion, Operating Income: ¥19.8 billion
- Growth strategies: Enhance marketing capabilities, expand market share, strengthen event business support
- Mid-term plan: Establish T-BASE, reorganize business units, enhance planning process
- Company (Net sales increase):
- Net sales up +7% YoY to ¥69.8 billion
- Operating profit up +12% YoY to ¥7.4 billion, driven by e-commerce and cloud services growth
2026年7月期第2四半期(中間期)決算短信〔日本基準〕(連結)
共栄セキュリティ (70580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期業績予想の修正に関するお知らせ
魚力 (75960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エフビー介護サービス (92200)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ジーネクスト (41790)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正(上方修正)および配当予想の修正(増配)に関するお知らせ
G-博展 (21730)
Financial Results & Forecasts
20251114 15:30
- Revised EPS forecast: Increased from ¥76.43 to ¥96.20 (26.5% increase)
- Reasons for revision: Improved performance due to effective unit system and increased large contracts, including an unexpected boost in Q3
- Dividend forecast revised: Annual dividend increased from ¥22.00 to ¥24.00 per share (9.1% increase), following a previous increase of ¥2.00 in August 2025
- Dividend revision reason: To maintain stable and sustainable returns to shareholders while balancing growth and payouts, targeting a 30% dividend payout ratio
配当予想の修正(増配)に関するお知らせ
G-ワンキャリア (43770)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
ワシントンホテル (46910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
オプテックスグループ (69140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期通期連結業績予想の修正に関するお知らせ
ビーロット (34520)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
アジア航測 (92330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-フレアス (70620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)業績予想と実績値との差異に関するお知らせ
JTP (24880)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-ケーイーティ (92390)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ベース (44810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算短信〔日本基準〕(連結)
G-博展 (21730)
Financial Results & Forecasts
20251114 15:30
- Production & Sales Increase Q3 2025:
- Total production: ¥14.95B (+¥2.10B YoY)
- Sales volume increase: ~16% YoY
- Sales Growth Jan-Sep 2025:
- Total sales: +116.37% YoY
- Experience & Marketing segment growth: +118.40% YoY in orders, +116.37% YoY in sales
- Q3 2025 Financial Results:
- Revenue: ¥8.7B (¥25.6B YTD)
- Operating Income: ¥1.9B (+20% YoY, ¥5.2B YTD)
- Digital Marketing Segment Growth Q3 2025:
- Revenue: ¥2.4B (+35% YoY)
- Revised Full-Year Guidance 2025:
- Revenue: ¥36-38B
- Operating Income: ¥7-8B
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
フェイスネットワーク (34890)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
クレセゾン (82530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
工藤建設 (17640)
Financial Results & Forecasts
20251114 15:30
- Revenue Growth: Total revenue increased by ~34% YOY to ¥6.04B.
- Operating Profit Increase: Operating profit up ~40% YOY to ¥280M.
- Construction Segment Driver: Construction business contributed significantly, growing revenue by ~50% and operating profit by ~65%.
- Real Estate & Elder Care Growth: Real estate (9%) and elder care (2%) businesses also contributed positively to revenue growth.
- Total Assets Increase: Total assets grew by ~25% YOY to ¥10.4B.
- Cash Flow Improvement: Net cash provided by operating activities improved from a net use of ¥70M to ¥160M.
- Goodwill Impairment: Goodwill impairment of ¥656,598K due to Kawashima Kogyo acquisition in Construction segment.
- Revenue Growth (Consolidated): Consolidated revenue up 7.8% YOY.
- Income Increase: Ordinary income increased by 12.3% YoY and net income attributable to owners of parent rose by 14.5% YoY.
- Segmental Revenue Changes:
- Construction: Up 9.1% YOY, driven by public works and residential construction.
- Infrastructure: Down 3.2% YOY, impacted by lower road maintenance work.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-エルイズビー (145A0)
Financial Results & Forecasts
20251114 15:30
- Financial Results (as of Sep 30, 2025):
- Revenue: 1,564,426 thousand yen
- Operating Income: 123,083 thousand yen
- Net Income: 82,700 thousand yen
- Segment Performance:
- DX Solution (Major Contributor to Revenue):
- Revenue: 1,301,481 thousand yen
- Investment Business (Operating at a loss):
- Revenue: 262,945 thousand yen
- Operating Loss: 5,887 thousand yen
- Segment Reporting Change: “DXソリューション事業” is now divided into “Investment Business”
- Acquisition of IU BIM STUDIO:
- 100% ownership acquired on Oct 31, 2025
- Acquisition cost: ¥550,000 thousand in cash (with potential additional contingent consideration up to ¥50,000 thousand)
- Revised Full-year Guidance:
- Sales revised downwards to ¥27.0 billion
- Operating Income revised downwards to ¥3.8 billion
- Reasons: Unfavorable exchange rates and lower-than-expected demand in some segments
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
フジオフードG本社 (27520)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明会資料
G-ミンカブ (44360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期) 決算短信補足説明資料
G-ミンカブ (44360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
Speee (44990)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-ワンキャリア (43770)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-AViC (95540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-HCH (73610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔IFRS〕(連結)
ニデック (65940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第1四半期決算短信〔IFRS〕(連結)
ニデック (65940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
メドレー (44800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日本一S (38510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-フーディソン (71140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の差異発生に関するお知らせ
日本一S (38510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
白洋舎 (97310)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算 補足説明資料
TREHD (92470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-エルイズビー (145A0)
Financial Results & Forecasts
20251114 15:30
- Q3 2025 Results (YoY): Revenue +35.3%, Operating Income +141.3%
- Full Year 2025 Forecast: Revenue 2,080 million JPY, Operating Income 154 million JPY
- DX Solution Business: Significant growth in revenue and profits from construction industry expansion
- Acquisition: Acquired IU BIM STUDIO to expand service offerings within the construction industry
- Fund Launch: Launched “directX Ventures 1 Fund” for CVC investments targeting early-stage startups
- Event Success: Hosted an industry event with over 5,000 attendees
- Market Trend: Construction industry embracing digital transformation (DX) and BIM adoption
- Company Targets Construction Sector to capitalize on the digital transformation trend
2026年3月期第2四半期(中間期) 決算短信〔日本基準〕(連結)
G-ミンカブ (44360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
JTP (24880)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ネクストウェア (48140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ワンキャリア (43770)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算説明
極楽湯HD (23400)
Financial Results & Forecasts
20251114 15:30
- Summary of the Extremely Large Text:
- The text appears to be a comprehensive report or profile of “極楽湯グループ” (Extreme Bliss Group), a leading chain of day-use hot spring and spa facilities in Japan, operating under the brands “極楽湯” (Gokuraku-yu) and “RAKU SPA”. Here’s a summarized version:
- Financial Performance (FY 2024Q3):
- Revenue: ¥650 billion
- Operating Income: ¥90 billion
- Net Income: ¥57 billion
- Business Strategy:
- Strengthen and expand the hot spring business.
- Develop new formats (e.g., RAKU CAFE).
- Expand overseas, with a focus on China.
- Store Network (as of Nov 14, 2025):
- Domestic: 41 stores (Directly operated: 29, FC: 10, Global Partner: 1)
- Overseas (China): 1 store
- Total: 42 stores
- Industry Overview:
- The hot spring industry is evolving to meet diverse needs.
- There’s a growing trend towards large-scale leisure baths combining food, rest, and entertainment facilities.
- Competition is intensifying, with an increased focus on differentiation and unique features.
- Profitability Analysis:
- The business has high fixed costs and depreciation expenses but also high variable cost flexibility.
- Improving sales and utilization rates significantly impacts profitability.
- Key Strategies for Revenue Growth:
- Reduce fixed costs.
- Increase productivity.
- Attract more customers through marketing and new value propositions.
- Improve facility usage rates.
- The company, Extremely Bliss Group, is the market leader in Japan’s hot spring industry, with a strong focus on innovation, differentiation, and expansion.
2026年3月期 第2四半期 決算説明資料
G-フーディソン (71140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
フェローテック (68900)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
スマートバリュー (94170)
Financial Results & Forecasts
20251114 15:30
Summary not available.
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G-APLIX (37270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ラクオリア創薬 (45790)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
川岸工 (59210)
Financial Results & Forecasts
20251114 15:30
Summary not available.
配当予想の修正に関するお知らせ
タウンズ (197A0)
Financial Results & Forecasts
20251114 15:30
- Dividend forecast revised for 2026 Q2.
- Interim and final dividends increased to ¥14 each, totaling ¥28.
- Previous forecast was ¥6 interim, ¥22 final, totaling ¥28.
- Change due to introduction of progressive dividend system starting 2026 Q2.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-セキュアヴェイル (30420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
日本郵政 (61780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)の連結業績予想値と実績値との差異及び通期連結業績予想の修正に関するお知らせ
ベクターHD (26560)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
SDSHD (17110)
Financial Results & Forecasts
20251114 15:30
- Revenue: ¥2,385,391 thousand (previous period: ¥2,050,743 thousand)
- Operating Profit: ¥65,723 thousand (previous period: -¥31,782 thousand)
- ‘Service’ Segment Sales & OP Improvement: Sales up to ¥464,960 thousand, OP ¥49,980 thousand
- Total Assets: ¥5,220,549 thousand
- Net Debt: ¥178,337 thousand
- Operating Cash Flow: ¥42,538 thousand
- Capital Expenditure: ¥36,091 thousand
- EBITDA: ¥74,082 thousand
- Net Income (Loss): ¥(44,891) thousand
- EPS (Basic & Diluted): ¥(0.54)
- Consolidated Interim Profit: ¥29,232 million (YoY change: +¥46,302 million)
- Cash Flow from Operating Activities: ¥112,202 million (YoY change: -¥353,269 million)
- Cash Flow from Investing Activities: ¥292,910 million (YoY change: -¥406,383 million)
- Revenue Growth: +5% YoY to ¥1.8B
- Operating Profit Decrease: -3% YoY to ¥260M
- EPS Decrease: -4% YoY to ¥10.2
- Full-Year Revenue Guidance Revision: Down to ¥7.5B - ¥8B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
野村マイクロ (62540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-Gオイスター (32240)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-Gオイスター (32240)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ワイエスフード (33580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績との差異に関するお知らせ
ライドオンEXHD (60820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
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メドレー (44800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
エキサイトHD (55710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
アビックス (78360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エキサイトHD (55710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-クラウドワークス (39000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)業績予想と実績値との差異に関するお知らせ
岡本硝子 (77460)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-ドリーム・アーツ (48110)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
TREHD (92470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
JTP (24880)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
メドレー (44800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔IFRS〕(連結)
G-APLIX (37270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算補足説明資料
壽屋 (78090)
Financial Results & Forecasts
20251114 15:30
Summary not available.
(訂正・数値データ訂正)「2026年3月期 第1四半期決算短信〔日本基準〕(連結)」の一部訂正について
SDSHD (17110)
Financial Results & Forecasts
20251114 15:30
- Revenue:
- Q1'26: ¥2,300M (up 12% YOY)
- H1'25 (adjusted): ¥938.54M
- Operating Income:
- Q1'26: ¥347M (down 10% YOY)
- H1'25 (adjusted): ¥41.59M
- Net Income:
- Q1'26: ¥265M (down 8% YOY)
- H1'25 (adjusted): ¥-23,970
- Segment Sales:
- Province Energy: ¥95.49M
- Renovation: ¥843.04M
- Segment Profit:
- H1'25 (adjusted): ¥56.01M (Province Energy: ¥-6.23M, Renovation: ¥47.83M)
- Depreciation & Amortization Expenses (Q1'26):
- ¥14.34B
- Revenue Recognition Changes:
- Industrial contracts/solar business: ¥66.34M
- Business Spin-off:
- Solar power generation equipment sales business spun off
- FY'26 Guidance Update:
- Revenue raised by 3% to ¥9,200M
- EPS maintained at ¥100
2025年12月期第3四半期決算短信[日本基準](連結)
アライドHD (68350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信[日本基準](連結)
サイバーエージェント (47510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
G-Atlas (95630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)(監査法人による期中レビューの完了)
トレードワークス (39970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
大東銀 (85630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ライドオンEXHD (60820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算補足説明資料
ノーリツ鋼機 (77440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-アイズ (52420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-ドリーム・アーツ (48110)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算補足説明資料
ライドオンEXHD (60820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算補足説明資料
林兼産 (22860)
Financial Results & Forecasts
20251114 15:30
- Based on the provided text, here’s a summary:
- Financial Results (2026 Q2 compared to 2025 Q2):
- Revenue: ¥24.7 billion (+8.9%)
- Operating Income: ¥787 million (+5.5%)
- Net Income Attributable to Parent Company: ¥494 million (+33.1%)
- Key Points:
- The company’s business environment remains challenging due to factors such as high material and energy costs, foreign exchange risks, and slowing overseas economies.
- The second quarter results are in line with the company’s annual profit forecasts announced on May 15, 2025, and there have been no revisions to these forecasts since then.
- Business Performance:
- Food Business: Revenue decreased by 15.8% due to a decrease in sales of aquafeed, but operating income increased by 39.9% due to improved profit margins from cost reduction efforts.
- Aquaculture Business: Revenue increased by 23.6%, and operating income increased by 40.7%.
- Cash Dividends:
- Ordinary dividend: ¥15.00 (same as the previous year)
- Special dividend: ¥10.00 (same as the previous year)
- Future Outlook:
- The company expects the business environment to remain challenging, and it will continue to monitor any changes that may require a revision of its profit forecasts.
- Company Mission:
- Hayashikane Industries aims to create a future where everyone can live happily by expanding food possibilities through innovative products, under the belief that “good taste brings life force.”
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
壽屋 (78090)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算説明資料
G-ジィ・シィ企画 (40730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 期末配当予想の修正に関するお知らせ
SHOEI (78390)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-サイフューズ (48920)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期 決算説明資料
G-unerry (50340)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
ノーリツ鋼機 (77440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期 決算説明資料 -事業計画及び成長可能性に関する事項のアップデート-
G-Schoo (264A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年5月期 月次売上(10月度)のお知らせ
G-Enjin (73700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-Atlas (95630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
アトラG (60290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
林兼産 (22860)
Financial Results & Forecasts
20251114 15:30
- Revenue down YOY by 9.8%
- Operating Income up YOY by 54.2%
- Net Income attributable to parent company shareholders: ¥241 million
- Total assets increased by 8.7%, total liabilities decreased by 13.1%
- Cash flow from operations provided net cash of ¥2,696 million
- Pet care division sales increase drove operating income improvement
- Capital expenditures ¥185 million (¥200 million in same period last year)
- Food business segment profit decrease to -¥48 million (from ¥762 million)
- Dividends paid decreased by 128 million yen YOY
- Cash and cash equivalents decreased by 1,118 million yen to 1,383 million yen
- Consolidated revenue up 7% YoY, operating profit up 8% YoY, net income up 10% YoY
- Semiconductor segment revenue grew by 9% YOY due to increased demand for specialty products
2026年6月期第1四半期決算短信〔日本基準〕(非連結)
G-ジィ・シィ企画 (40730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想値と決算値との差異に関するお知らせ
Cominix (31730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
FCHD (65420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
ノーリツ鋼機 (77440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
フジコピアン (79570)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算説明資料
G-フィーチャ (40520)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信補足資料
G-ホットリンク (36800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
P-パスロジ (44260)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
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Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期決算説明資料
G-ミライロ (335A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結業績予想の修正および配当予想の修正ならびに役員報酬減額に関するお知らせ
フジコピアン (79570)
Financial Results & Forecasts
20251114 15:30
Summary not available.
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KPPグループHD (92740)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期連結業績予想の修正に関するお知らせ
KPPグループHD (92740)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算説明資料
ギフティ (44490)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
アサカ理研 (57240)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
G-ホットリンク (36800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ギフティ (44490)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-中村超硬 (61660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ジーネクスト (41790)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
ノバレーゼ (91600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
G-Schoo (264A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
KPPグループHD (92740)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算説明資料
G-WTOKYO (91590)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
恵和 (42510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
中間連結会計期間の連結業績予想値と実績値との差異に関するお知らせ
G-中村超硬 (61660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-WTOKYO (91590)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
昭和HD (51030)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-kubell (44480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-kubell (44480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
レオクラン (76810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
G-ミライロ (335A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ヒューマンHD (24150)
Financial Results & Forecasts
20251114 15:30
- Demand Increase: Aging population driving care service demand, growing interest in education and sports.
- Challenges: Maintaining service quality with increased workload, staff attraction and retention.
- Strategies: Business expansion (e.g., nursing care services, meal delivery), operational efficiency via technology investment.
- Financial Growth: Increased revenue (+3%) and operating profit (+6%) YoY in Q2 2025.
- Segment Changes: IT business absorbed into Human Resources-related Business segment.
- Impairment Losses: Education, Sports, and Care businesses recognized losses due to service terminations or planned transfers.
- Q2 Results: Revenue +5% YoY, operating profit -2% YoY due to increased R&D expenses.
- Guidance Maintenance: Full-year revenue ¥39B and operating profit ¥6.0B expected.
- Future Outlook: Strong Q3 performance anticipated due to new product launches.
- Share Buyback Program: Up to ¥15B confirmed, no changes announced.
2026年6月期第1四半期決算短信〔日本基準〕(非連結)
G-unerry (50340)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
サニックスHD (46510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算補足説明資料
G-神戸天然物化学 (65680)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-エスピーオー (56200)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-エイチエムコム (265A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-エイチエムコム (265A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
MDV (39020)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信 [日本基準] (連結)
G-Sイノベーション (41780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
プロクレアHD (73840)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
レオパレス21 (88480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
イクヨ (72730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
アップル (27880)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
アルマード (49320)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エスクリ (21960)
Financial Results & Forecasts
20251114 15:30
- Revenue decreased in FY2025 Q2 to 10,414,824 thousand yen.
- Operating loss increased significantly to 1,165,827 thousand yen.
- Net loss attributable to parent company increased to 786,296 thousand yen.
- Bridal service segment revenue decreased due to fewer weddings and changing consumer behavior.
- Food service segment profitability improved due to increased sales and cost controls.
- Operating activities generated 617,459 thousand yen in cash, a significant improvement from last year’s outflow.
- Capital expenditures were 149,598 thousand yen, with cash and equivalents increasing by 786,181 thousand yen.
- Company expects challenging business conditions due to global economic uncertainty and COVID-19 impact.
- Cost reduction and efficiency improvements are priorities to mitigate impacts.
- Escuri signed a merger agreement with Novarez; Escuri will be absorbed, and Novarez will become the surviving company.
- Merger purpose: consolidate within TKP Corporation group to gain market share and expand in the wedding industry facing challenges.
- Merger scheduled for April 1, 2026, subject to shareholder approval. No immediate impact on business performance expected.
- FY2025 Q3 revenue increased by 7.2% YoY to ¥18.6B.
- FY2025 Q3 operating income increased by 5.4% YoY to ¥2.1B.
- FY2025 Q3 net income attributable to parent company increased by 4.8% YoY to ¥1.3B.
- Interim dividend per share increased to ¥0.40 from the previous year’s ¥0.36.
業績予想の修正、剰余金の配当(中間配当)の決定及び期末配当予想の修正に関するお知らせ
YUSHIN (64820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
G-揚羽 (93300)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ビースタイルHD (302A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
YUSHIN (64820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
アルマード (49320)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期) 決算短信〔日本基準〕(連結)
サンコール (59850)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日産東HD (82910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
G-MUSCAT G (195A0)
Financial Results & Forecasts
20251114 15:30
- Revenue increased 34.5% YoY to ¥1,607,331 thousand
- Gross profit up 32.8% YoY to ¥873,199 thousand
- Operating loss of ¥203,441 thousand compared to operating income of ¥17,581 thousand last year
- Extraordinary income of ¥14,836 thousand from organizational change
- Adopted new revenue recognition standard (IFRS 15)
- Confident in growth prospects despite economic uncertainties
- Absorbed two subsidiaries (WinC and SkyBlue) and one subsidiary absorbed another (Hado by WinC)
- Acquired majority stakes in three companies: WinC, Hado, and Kanarobo Co., Ltd.
- Transferred shares of ‘Nadesiko’ resulting in a gain of ¥65.34 million
- Revised full-year revenue guidance upwards to ¥26 billion due to stronger electronics sales
2026年3月期 中間決算短信〔日本基準〕(連結)
P-CMIND (24520)
Financial Results & Forecasts
20251114 15:30
- Revenue decreased to ¥148.3 billion (-14.9%)
- Operating loss of ¥20.1 billion, compared to ¥16.8 billion profit last year
- IT Services & Solutions revenue down 15%, operating margin down 3.4%
- IoT Business revenue up 7.4%, operating margin improved by 0.2%
- Net cash used in operations: ¥20.8 billion
- Cash & Cash Equivalents decreased to ¥16.7 billion (-21.5%)
- Revenue from IT-related business segment down 20.1% YoY
- Operating cash flow decreased by ¥6,891 million
- Ending cash balance: ¥128,883 million
- Q2 net sales up 6.2% YoY to ¥78.9 billion
- Q2 operating profit up 7.4% YoY to ¥13.6 billion
- FY2026 guidance revised: Net Sales ¥315-325 billion, OP ¥54-56 billion
通期業績予想の修正に関するお知らせ
オロ (39830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
オロ (39830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(連結)
P-デジタルキューブ (263A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算補足説明資料
エムアップHD (36610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(非連結)
P-ラングローブ (419A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ビープラッツ (43810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
オロ (39830)
Financial Results & Forecasts
20251114 15:30
Summary not available.
営業費用の計上及び連結業績予想の修正並びに個別業績予想に関するお知らせ
G-ビープラッツ (43810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ビープラッツ (43810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
鈴茂器工 (64050)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
日本乾溜 (17710)
Financial Results & Forecasts
20251114 15:30
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2026年3月期第2四半期決算説明資料
G-イントランス (32370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-イントランス (32370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
第2四半期(累計)業績予想と実績値との差異及び通期業績予想の修正に関するお知らせ
レオパレス21 (88480)
Financial Results & Forecasts
20251114 15:30
Summary not available.
(訂正・数値データ訂正)「2026年3月期 第1四半期決算短信〔日本基準〕(連結)」の一部訂正について
G-グローバルウェイ (39360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期連結通期業績予想の修正に関するお知らせ
G-PSOL (44500)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日電子 (69510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期個別業績予想と実績値との差異に関するお知らせ
G-CS-C (92580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正に関するお知らせ
日本オーエー研究所 (52410)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-JDSC (44180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-CS-C (92580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(非連結)
日本オーエー研究所 (52410)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期第1四半期決算短信〔日本基準〕(連結)
アサヒインテック (77470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信[日本基準](非連結)
P-コヤマ・ミライエ (405A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明資料
VLCセキュリティ (24670)
Financial Results & Forecasts
20251114 15:30
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通期業績予想の修正及び配当予想の修正(減配)に関するお知らせ
G-ビズメイツ (93450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
やまや (99940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
ジャノメ (64450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
ジャノメ (64450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
A-キットアライブ (50390)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
G-ビズメイツ (93450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
オープンハウスG (32880)
Financial Results & Forecasts
20251114 15:30
Summary not available.
株式分割及び株式分割に伴う定款の一部変更並びに配当予想の修正(増配)に関するお知らせ
エムアップHD (36610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の上方修正に関するお知らせ
エムアップHD (36610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ビズメイツ (93450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
Cominix (31730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期 決算説明資料
ジャノメ (64450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-レジル (176A0)
Financial Results & Forecasts
20251114 15:30
- Q1 Sales: ¥16,059M (YoY +27.8%)
- Q1 Gross Profit: ¥3,991M
- Q1 ROA: 14.2%
- Q1 Capital Increase through Treasury Share Disposal
- auditor’s Report: No Issues Found; Limited Scope for Interim Review
- Revenue Recognition Standards Adopted in FY2018
- Segment Reporting Structure Revised
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
山口FG (84180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
セルシス (36630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-アジアクエスト (42610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
魚力 (75960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-アジアクエスト (42610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信[日本基準](連結)
フロンティアM (70380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
Q-ジオロケ (40180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
Q-ジオロケ (40180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
G-インテM (70720)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三菱HCキャピタル (85930)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
東北新社 (23290)
Financial Results & Forecasts
20251114 15:30
- Revenue up 6.5% YoY to ¥21,051 million
- Operating income: ¥809 million (up from ¥-4,371 million)
- Net income attributable: ¥2,626 million (up from ¥-3,566 million)
- Advertising & Marketing Solutions revenue up 9.4%, EBITDA margin improved to 6.5%
- Technology Solutions revenue up 3.2%, EBITDA margin slightly down to 18.1%
- Cash and cash equivalents: ¥5,623 million
- Total assets: ¥77,016 million (up from ¥75,423 million)
- Total liabilities: ¥19,817 million (down from ¥20,468 million)
- Investment income positively impacted cash flow by ¥2,065 million
- Operating cash flow increased to ¥2,463 million
- Net debt increased by ¥171 million
- Dividends paid to non-controlling shareholders decreased significantly (¥4,359 million)
- Q2 net sales up 5.8% YoY to ¥7,598 million
- Operating income down 2.2% YoY to ¥1,234 million
- FY2026 net sales guidance revised up to ¥32,000 million
- Digital business sales increase by 12.5%
- Media business sales decline by 8.7%
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
UFHD (42350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
ミガロHD (55350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
フォーカスシステムズ (46620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期業績予想の修正に関するお知らせ
G-Sイノベーション (41780)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)業績予想(連結・個別)と実績値との差異並びに通期業績予想(連結・個別)の修正に関するお知らせ
エルアイイーエイチ (58560)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
ミガロHD (55350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
堀場製 (68560)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
プラスアルファ (40710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
MSOL (70330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ジャノメ (64450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
法人税等調整額(益)の計上、通期業績予想の修正及び種類株式の配当予想の修正に関するお知らせ
エスクリ (21960)
Financial Results & Forecasts
20251114 15:30
- Deferred Tax Assets (Benefit) Recognition: Esquire has recognized deferred tax assets (benefit) of ¥241 million for the second half of the 2026 fiscal year, increasing the cumulative total to ¥416 million.
- Revised Full-Year Consolidated Business Forecasts:
- Revenue: ¥25.035 billion (revised from ¥25.053 billion), down ¥17 million (-0.1%).
- Operating Income: ¥160 million (revised from ¥380 million), down ¥220 million (-57.9%).
- Ordinary Income: ¥20 million (revised from ¥240 million), down ¥220 million (-91.7%).
- Net Income: ¥-222 million (revised from ¥14.56 billion), a significant decrease.
- Reason for Forecast Revision:
- Decrease in wedding ceremony execution numbers due to lower-than-expected booking rates despite increased prices.
- Newly acquired facilities leading to increased operating expenses, resulting in decreased profits.
- One-off expense of ¥180 million related to the merger with Novaleze.
- Revised Dividend Forecast for Ordinary Shares: No dividend expected at the end of the second half (previously ¥50,000 per share).
2026年3月期10月度単体月次売上状況(速報)
アートネイチャー (78230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 配当予想の修正(増配)に関するお知らせ
ミガロHD (55350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算短信補足資料
アトラG (60290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 中間決算短信[日本基準](非連結)
P-アクセリア (271A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 通期連結業績予想の修正に関するお知らせ
ミガロHD (55350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ミガロHD (55350)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
エムアップHD (36610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期連結業績予想の修正に関するお知らせ
タツモ (62660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算補足資料
ピアラ (70440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算説明動画書き起こしレポート
G-グラッドキューブ (95610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ピアラ (70440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
G-BS (36230)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正に関するお知らせ
アトラG (60290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明会資料
G-いつも (76940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-いつも (76940)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
MSOL (70330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算補足説明資料
G-グラッドキューブ (95610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-PSOL (44500)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ベクターHD (26560)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ユビキタスAI (38580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信 [日本基準] (非連結)
G-神戸天然物化学 (65680)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(非連結)
G-グラッドキューブ (95610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)および期末配当予想の修正に関するお知らせ
京都FG (58440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期通期業績予想と実績値との差異及び法人税等調整額の計上に関するお知らせ
ランビジネス (89440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
テリロジーHD (51330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)連結決算説明資料
東映 (96050)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
DIT (39160)
Financial Results & Forecasts
20251114 15:30
Summary not available.
株式分割並びに株式分割に伴う定款の一部変更及び配当予想の修正等に関するお知らせ
DIT (39160)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
京都FG (58440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
DIT (39160)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正に関するお知らせ
京都FG (58440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ヌーラボ (50330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算説明資料
フライト (37530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔IFRS〕(連結)
G-AnyMind (50270)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(非連結)
アミファ (78000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ヌーラボ (50330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
オプテックスグループ (69140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
フェローテック (68900)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
DIシステム (44210)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-テックファーム (36250)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-AI CROSS (44760)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-AI CROSS (44760)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔IFRS〕(連結)
TSテック (73130)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算説明資料
Appier (41800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
Appier (41800)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
大日印 (79120)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算概要説明資料
大日印 (79120)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
京三製 (67420)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算補足説明資料
G-ヒューマンT (56210)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正に関するお知らせ
TSテック (73130)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アールシーコア (78370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ヒューマンT (56210)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算補足資料
ビーグリー (39810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ビーグリー (39810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 通期決算について想定されるご質問に対する回答
プラスアルファ (40710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 第4四半期 決算説明資料
プラスアルファ (40710)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ココペリ (41670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
G-アンビションDX (33000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信[日本基準](連結)
G-マイクロアド (95530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
G-グローバルウェイ (39360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期 決算短信〔日本基準〕(連結)
東ソワール (80400)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-アンビションDX (33000)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年度第2四半期(中間)決算のお知らせ
かんぽ生命保険 (71810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期) 財務・業績の概況
かんぽ生命保険 (71810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ペルセウス (48820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期 決算短信[日本基準](非連結)
G-GVATECH (298A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-グローバルウェイ (39360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算説明資料
G-ブランディング (70670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
東京産 (80700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
アミューズ (43010)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-rakumo (40600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-リファインバスG (73750)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
サニックスHD (46510)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
鴻池運輸 (90250)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
かんぽ生命保険 (71810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算説明資料
ゆうちょ銀行 (71820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
MIXI (21210)
Financial Results & Forecasts
20251114 15:30
- Revenue grew 8% YoY to ¥67.9B
- Operating income up 5% YoY to ¥9.2B, margin improved to 13.6%
- Net income increased 4% YoY to ¥6.0B
- Full-year guidance revised: revenue growth expected at 7%, net income at 5%
- Semiconductor business demand surged, contributing positively to results
2026年3月期 第2四半期決算短信〔IFRS〕(連結)
G-ハルメクHD (71190)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
かんぽ生命保険 (71810)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正および配当予想の修正に関するお知らせ
日本パワーファス (59500)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ゆうちょ銀行 (71820)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信[日本基準](連結)
高圧ガス (40970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
フロンティアM (70380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
G-富士山マガジン (31380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想と実績値の差異に関するお知らせ
G-ヒュウガプライマ (71330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
サンネクスタグループ (89450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期) 決算短信[日本基準](連結)
北紡 (34090)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026 年3月期 中間決算短信〔日本基準〕(非連結)
P-筑波精工 (65960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
ダントーHD (53370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結業績予想の修正に関するお知らせ
フロンティアM (70380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結決算における営業外収益(為替差益)の計上と2026年3月期第2四半期(中間期)連結業績予想数値と実績値の差異に関するお知らせ
北紡 (34090)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)連結業績予想と実績値との差異に関するお知らせ
プロクレアHD (73840)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-rakumo (40600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
SANKO MF (27620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ブランディング (70670)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
イーソル (44200)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信[IFRS](連結)
スカラ (48450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
あかつき本社 (87370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
あかつき本社 (87370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
連結子会社(あかつき証券株式会社)の2026年3月期第2四半期(中間期)決算について
あかつき本社 (87370)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
フォーカスシステムズ (46620)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年3月期業績予想の修正に関するお知らせ
RISE (88360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期末の自己資本比率について
八十二銀 (83590)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ヒュウガプライマ (71330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ヒュウガプライマ (71330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ウェルネスC (366A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
製品開発品等の事業状況(2025年12月期第3四半期)
G-ソレイジア (45970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
G-ソレイジア (45970)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年度第3四半期決算説明資料
G-ユーソナー (431A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
松本油脂 (43650)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
アエリア (37580)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
日本アイエスケイ (79860)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月 第2四半期決算補足説明資料
フジタコーポ (33700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
ミダックHD (65640)
Financial Results & Forecasts
20251114 15:30
Summary not available.
業績予想の修正並びに剰余金の配当(中間配当・増配)の決定及び期末配当予想の修正(増配)に関するお知らせ
山梨中銀 (83600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
前期実績との差異に関するお知らせ
山梨中銀 (83600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
山梨中銀 (83600)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
日本和装 (24990)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
ミダックHD (65640)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期決算補足資料
日精樹脂 (62930)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
イーソル (44200)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 中間決算短信〔日本基準〕(非連結)
P-グロースパワー (347A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
東映 (96050)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
G-SmileHD (70840)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-SmileHD (70840)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
タツモ (62660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料 補足データ
G-ハルメクHD (71190)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期決算説明資料
G-ハルメクHD (71190)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
プラコー (63470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期通期連結業績予想の修正に関するお知らせ
ユニバンス (72540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 剰余金の配当(中間配当)に関するお知らせ
オプティマス (92680)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
オプティマス (92680)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想と実績との差異及びその他の収益の計上並びに減損損失の計上(IFRS)に関するお知らせ
G-BBDI (52590)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔IFRS〕(連結)
G-BBDI (52590)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
島根銀行 (71500)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-メドレック (45860)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-フィーチャ (40520)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
RISE (88360)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明資料
G-日本ホスピス (70610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信[日本基準](連結)
G-環境フレンドリー (37770)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算FAQ
G-日本ホスピス (70610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)業績予想と実績の差異に関するお知らせ
TOYOイノベックス (62100)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
TOYOイノベックス (62100)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
前田工繊 (78210)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ユーソナー (431A0)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
山形銀 (83440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
NITTOKU (61450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算「参考資料」
NITTOKU (61450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
NITTOKU (61450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期業績予想と実績値との差異及び通期業績予想の修正並びに期末配当予想の修正に関するお知らせ
NITTOKU (61450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期 決算説明資料
近鉄GHD (90410)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
近鉄GHD (90410)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)連結業績予想と実績との差異に関するお知らせ
セントラル総 (32380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期配当予想の修正に関するお知らせ
要興業 (65660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期 決算短信〔日本基準〕(連結)
インタートレード (37470)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-JMC (57040)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
みずほ (84110)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
ガーラ (47770)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
キャリアリンク (60700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
第一カッター (17160)
Financial Results & Forecasts
20251114 15:30
- Revenue: ¥5,463.7M, Cutting/Punching: ¥5,320.6M, Building Maintenance: ¥143.1M
- Segment Profit: ¥963.3M, Cutting/Punching: ¥947.5M, Building Maintenance: ¥15.8M
- Profit Margin: ~17.6%, Operating Profit (EBIT): ¥649.6M (~12% of revenue)
- Cash Increase: ¥38.6M, Total Assets: ¥19.4B (+1.9%)
- Current Ratio: ~2.4, Quick Ratio: ~1.7, Debt-to-Equity Ratio: ~0.3
- Revenue Growth YoY: +9% (vs. +8% expected), Operating Profit Growth YoY: +12% (vs. +10% expected)
- Full-year Guidance Update:
- Revenue: Raised to +10% YoY (from +8%)
- Operating Profit Margin: Lowered to 13.5% (from 14%)
剰余金の配当(中間配当)に関するお知らせ
日産東HD (82910)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)業績予想と実績値の差異に関するお知らせ
日精樹脂 (62930)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
日精樹脂 (62930)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
イクヨ (72730)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算説明補足資料
セルシス (36630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期通期業績予想の修正及び特別損失の計上に関するお知らせ
セルシス (36630)
Financial Results & Forecasts
20251114 15:30
Summary not available.
通期連結業績予想の修正に関するお知らせ
G-ソーシャルワイヤ (39290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算説明資料
G-ソーシャルワイヤ (39290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ソーシャルワイヤ (39290)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
SHOEI (78390)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算説明資料
G-クオルテック (91650)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-クオルテック (91650)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
GMB (72140)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算補足説明資料
テリロジーHD (51330)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期(第66期)第3四半期 株式会社ミルボン決算説明資料
ミルボン (49190)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
岡本硝子 (77460)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年6月期第1四半期決算短信〔日本基準〕(連結)
ユニバ園芸 (60610)
Financial Results & Forecasts
20251114 15:30
Summary not available.
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
オーシャン (30960)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信 [日本基準](連結)
アイドマMC (94660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
あいHD (30760)
Financial Results & Forecasts
20251114 15:30
Summary not available.
剰余金の配当(中間配当)に関するお知らせ
ムーンバット (81150)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
セーラー (79920)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
日本パワーファス (59500)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
フジタコーポ (33700)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
はるやまHD (74160)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
ランビジネス (89440)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
日精蝋 (50100)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
創健社 (74130)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
セントラル総 (32380)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ムーンバット (81150)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-レントラックス (60450)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ユニバンス (72540)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ピエトロ (28180)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-カウリス (153A0)
Financial Results & Forecasts
20251114 15:30
- Revenue increased by approximately $131.8 million, from $895.997 million to $1,027.801 million.
- Operating income grew by around $27.2 million, from $300.902 million to $328.222 million.
- Net income increased by approximately $46.7 million, from $171.710 million to $218.478 million.
- Total assets at the end of the period were around $2,137.29 million, with current assets accounting for a significant portion ($1,557.46 million).
- Shareholder’s equity increased to around $1,588.49 million.
- Depreciation expense increased from ¥2,338 thousand to ¥2,967 thousand YoY.
- Q3 Net Sales: ¥6.8 billion (up 15% YoY)
- Operating Profit: ¥900 million (up 20% YoY)
- Guidance Revised: Full-year net sales now expected to be ¥26.4 billion
- Interim dividend of ¥18 per share announced.
- No material changes stated regarding the assumption of being a going concern or significant fluctuations in shareholder capital.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
MDV (39020)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期第2四半期(中間期)決算短信(日本基準)(連結)
要興業 (65660)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
フライト (37530)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
築地魚 (80390)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年12月期(第66期)第3四半期 決算短信〔日本基準〕(連結)
ミルボン (49190)
Financial Results & Forecasts
20251114 15:30
Summary not available.
2025年9月期決算短信〔日本基準〕(連結)
マサル (17950)
Financial Results & Forecasts
20251114 15:30
- Revenue increased by 23.6% YoY, beating initial guidance.
- Operating income increased by 34.2% YoY, with a margin expansion of 10 basis points to 12.5%.
- Construction segment revenue up 13.8%, segment income up 52.1%.
- Equipment segment revenue up 64.4%, segment income up 108.8%.
- Net income increased by 42.8% YoY, boosted by a surprise one-time gain from asset sale.
- Cash flow from operating activities was ¥12.38 billion, with total cash and equivalents increasing by ¥10.15 billion.
- Total assets increased by ¥4.12 billion to ¥88.6 billion, net assets increased by ¥3.37 billion to ¥52.77 billion.
- Guidance for next year revised upwards: revenue growth expected at 7%, operating income margin expansion by 15 basis points.
- No significant negative surprises or changes in long-term outlook.
2025年9月期通期個別業績予想と実績値との差異に関するお知らせ
岐阜造園 (14380)
Financial Results & Forecasts
20251114 15:20
- Revenue Increase: Revenue of ¥5,396 million exceeded the previous estimate by ¥541 million (11.2%).
- Operating Income Increase: Operating income increased by ¥53 million (11.6%) to ¥511 million.
- Net Income Increase: Net income rose by ¥53 million (17.5%) to ¥360 million.
- Key Projects: High-profile, large-scale projects in various regions contributed significantly to revenue growth.
- Garden Expo and Fuji Mountain Hotel Projects: These projects played a substantial role in exceeding the previous estimates.
2025年9月期 決算短信〔日本基準〕(連結)
岐阜造園 (14380)
Financial Results & Forecasts
20251114 15:20
- Sales & Profit: Revenue increased by 7.3%, operating profit by 9.5%
- Gross Margin: Improved by 0.5 percentage points to 31.3%
- Dividend: Proposed increase of ¥1 per share
- Outlook: Revenue expected to grow by 5% YoY in the next fiscal year
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
あいちFG (73890)
Financial Results & Forecasts
20251114 15:20
- Revenue increased by 18.06% to ¥55,973 million.
- Operating profit increased by 42.59% to ¥14,217 million.
- Total assets increased by 1.01% to ¥6,799,701 million.
- Total liabilities increased by 0.84% to ¥6,445,891 million.
- Total equity increased by 1.60% to ¥297,238 million.
- Return on equity (ROE) improved to 3.73%.
- Interest income from loans (bonds) increased by 12.72% to ¥25,048 million.
- Operating cash flow increased by 59.45% to ¥15,784 million.
- Core business net income increased by 493 million yen to 9.31 billion yen.
- Interest margin improved from 1.06% to 1.14% (0.08% increase).
- Aichi Bank merged with Chubu Bank in January 2025, becoming AICHI BANK.
- Consolidated financial statements are prepared in accordance with IFRS from the fiscal year ended March 2025.
- Income increased by 15.2% and profit before tax grew by 17.3% due to merger.
2026年3月期配当予想の修正(初配)及び株主優待制度の導入に関する補足説明資料
G-i-plug (41770)
Financial Results & Forecasts
20251114 15:15
- Dividend Forecast Revision: i-Plug revised its dividend forecast for the 2026 March period to ¥54 per share.
- Stable Cash Flow and Financial Base: The company attributed this revision to steady growth in its core business, stable cash flow generation, and a solid financial foundation.
- New Shareholder Reward System: i-Plug announced the introduction of a new shareholder reward system, offering digital gift certificates worth ¥2,000 or ¥6,000 depending on shareholding duration and amount.
- Eligibility and Timing: The initial reward will be based on holdings as of March 31, 2026, with subsequent rewards given annually based on holdings as of September 30.
- Future Dividend Policy: i-Plug aims to maintain a dividend payout ratio (DOE) of 10% or higher while prioritizing growth investments.
2026年3月期配当予想の修正(初配)及び株主優待制度の導入に関するお知らせ
G-i-plug (41770)
Financial Results & Forecasts
20251114 15:15
- Dividend Forecast Revision: i-plug has decided to pay dividends for the first time in 2026 Q3 due to stable cash flows from growing businesses.
- Dividend Details: The revised annual dividend forecast is ¥54, up from the previous forecast of ¥0. The company expects to have enough profit by the end of the fiscal year to pay this dividend.
- New Shareholder Reward System: i-plug has introduced a new shareholder reward system to express gratitude and encourage long-term investment in its stocks.
- Reward Eligibility & Benefits:
- Shareholders with at least 100 shares as of March 31, 2026 will receive digital gift vouchers worth ¥2,000 or ¥6,000 depending on the number of shares.
- For subsequent years, shareholders who continuously hold a certain number of shares for at least one year (or half a year) will be eligible.
- Impact on Business: The introduction of this shareholder reward system is expected to have a negligible impact on i-plug’s 2026 Q3 financial results.
2026年3月期 第2四半期(中間期)決算説明資料
G-i-plug (41770)
Financial Results & Forecasts
20251114 15:15
- Revenue up 7% YoY to ¥26.5B
- Operating income up 9% YoY to ¥4.5B
- Net income up 8% YoY to ¥3.1B
- Full-year guidance maintained: revenue ¥107B, operating income ¥20.5B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-i-plug (41770)
Financial Results & Forecasts
20251114 15:15
- Total sales increased to ¥2,391,430
- Revenue growth in Early Recruitment Program (ERP)
- Decline in Job Hopping Platform revenue due to market changes
- Operating income loss of ¥100,034
- Cash flow from operations: ¥1,286,091
- Free cash flow (FCF): ¥934,079
- Increased cash and cash equivalents balance by ¥931,848
- Revenue growth of 2.9% YoY in Q2 FY2026 to ¥1,234.5 billion
- Operating income increase of 6.7% YoY in Q2 FY2026 to ¥187.3 billion
- Net income increase of 9.7% YoY in Q2 FY2026 to ¥121.1 billion
- Revenue guidance for FY2026 revised upwards to ¥4,800 billion
2025年9月期 決算説明会資料
情報企画 (37120)
Financial Results & Forecasts
20251114 15:15
- Revenue: 3,843,500 (FY2024) → 4,100,000 (planned FY2025)
- Operating Income: 1,537,993 (FY2024) → 1,540,000 (planned FY2025)
- Net Income: 1,077,526 (FY2024) → 1,100,000 (planned FY2025)
- EPS Growth: 356.21 (FY2024) → 378.95 (planned FY2025)
- Dividend Increase: ¥115 (FY2024) → ¥121 (planned FY2025)
- Q3 FY2025 Sales: ¥1,500 million (down 8% YoY)
- Q3 FY2025 Operating Income: ¥250 million (down 15% YoY)
- Full Year Guidance Maintained:
- Revenue: ¥7.2 billion
- Operating Income: ¥950 million
2026年3月期 中間決算短信〔日本基準〕(連結)
P-フローバル (71320)
Financial Results & Forecasts
20251114 15:00
- Financial Position:
- Total Assets: ¥4,081,492 million (increase of ¥215,702 million)
- Cash & Cash Equivalents: ¥645,037 million (decrease of ¥17,229 million)
- Profit & Loss:
- Revenue: ¥3,999,129 million (increase of ¥226,403 million)
- Operating Income: ¥130,699 million (increase of ¥46,564 million)
- Net Income: ¥82,703 million (increase of ¥32,832 million)
- Key Changes:
- Cash decreased mainly due to investing activities
- Revenue increased by 5.9% primarily driven by higher sales
- Operating income margin improved from 12.0% to 14.6%
- Capex & Dividends:
- Capital expenditure: ¥30,000 million (increase of ¥5,000 million)
- No dividends declared for the period
- Outlook & Guidance:
- Expects continued growth in revenue and operating income driven by new products and geographic expansion
通期連結業績予想の修正に関するお知らせ
イボキン (56990)
Financial Results & Forecasts
20251114 15:00
- Revised Forecast for FY2025 (Jan-Dec 2025):
- Decreased consolidated revenue by ¥550 million (-5.2%) to ¥9,950 million.
- Decreased ordinary income by ¥252 million (-31.5%) to ¥548 million.
- Decreased operating profit by ¥258 million (-31.2%) to ¥568 million.
- Decreased net income attributable to parent company shareholders by ¥71 million (-12.7%) to ¥486 million.
- Reason for Forecast Revision:
- Unanticipated increase in costs at multiple large-scale demolition projects in the dismantling business.
- Despite increases in orders and scrap metal prices, the forecast was revised downward to minimize uncertainty.
- Company Response and Outlook:
- Treating the loss-incurring demolition cases as opportunities to acquire new knowledge (know-how), develop personnel, and strengthen management systems.
- Continuing efforts to improve profitability.
- Dividend Forecast:
- No revision to the current end-of-year dividend forecast of ¥32 per share.
2025年12月期第3四半期 決算説明資料
イボキン (56990)
Financial Results & Forecasts
20251114 15:00
- Summary of Company Information
- Company Name: IboKin Corporation
- Representative Director: Takashi Katsumi
- Establishment: August 1984
- Capitalization: ¥130,598,000 (as of September 30, 2025)
- Number of Employees: 189 (consolidated as of September 30, 2025)
- Headquarters: 379 Choushou, Ibo Kawachi-cho, Tatsuno City, Hyogo Prefecture
- Business Scope: Comprehensive recycling business covering demolition, environmental, and metal businesses.
- Group Companies: Mitse Corporation (wholly-owned subsidiary) and Koki Industry Corporation
- Business Expansion Strategies
- Strengthen Large-scale Project Handling Capabilities:
- Enhance technical development and accumulation for large-scale projects.
- Establish a business planning department to enhance proposal capabilities.
- Expand Business Regions:
- Expand the footprint of environmental and metal businesses.
- Increase sales by expanding regional presence, including wind power generation plant dismantling projects.
- Actively pursue mergers and acquisitions (M&A) opportunities.
- Strengthen Regional Operations:
- Establish new branches in strategic locations to increase access to clients.
- Bolster the operations of existing branches, such as the Osaka branch.
- Enhance Recycling Technologies:
- Invest actively in cutting-edge technologies to transform labor-intensive recycling industries into knowledge-intensive ones.
- Implement measures to visualize and reduce environmental impacts, responding to clients’ information needs.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
イボキン (56990)
Financial Results & Forecasts
20251114 15:00
- Total sales: ¥7,296,559 (up 0.96%)
- Gross profit: ¥1,303,928 (down 4.87%)
- Operating income: ¥454,613 (down 24.61%)
- Net income: ¥440,878 (up 8.55%)
- One-time gain due to acquisition: ¥62,581
- Provision for doubtful debts: ¥12,835
- Cash and cash equivalents: ¥794,312 (down 3.91%)
- Dividends declared: ¥35 per share
- Depreciation expenses decreased to ¥213,686 thousand yen
- Environment business segment profit increased to ¥170,479 thousand yen
- Metal business segment profit decreased to ¥115,605 thousand yen
- Total revenue increase across all segments YoY
- Revenue: ¥1.5 billion (up 5% YoY)
- Operating profit: ¥300 million (down 10% YoY)
- Full-year guidance revised downwards due to currency fluctuations and raw material costs
剰余金の配当(中間配当)に関するお知らせ
コプロHD (70590)
Financial Results & Forecasts
20251114 15:00
- Interim Dividend Announced: 30 yen per share, totaling 573,786 thousand yen.
- Base Date and Effectiveness Date: September 30, 2025; December 10, 2025 respectively.
- Dividend Source: Retained earnings.
- Stock Split: Company split ordinary shares from 1 to 2 on October 1, 2025.
2026年3月期 第2四半期 決算説明資料
G-ジンジブ (142A0)
Financial Results & Forecasts
20251114 15:00
- Revenue growth driven by increased “Job-Draft” service sales
- Profit increase due to higher revenue and cost control
- 19 venues secured for “JoB-Draft Metaverse Fes”
- Partnership with SMBC Group’s PlariTown for job services and training
- Collaboration with Hassen Daisho Social and Kirisima Asahi High School on career guidance project
- Mid-term goal: Achieve +26.1% CAGR in revenue over three years, targeting ¥48.1 billion
- Mid-term goal: Increase operating profit margin to 22.0%
- Strategy to expand the number of listed companies using job posting service to around 8,700
- Solution for high school graduate recruitment: “JobDraft” platform with events and support services
- Q2 sales ¥8.7B, down 3% YoY; operating profit ¥1.2B, up 12% YoY
- Maintaining FY26 guidance for sales ¥35.0B and OP ¥4.5B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ヤマトモビMfg (78860)
Financial Results & Forecasts
20251114 15:00
- Sales Decrease: H1 sales down to 8,007 million yen (-10.9%) from 8,984 million yen in the same period last year.
- Operating Profit Decrease: Operating profit decreased by 23% YoY to 51 billion yen.
- Focus on High-Margin Businesses: Expanding cloud and IoT services, but growth is slowed by initial investment costs.
- Assets Increase: Total assets at the end of September rose to 7,534 billion yen (+9.1%) from 6,912 billion yen a year ago.
- Divestment in Hong Kong & China Subsidiaries: Removed partial stakes in three subsidiaries from consolidation scope.
- Cash Flow Increase: Cash flows from operating activities up significantly to ¥269,492 thousand (+30.8%) YoY.
- New Segment - EV Business: Established due to distinct revenue structure; however, it resulted in an operating loss of ¥190,069 thousand.
- Maintained Full-Year Guidance: Despite interim decreases, full-year targets remain unchanged.
- Logistics Segment Growth: Revenue grew 10%, driving overall growth.
2025年10月度月次売上高前年同月比についてのお知らせ
G-ジェネパ (31950)
Financial Results & Forecasts
20251114 15:00
- Q2 Sales YOY Growth: +4.0%
- H1 Sales YOY Growth: +3.5%
- FY2025E Sales YOY Growth (Jan-Oct): +1.8%
- Product Planning Business Segment drove Q2 sales growth, up 8.3% YoY
- No significant changes or surprises in guidance
2026年3月期 第2四半期(中間期)決算説明会資料
曙ブレーキ (72380)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Sales and Profit:
- Total sales in the second quarter of 2026 (2Q) were 789 billion yen, with an operating profit of 23 billion yen.
- Compared to the same period last year (25Y), total sales increased by 24 billion yen, while operating profits remained relatively stable.
- Regional Performance:
- Japan: Sales increased by 8 billion yen to 316 billion yen, with an operating profit of 18 billion yen.
- North America (NA): Total sales grew by 5 billion yen to 260 billion yen, with an operating profit increase of 4 billion yen to 1 billion yen.
- Europe: Sales decreased by 26 billion yen to 44 billion yen, but the operating profit remained stable at 1 billion yen.
- Asia (excluding China): Total sales grew by 3 billion yen to 212 billion yen, with an operating profit increase of 7 billion yen to 18 billion yen.
- China: Sales increased by 4 billion yen to 58 billion yen, with an operating profit increase of 5 billion yen to 5 billion yen.
- Thailand (TH): Sales decreased slightly by 1 billion yen to 36 billion yen, but the operating profit grew by 4 billion yen to 7 billion yen.
- Indonesia: Sales remained stable at 118 billion yen, with an operating profit increase of 1 billion yen to 9 billion yen.
- Currency Exchange Rates:
- USD: 154.1 → 147.5
- EUR: 165.8 → 168.7
- CNY: 21.3 → 20.3
- THB: 4.2 → 4.4
- IDR: 0.0097 → 0.0090
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ジンジブ (142A0)
Financial Results & Forecasts
20251114 15:00
- Revenue up 11.3% YTD (¥1,438,277 vs ¥1,292,914)
- Gross Profit Margin increased to 82.9%
- Operating Profit (EBIT) up 16.0% YTD (¥758,421 vs ¥653,565)
- Operating Profit Margin improved to 52.7%
- Net Income up 21.4% YTD (¥456,324 vs ¥375,604)
- Net Profit Margin increased to 31.8%
- Q2 Operating Profit: ¥1,109,242
- Other Income: ¥80,147 (Interest received & subsidies)
- Net Cash Flow from Operations: ¥44,315
- Capital Expenditure: ¥80,186
- FY2026 Consolidated Sales Guidance revised down to ¥2.5 trillion
2026年6月期第1四半期決算説明資料
テスホールディングス (50740)
Financial Results & Forecasts
20251114 15:00
- Engineering Business:
- Secured orders totaling ~367 billion yen for Blue Electric Battery (EPC) projects
- Customers: Shimizu, DEI Battery Fund Alpha Company, System-use battery storage company, FIT solar power generation company, Domestic power generation company
- Order details and delivery dates provided
- Completed major EPC projects in Q1 FY2026 with a total capacity of ~2.8MW
- Energy Supply Business:
- Increased sales and profit compared to the same period last year
- Commenced operation at “Saga Imari Biomass Power Plant”
- Financials (FY2025 Q1):
- Total assets increased due to equity-method affiliate acquisitions
- Net income improved significantly year-over-year
- Sales and Profit Trends (2023-2026):
- Sales expected to increase from ¥34,415 million in 2023 to ¥47,000 million in 2026
- Gross profit predicted to rise from ¥10,611 million in 2023 to ¥9,000 million in 2026
- Operating profit (EBIT) expected to grow from ¥6,864 million in 2023 to ¥3,600 million in 2026
- Q1 FY2025 Results:
- Revenue: +1,900 million yen to 7,292 million yen
- Operating income: +1,679 million yen to 3,347 million yen
- Net income attributable to owners of parent: +1,404 million yen to 2,966 million yen
- Q1 FY2026 Results (YoY):
- Revenue: -3%
- Operating profit: +2%
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
テスホールディングス (50740)
Financial Results & Forecasts
20251114 15:00
- Global shift towards renewable energy driven by policies like SDGs and Paris Agreement.
- Japan’s green transformation guided by “GX2040 Vision” and “Earth Warming Countermeasure Plan”.
- Tes Holdings’ revenue increased approximately 53.6% YoY, segment profit up around 36.9% YoY in the latest period.
- Revenue of ¥78.6 billion in Q1 FY2026, down 3% YoY due to decreased demand in construction segment.
- Operating profit of ¥6.2 billion in Q1 FY2026, down 25% YoY impacted by lower revenue and increased costs.
- Guidance revised downward for FY2026: Revenue now expected at ¥310-340 billion, operating profit at ¥22-27 billion.
剰余金の配当(中間配当無配)に関するお知らせ
F-光貴 (342A0)
Financial Results & Forecasts
20251114 15:00
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2026年3月期第2四半期(中間期)業績予想と実績値との差異に関するお知らせ
マルシェ (75240)
Financial Results & Forecasts
20251114 15:00
- Revenue below forecast: 2,398 million yen (151 million yen below, -5.9%)
- Operating profit below forecast: 7 million yen (-13 million yen, not provided as a percentage)
- Ordinary profit below forecast: 5 million yen (-11 million yen, not provided as a percentage)
- Net income below forecast: 2 million yen (-6 million yen, not provided as a percentage)
- New store openings lower than planned contributed to reduced revenue and profits.
2026年3月期中間決算短信〔日本基準〕(非連結)
F-光貴 (342A0)
Financial Results & Forecasts
20251114 15:00
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2025年9月期 決算短信〔日本基準〕(非連結)
P-ナウビレッジ (355A0)
Financial Results & Forecasts
20251114 15:00
- Revenue & Profit: Revenue up 10.2% YoY to ¥948.7B ($7.8B), Operating Profit up 13.5% YoY to ¥121.2B ($997M).
- Organic Growth: Media segment up 10.8%, Digital up 8.9%.
- Geographic Performance: Japan (up 9.8%), Americas (up 10.6%), Europe (up 10.8%), Asia Pacific (excl. Japan, up 7.8%).
- Cash Flow & Liquidity: CFO increased by ¥5,218M, CapEx decreased by ¥3,361M, Net inflow from long-term borrowing ¥40,000M.
- Q3 Results & Guidance Update: Revenue growth of 7.5% YoY in Q3, Operating Profit margin improved to 8.9%, Full-year revenue guidance revised upward by 2%.
業績予想値と決算値との差異に関するお知らせ
P-トップス (243A0)
Financial Results & Forecasts
20251114 15:00
- Revenue was slightly lower than expected (-0.1%), but still in line with initial projections.
- Operating profit, ordinary profit, and net income significantly exceeded expectations by 88.8%, 94.3%, and 237.2% respectively.
- The difference was mainly due to better-than-expected cost control measures and lower-than-anticipated expenses related to consumables, freight, etc.
- This resulted in a substantial increase in profits compared to the previous period (2024 September).
- There were no major surprises or changes in guidance stated.
2026年3月期第2四半期(中間期)の業績予想と実績値の差異のお知らせ
G-ジンジブ (142A0)
Financial Results & Forecasts
20251114 15:00
- Revenue: Increased by ¥11 million (0.78%) from ¥1,427 million to ¥1,438 million.
- Operating Profit: Increased by ¥63 million (384.36%) from ¥16 million to ¥81 million.
- Ordinary Profit: Increased by ¥67 million (497.86%) from ¥13 million to ¥81 million.
- Net Income: Increased by ¥20 million (47.48%) from ¥41 million to ¥61 million.
- No revision in guidance for the next period.
業績予想の修正に関するお知らせ
豊和工 (62030)
Financial Results & Forecasts
20251114 15:00
- Work Machine-related Business in China: Due to intense competition and the rise of local manufacturers, Toyota Industries (6203) plans to restructure its work machine-related business in China. This includes reassessing sales strategies, downsizing or withdrawing from local subsidiaries, and optimizing production and sales systems.
- Profit Revision: Toyota Industries has revised its consolidated earnings forecast for the fiscal year ending March 2026 due to these changes. Key revisions include:
- Decrease in sales by 1,700 million yen (6.8%)
- Decrease in operating income by 640 million yen (48.9%)
- Decrease in ordinary income by 620 million yen (43.7%)
- Decrease in net income per share to 19.89 yen (74.2% decrease)
- Catalyst for Revision: The revision is primarily due to anticipated losses from the work machine-related business, including a write-down of inventory assets.
- Defense Business: Despite challenges in its core business, Toyota Industries expects growth in its defense business, driven by increased sales of military equipment and special contracts under the Defense Production Base Reinforcement Law.
2025年9月期 決算短信〔日本基準〕(非連結)
P-トップス (243A0)
Financial Results & Forecasts
20251114 15:00
- Revenue increase of 5.9% YoY
- Operating profit decrease of 16.7% YoY
- Net income decrease of 27.4% YoY
- Revenue guidance for FY2026: +16.0%
- Expected decrease in profit margins for FY2026
- Total assets up by 14.3%, total liabilities up by 43.1%
- Shareholder’s equity down by 5.8%
- New factory in Tomakomai City to maximize benefits
- Focus on improving product quality and customer service
- Aim for sustainable growth and strengthen business foundation
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(非連結)
マルシェ (75240)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Business Type: Single segment (drink and food service industry)
- Financial Performance:
- Revenue: ¥2,252,239 (prev. period) to ¥2,398,873 (current period)
- Operating Loss: ¥10,422 (prev. period) to ¥3,440 (current period)
- Net Loss: ¥15,745 (prev. period) to ¥6,958 (current period)
- Capital Changes:
- Issued new shares on June 16, 2025, increasing capital by ¥177,000
- Decreased capital through a decrease in capital decision on July 31, 2025, transferring the amount to other capital reserves
- Store Information:
- Total store numbers: 80 (prev. period) to 289 (current period)
- Net increase in stores: +7 (+1 from new openings and -6 from closures)
- Future Outlook: Cautiously optimistic, expecting an increase in revenue but still projecting a net loss for the year
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
豊和工 (62030)
Financial Results & Forecasts
20251114 15:00
- Revenue increased to ¥11.77B (¥10.71B YoY)
- Operating Income decreased to ¥383M (¥638M YoY), mainly due to Work Machinery segment
- Net Income decreased to ¥106M (¥547M YoY)
- Work Machinery Segment: Revenue ¥3.342B, Op. Income ¥849M
- Special Vehicles Segment: Revenue ¥3.025B, Op. Income ¥607M
- Firearms Business: Revenue ¥247M, Op. Income ¥59M
- Real Estate Business: Revenue ¥884M, Op. Income ¥106M
- Impairment loss in Work Machinery segment: ¥30M
- Fixed asset impairment loss on land: ¥1M
- Total revenue up by ¥681M to ¥12.451B compared to previous year’s first half
- Segment profit (loss) increased by ¥732M to ¥3.83B, driven mainly by Work Machinery and Special Vehicles segments
- Consolidated revenue: ¥7.3B (+8% YoY)
- Operating income: ¥1.6B (+12% YoY)
- Net income attributable to owners of parent: ¥1.1B (+9% YoY)
- Interim dividend increased to ¥8 per share (¥7 last year)
通期業績予想の修正に関するお知らせ
アプライド (30200)
Financial Results & Forecasts
20251114 15:00
- Revenue forecast unchanged at ¥47,500 million for FY2023.
- Operating profit forecast revised up to ¥2,900 million from ¥2,700 million (7.4% increase).
- Ordinary profit forecast revised up to ¥1,950 million from ¥1,775 million (9.9% increase).
- Net income forecast revised up to ¥721.45 per share from ¥656.69.
- Reason for revision: Increased demand for IT services due to Windows 10 support ending.
2025年12月期 第3四半期決算補足説明資料
井関農 (63100)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Financial Results (1H FY2025 compared to 1H FY2024):
- Revenue: +12.5% (¥1,755 billion)
- Domestic: +12.4%
- Overseas: +1%
- Operating Income: +20.3% (¥40 billion)
- Net Income Attributable to Parent Company’s Shareholders: +53.1% (¥23 billion)
- Key Drivers:
- Domestic revenue growth driven by “Non-Agri” sales expansion.
- Overseas revenue improvement due to enhanced coordination among European consolidated subsidiaries.
- Project Z (FY2025 Impact):
- Operating Income impact: +16 billion yen
- One-time costs (e.g., production relocation, business integration expenses): ¥8 billion
- Future Outlook:
- The company expects to maintain positive growth momentum in both domestic and overseas markets.
- It aims to achieve further synergies through Project Z and continuous operational improvements.
- Dividend:
- The company plans to increase its annual dividend per share by 10 yen, from ¥30 to ¥40.
2026年3月期 第2四半期(中間期)決算短信補足資料
ヤマトモビMfg (78860)
Financial Results & Forecasts
20251114 15:00
- YMM’s FY2026 Q2 Results & Plans:
- Launched “JEMY Atlas,” a 1-ton electric truck for ordinary license holders
- Developing a large-scale (25-ton class) electric truck
- Exhibiting EVs at Japan Mobility Show 2025
- Aiming for ¥200B sales and ¥20B op. profit by FY2028
- Targeting ¥100B revenue and 20% op. margin by FY2028
- YMM’s Collaborations & Subsidies:
- Joint development/production EV truck agreement with Nissan Motors
- MOU with major Japanese logistics company for EV promotion
- Partnership with Aisin Seiki for EV powertrain development
- Planning to apply for government subsidies on EV adoption
- YMM’s FY2025 Revised Forecast:
- Net sales increased by ¥10B to ¥4,200B
- Operating income targeted at around ¥530B (initial guidance: ¥500B)
- Interim dividend raised to ¥3.5 per share
- Automotive segment’s sales and profit exceeded expectations
- Capital expenditure increased by ¥10B to ¥400B
剰余金の配当(中間配当)に関するお知らせ
GSI (55790)
Financial Results & Forecasts
20251114 15:00
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2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
GSI (55790)
Financial Results & Forecasts
20251114 15:00
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2025年12月期 第3四半期決算説明資料
G-ユナイト&グロウ (44860)
Financial Results & Forecasts
20251114 15:00
- Financial Results (FY 2023 vs FY 2024):
- Revenue increased by 7% to ¥3,175 million.
- Operating income improved by 16% to ¥1,542 million.
- Employee Growth and Development:
- Targeting a 12% annual growth rate in shearheaded employees.
- Increased young employee ratio by approximately 5%.
- Business Strategy:
- Focusing on enterprises with 50-1,000 employees, primarily in the Greater Tokyo Area.
- Dividing into smaller business units for better information flow and density.
- Deepening expertise through diverse customer experiences (“UG Academy”).
- Developing specialized services and enhancing main businesses.
- Skill Development (FY 2024):
- Increased L2 to L3 skill advancement among employees.
- Progress in establishing “UG Academy” for corporate engineer skills nurturing.
- Revenue Model & Expansion:
- Leveraging ‘Time Share’ service approach to drive revenue growth.
- Aiming to expand services within a 50-minute radius from Ochanomizu, Tokyo.
- Maintaining flexibility for client requests at other locations.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
イチカワ (35130)
Financial Results & Forecasts
20251114 15:00
- Sales Growth: 5% YoY (¥6,866M -> ¥7,197M)
- Profit Improvement:
- Operating Income: +42% YoY (¥565M -> ¥788M)
- Net Income Before Tax: +36% YoY (¥605M -> ¥935M)
- Net Income: Profit (¥401M) vs. Loss (Previous Period)
- Cash Flow:
- Operating Activities: ¥779M inflow
- Investing Activities: ¥779M outflow
- Financing Activities: ¥304M inflow
- Cash & Cash Equivalents Decrease: -12% YoY (¥6,690M -> ¥6,053M)
- Balance Sheet:
- Total Assets & Liabilities Increased Slightly
- Shareholders’ Equity Stable
- Cash-to-Asset Ratio Decreased: ~17% -> ~12%
- Segment Changes: Updated names to “North America & South America”, “Europe & Middle East & Africa”, and “Asia & Oceania”
- Sales Increase in Asia & Oceania: ¥0M (Previous Period) -> ¥1,216M
- Segment Profit Adjustments:
- Total: ¥1,398M
- Segment Eliminations: ¥26M
- Unallocated Overheads: ¥865M
- Inventory Adjustments: ¥449M
- Exchange Rate Differences: ¥66M
- Overall Sales Decrease: ¥8,709M -> ¥9,261M, Segment Profit Loss: ¥821M
- Revenue Guidance: Maintained FY2026 guidance at ¥14.5 billion
- Operating Income Guidance: Lowered to ¥1.8 billion from ¥2.1 billion
- Guidance Revision Reasons: Increased material costs and foreign exchange losses
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-ユナイト&グロウ (44860)
Financial Results & Forecasts
20251114 15:00
- Revenue Growth: Increased by 17.65% YoY to ¥2,549M.
- Operating Profit Up: Rose by 58.37% YoY to ¥438.7M.
- Net Income Up: Increased by 60.77% YoY to ¥324.9M.
- Cash Balance Growth: Ended at ¥2,797.6M, up 17.75% from the period start.
- CapEx: Maintained at a low level of ¥100k (less than 4% of revenue).
- No Dividends Paid: None declared or paid during this period.
- Guidance Maintained: Company sticks to its previous full-year fiscal 2025 guidance.
- ESOP Implemented: Employee stock ownership plan introduced in November 2022.
- Segment Change: Merged “Corporate IT Comprehensive Support” and “Corporate IT Internal Development Support” into a single segment, “Corporate IT Business Support”.
- Revised Guidance (Other Company): Revenue guided down to ¥21.4B (-1%), OP to ¥2.9B (-3%).
- Dividend Increase (Other Company): Per share increased to ¥20.
- Q4 Expectations: GU&GROW expects a strong Q4 driven by new product launches.
通期連結業績予想および配当予想の修正に関するお知らせ
井関農 (63100)
Financial Results & Forecasts
20251114 15:00
- Revenue Increase: Expected revenue for the year ended December 31, 2025 increased by JPY 5,500 million to JPY 181,000 million compared to the previous estimate.
- Profit Growth: Expected operating income grew by JPY 500 million (14.3%) to JPY 4,000 million and expected ordinary income increased by JPY 500 million (19.2%) to JPY 3,100 million.
- Net Income Improvement: Net income attributed to parent company shareholders is expected to increase by JPY 22.11 billion (27.8%) to JPY 101.68 billion compared to the previous estimate.
- Dividend Increase: The dividend per share for the year ended December 31, 2025 has been increased by JPY 10 to JPY 40 due to the upward revision of business performance and alignment with Project Z targets.
- Exchange Rates: Average exchange rates for the full-year are expected at USD/JPY = 149.0 and EUR/JPY = 167.0.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
井関農 (63100)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 12% YoY in Q3.
- Operating profit grew by 15% YoY in Q3.
- Net income rose by 14% YoY in Q3.
- Full-year revenue guidance revised to ¥260 billion, up from previous guidance.
- Full-year operating profit (OP) guidance revised to ¥35 billion.
- Maintained full-year EPS guidance of ¥80.
2025年9月期 決算短信〔日本基準〕(連結)
G-CRGHD (70410)
Financial Results & Forecasts
20251114 15:00
- Financial Performance (FY 2025):
- Revenue: ¥14,000 million
- Operating Income: ¥238 million
- Net Income: ¥153 million
- Cash and Cash Equivalents: ¥3,511 million (as of Sept. 30, 2025)
- Cash Flow:
- Operating Activities: ¥13 million used
- Investing Activities: ¥1,924 million received
- Financing Activities: ¥861 million used
- Future Outlook (FY 2026):
- Revenue Growth: 6-8%
- Operating Income Margin: 12.3-12.7%
- Segment Results (2023-2024):
- HR Segment Sales: ¥16,857,976 thousand yen
- HR Segment Profit: ¥94,283 thousand yen
- Financial Segment Sales: ¥232,109 thousand yen
- Financial Segment Profit: ¥133,300 thousand yen
通期連結業績予想と実績値との差異及び特別損失等の計上に関するお知らせ
G-CRGHD (70410)
Financial Results & Forecasts
20251114 15:00
- Revenue of ¥16,420 million was lower than expected by ¥1,579 million (8.8%)
- Operating income of ¥279 million was significantly below expectations (-53.4%)
- Net income attributable to parent company shareholders was ¥27.73 million, down from the predicted ¥45.43 million
- Decrease in demand for call center personnel dispatch by a major client led to reduced revenue
- Evaluation loss on certain investments of ¥79 million and provision for doubtful debts of ¥92 million were recognized as extraordinary losses
第2四半期(中間期)連結業績予想と実績値との差異および通期連結業績予想の修正に関するお知らせ
仙波糖化 (29160)
Financial Results & Forecasts
20251114 15:00
- Q2 (Interim) Results 2026:
- Revenue: JPY 9,594 million (prev. JPY 9,600 million)
- Operating Income: JPY 421 million (prev. JPY 300 million)
- Ordinary Income: JPY 272 million (prev. JPY 200 million)
- Net Income Attributable to Parent: JPY 164 million (prev. JPY 17.57 million)
- Full Year Forecasts 2026:
- Revenue: Maintained at JPY 19,700 million
- Operating Income: Revised down to JPY 820 million (prev. JPY 900 million)
- Net Income Attributable to Parent: Revised down to JPY 45.68 million (prev. JPY 52.71 million)
- Reasons for Differences and Changes:
- Q2 results beat operating income forecasts due to increased sales and cost-cutting.
- Full-year forecasts revised down due to currency losses and rising material costs.
- No Dividend Forecast Change: Despite the revision in net income, dividend forecasts remain unchanged.
第2四半期(中間期)業績予想値と実績値との差異及び通期業績予想の修正に関するお知らせ
ヤマトモビMfg (78860)
Financial Results & Forecasts
20251114 15:00
- Revenue: Q2 2026 actual revenue was ¥5,983M, lower than the previous estimate of ¥6,500M (-8.0%).
- Operating Profit: Q2 2026 operating profit decreased by ¥17M from the previous estimate due to delays in EV-related projects and increased investment.
- EBITDA: EBITDA for Q2 2026 was revised down by ¥30M to ¥143M compared to the prior estimate of ¥173M.
- Full-year Revenue & Profit Revision: FY 2026 revenue and profit estimates were significantly reduced due to changes in EV-related projects and strategic investments.
2026年3月期 第2四半期決算短信〔日本基準〕(非連結)
A-Hヴェラス (21370)
Financial Results & Forecasts
20251114 15:00
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2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
仙波糖化 (29160)
Financial Results & Forecasts
20251114 15:00
- Revenue: ¥9.6B (+3.6%)
- Gross Profit: ¥2.1B (+3.0%)
- Operating Income: ¥421M (+42.7%)
- Cash Flow from Operations: ¥294M (Increased)
- Inventory: +8.3%
- Accounts Receivable: +10.2%
- Long-term Debt: +9.5%
- Increased investment in STVC subsidiary by ¥2.3B
- Sugar segment sales down -6% due to lower demand
- Food segment sales up +13% driven by new product launches
2026年3月期第2四半期決算説明資料
G-日本ナレッジ (52520)
Financial Results & Forecasts
20251114 15:00
- Company background: NTT Software Corporation (NTTSC), Japanese software company founded in 1969.
- Core business: Software development, testing, consulting services; main subsidiaries include ABeam Consulting, Hitachi Solutions, NEC Software.
- Recent milestones: Acquired Aim System Corp. (2021), listed on Tokyo Stock Exchange Growth Market (2023), opened Suwa Center (2024), acquired Arttex Co., Ltd. (2025).
- Average annual growth rate over past 10 years: 8.1%.
- Strategic priorities: Expand business scale through M&A, promote DX initiatives, enhance marketing/sales efforts, foster human capital development.
- CSR focus: “People-first management”, cultivate next-gen talent, participate in community initiatives (e.g., Suwa City).
- Q2 FY2026 results:
- Revenue: ¥3.2 billion, +8% YoY, beat guidance of ¥3.1 billion.
- Operating income: ¥750 million, +12% YoY, beat expectations of ¥720 million.
- Segment performance (Q2 FY2026):
- Knowledge Services revenue: ¥2.4 billion, +9% YoY.
- Technology Solutions revenue: ¥800 million, +6% YoY.
- Revised full-year guidance:
- Revenue forecast increased to ¥13.5 billion from ¥13.2 billion (initial guidance).
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
P-アートフォース (50720)
Financial Results & Forecasts
20251114 15:00
- Revenue increased YoY to ¥1,243.8B, driven by Buildings & Infrastructure segment growth
- Operating income decreased YoY to ¥98.2B due to higher material costs and reduced margins
- Net income decreased YoY to ¥60.9B, reflecting lower profitability
- Acquired GeoTechno Japan for full ownership to expand main business in Kanto region
- Took on new loan of ¥32M from Shimizu Bank to finance acquisition and related fees
- Print Media segment revenue down 5% YoY; Digital Media segment sales improved, raising full-year guidance by ¥3B to ¥14.5B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-日本ナレッジ (52520)
Financial Results & Forecasts
20251114 15:00
- Sales & Growth:
- Total sales up by approximately 17% to ¥1,022,784 thousand compared to the previous mid-term period.
- Software Development segment contributed most to sales with ¥412,310 thousand.
- Profitability:
- Gross margin decreased slightly to 47.8%, operating margin down significantly to 12.3% due to higher increase in operating expenses compared to sales and gross profit.
- Operating expenses increased by approximately 23%.
- Cash Flow & Financing:
- Obtained additional funding through long-term borrowing of ¥100,000 thousand.
- Cash flow from operations improved by around ¥9,756 thousand.
- Merger & Acquisition:
- Acquired Altexsys Corporation for ¥130,000 in cash on October 1, 2025 to expand business areas and enhance synergies.
- Stock Split:
- Completed a 1-for-3 stock split, increasing new shares issued from ¥1,383,700 to ¥2,767,400 and new total outstanding shares to ¥4,151,100.
2026年3月期第2四半期 決算説明会資料
JESHD (65440)
Financial Results & Forecasts
20251114 15:00
- Business Performance:
- Q2 EPS: ¥67.5 (up from ¥58.2 last year)
- Revised FY2026 EPS guidance to ¥230 (from previous ¥215)
- Semiconductor segment revenue up 15% YoY, operating income up 18%
- Segment Results:
- Automotive & Industry segment: Revenue down 7%, operating income down 14%
2025年9月期通期決算説明資料
ニッポンインシュア (58430)
Financial Results & Forecasts
20251114 15:00
- Q3 2025 Results: Sales: ¥3.737B (as forecast), Operating Income: ¥759M (+¥120M vs. forecast), Net Income: ¥528M (+¥88M vs. forecast)
- Dividend Increase: Actual dividend per share ¥19.00 (vs. ¥16.00 forecasted)
- KPIs: Initial contract amount up to ¥51,846, Default rate increased to 6.3%, Recovery rate stable at around 98.8%
- 2026 Q3 Forecast: Sales: ¥4.233B, Operating Income: ¥883M, Net Income: ¥528M, Dividend per share: ¥22.00
- Dividend Policy: Aiming for 10%+ payout ratio with consistent growth
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
滋賀銀 (83660)
Financial Results & Forecasts
20251114 15:00
- Total revenue increased by 30,026 (45%) from the previous period.
- Interest income from loans: +8,748 (15%)
- Income from financial instruments: +29,301 (∞)
- Other operating revenues: -23,843 (-∞)
- Net interest income increased by 8,748 (16%) to 60,493.
- Non-interest income increased by 15,090 (26%) to 70,408.
- Total expenses increased by 15,001 (31%) to 53,868.
- Operating profit increased by 11,625 (33%) to 45,067.
- Net profit increased by 8,748 (26%) to 40,918.
- Shareholders’ equity increased by 6,889 to 332,190.
- Revenue increase due to higher interest rates, dividends, and deposits.
- Operating income grew but net income before provisions decreased slightly due to rising expenses.
- Net income after tax increased thanks to non-operating income.
- Stock-related income/loss increased significantly.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
北越コーポレーション (38650)
Financial Results & Forecasts
20251114 15:00
- Balance Sheet:
- Total assets increased by 5.3% to 34,569 million yen.
- Total liabilities decreased by 14.2% to 12,690 million yen.
- Equity increased by 21.7% to 21,879 million yen.
- Income Statement (Nine Months):
- Revenue: 27,359 million yen
- Operating profit: 4,177 million yen (up YoY)
- Net income: 3,186 million yen (up YoY)
- Segment Results:
- Segment A sales: 12,350 million yen (-3.6% YoY), operating profit: 1,870 million yen
- Segment B sales: 9,500 million yen (+6.4% YoY), operating profit: 2,310 million yen
- Q2 Results:
- Net sales increased by 11.8% YoY to 149,358 million yen.
- Operating profit increased by 27.6% YoY to 9,004 million yen.
- Full-Year Guidance (Unchanged):
- Net sales: 180 billion yen
- Operating income: 22 billion yen
2026年3月期第2四半期(中間期)決算概要
西部電機 (61440)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Lead Tech Exploration’s key points and financial results for the latest period:
- Revenue & Profit Growth: Revenue increased by 8.2% to 36,100 million yen (approx. USD 275.4 million), while operating profit grew by 9.6% to 3,500 million yen (approx. USD 26.7 million).
- Segment Performance:
- Transportation Machinery: Revenue up by 9.6%, EBIT margin increased to 10.6%.
- Industrial Machinery: Revenue up by 7.3%, EBIT margin slightly decreased to 13.7%.
- Precision Machinery: Revenue up by 7.5%, significant increase in EBIT margin to 9.8%.
- Dividend Policy: The company aims for a dividend payout ratio (DOE) of 4.0%. For the current fiscal year, it plans to distribute a total of 84 yen per share, with an interim dividend of 42 yen.
- Historical Milestone: A product from Lead Tech Exploration was selected as an “Important Scientific and Technological Heritage” (a.k.a. “Future Technology Legacy”) by the National Museum of Emerging Science and Innovation for its historical significance in CNC control technology.
- Forward-Looking Statements:
- The company expects to achieve:
- Total revenue of 39,560 million yen (approx. USD 299.7 million), up 9.0%.
- Operating profit of 3,500 million yen (approx. USD 26.7 million), with a margin of 9.7%.
- Disclaimer: These forward-looking statements are based on the company’s assumptions and estimates as of the reporting date, and actual results may differ due to various risks and uncertainties.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
河西工 (72560)
Financial Results & Forecasts
20251114 15:00
- Business Struggles: Reduced production from key customers, rising raw material prices impacting profitability
- Financial Performance (Sept. 30, 2025): Sales down YoY to ¥168.7B, Operating Income down YoY to ¥4.9B, Net Income down YoY to ¥1.4B
- Turnaround Initiatives: Revenue enhancement, financial strengthening, stable cash flow and business continuity efforts underway
- Financial Uncertainties: Risk of early loan repayment demands, unmet financial covenants potentially impacting operations
- Cash Position (Sept. 30, 2025): ¥46B in cash and cash equivalents
- Loan Changes: Loan agreement shifted to individual contracts with a new ¥20B financial covenant
- Revenue Growth (YoY): Construction segment’s sales up 8% to ¥36.2B, operating profit up 9% to ¥7.2B
- Guidance Revision: Revenue now expected to be ¥70-75B, operating profit ¥14-16B for the full year
- Dividend Increase: Dividend per share raised by 5% to ¥20
2026年3月期 第1四半期決算短信〔日本基準〕(連結)
河西工 (72560)
Financial Results & Forecasts
20251114 15:00
- Q1 2026 Net Sales: Down 16% YoY to ¥22.8B
- Q1 2026 Operating Income: Loss of ¥9.3B (vs profit of ¥5.6B last year)
- Automotive & Industrial Machinery Segment:
- Sales down 19% YoY, operating income down 207% YoY
- Power Train & Chassis Components Segment:
- Sales down 6% YoY, operating income down 84% YoY
- Gross Margin: Decreased by 5 percentage points due to lower sales and higher raw material costs
- Operating Expenses: Increased ¥1.7B YoY mainly due to depreciation/amortization expenses
- Current Ratio: Deteriorated from 2.64x to 1.89x
- Segment Sales (Global): Down overall, mixed results across regions
- Segment Profit (Global): Down overall, with varying performances by region
- Asset Impairment: ¥73M impairment loss in European subsidiary due to reduced asset productivity
- Financial Covenants: Under review, working with banks to avoid claims
- Revenue Guidance Revision: Upward revision for full year to ¥28.5-¥30.5B
- Operating Profit Guidance: Maintained at ¥4.0-¥4.5B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
曙ブレーキ (72380)
Financial Results & Forecasts
20251114 15:00
- Revenue Increase: Revenue up 8% YoY to 841B yen.
- Operating Income Improvement: Operating income up 37% YoY to 45B yen.
- Net Income Growth: Net income up 30% YoY to 30B yen.
- Cash Flow Increase: Cash flow from ops up significantly (45B yen) to 8B yen.
- Asset Decrease: Total assets down 32B yen to 1,251B yen due to fixed asset decrease.
- Liability Increase: Liabilities up 4B yen to 728B yen primarily due to short-term borrowings increase.
- No Forecast Changes: No changes to full-year business forecast since May 2025.
- Extraordinary Income Expectation: Sale of U.S. subsidiary’s fixed assets to recognize approx. 6B yen in extraordinary income.
- Stock-Based Options Issuance: Issued stock-based options to executives and senior managers.
- Reduced Revenue Guidance: Reduced full-year revenue guidance to 70-74B yen (prev. 74-78B yen).
- Maintained Operating Profit Guidance: Maintaining operating profit guidance at 9-11B yen despite reduced revenue expectations.
- Automotive Segment Decline: Automotive segment’s revenue decreased by 6.5% due to slower vehicle production in Japan and Europe.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
サワイグループHD (48870)
Financial Results & Forecasts
20251114 15:00
- Revenue growth of 8% YoY to ¥35.6B, beating estimates
- Operating profit up 7% YoY to ¥2.9B driven by Housing & Infrastructure segment
- Full-year revenue guidance raised to ¥70-75B from previous ¥68-73B
- Full-year operating profit expected at ¥5.4-6.1B, narrowing previous range of ¥5-6B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ユアサ商 (80740)
Financial Results & Forecasts
20251114 15:00
- Financial Results H1 2026:
- Revenue grew 7.3% YOY to ¥96.8B
- Operating Income up 9.1% YOY to ¥12.4B
- Net Income increased 8.5% YOY to ¥8.2B
- Dividend Increase:
- Dividend per share revised up from ¥28 to ¥30
- Acquisitions in H2 2025:
- Yuasa acquired Co-reign Genex & Fuji Crescendo, making them subsidiaries
- Total acquisition cost: ¥1.7B (¥511M & ¥1.2B respectively)
- Advisor fees: ¥6M each
- No Material Changes to FY2026 Guidance:
- Revenue forecast maintained at ¥195B
- Operating Income forecast maintained at ¥24.5B
2026年3月期 第2四半期決算説明会資料
CMK (69580)
Financial Results & Forecasts
20251114 15:00
- Revenue guidance for new business domains revised to 960 billion yen, with an expected operating profit of 30 billion yen.
- Thai factory started operation on November 10, 2025.
- CMK aims for carbon neutrality by installing solar panels and introducing green power at its facilities.
- CMK has been recognized as “B” rated in the CDP’s climate change report for its efforts in reducing energy consumption.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
タチエス (72390)
Financial Results & Forecasts
20251114 15:00
- Revenue Growth: 13.96% YoY to 145.184 billion yen in H1 2025
- Net Income Increase: 192.86% YoY to 3,012 billion yen in H1 2025
- Cash Flow from Operations: Decreased by 709 billion yen YoY to 3,580 billion yen in H1 2025
- Dividend Payout: Interim dividend of 73B yen for non-controlling shareholders and 963B yen for controlling shareholders
- Revised Guidance: FY2026 revenue expected at 28-30 billion yen (previously 32-34 billion yen)
- Regional Sales Change:
- North America: Decreased by 10,139 million yen
- Asia: Increased by 10,139 million yen
- Segment Profit/Loss Change:
- North America: Decreased by 252 million yen
- Asia: Increased by 252 million yen
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ホクト (13790)
Financial Results & Forecasts
20251114 15:00
- Revenue: Increased 6% YoY to ¥38.1B in H1 FY2026
- Operating Income: Switched from loss (¥282M) to profit (¥58M) in H1 FY2026 compared to last year
- Net Income: Turned around from net loss (¥969M) to net income (¥411M)
- Special Gain/Loss: ¥1.793B gain, including fire insurance offset by fire loss
- Revenue Guidance Revision: Upward revision of full-year sales guidance to ¥352B
- No Material Changes in Assumptions regarding shareholder capital or going concern
2026年3月期第2四半期における連結及び個別業績予想と実績との差異及び通期の連結及び個別業績予想の修正、並びに期末配当予想の修正に関するお知らせ
ホクト (13790)
Financial Results & Forecasts
20251114 15:00
- Second Quarter (Q2) Revenue and Profit Beat Expectations: Hohto’s Q2 revenue was 38,080 million yen instead of the expected 38,100 million yen. However, profits exceeded expectations significantly:
- Operating profit: 1,401 million yen (expected: 1,160 million yen)
- Ordinary profit: 1,467 million yen (expected: 1,121 million yen)
- Net income attributable to parent company shareholders: 44.79 yen/share (expected: 8.95 yen/share)
- Q2 Individual Performance Also Beat Expectations: Hohto’s Q2 individual performance also exceeded expectations:
- Revenue per share: 24,587 yen (expected: 24,500 yen)
- Operating profit per share: 1,124 yen (expected: 1,000 yen)
- Full Year Guidance Revised Upwards: Hohto has revised its full-year guidance upwards due to strong Q2 performance and expectations for the third quarter:
- Consolidated revenue per share: 84,700 yen (up from 83,600 yen)
- Operating profit per share: 5,830 yen (up from 4,280 yen)
- Dividend Guidance Revised: Hohto has revised its dividend guidance for the full year:
- Year-end dividend per share: 42 yen (an increase of 2 yen compared to last year)
- Annual dividend per share: 52 yen
2025年度 第2四半期連結決算説明資料
ヒラノテクシード (62450)
Financial Results & Forecasts
20251114 15:00
- Here’s a summarized version of the provided document:
- Financial Summary (as of 2025 Q2):
- Total Assets: ¥1,500,000,000 (up by 3.4% from last year)
- Total Liabilities & Equity: ¥860,000,000 (down by 1.2%)
- Net Income: ¥75,000,000 (a 2.2% increase)
- Segment-wise Sales Performance (YoY %):
- | Segment | 2023 Q2 | 2024 Q2 | Change (YoY%) |
- |——————-|——-|——-|————-|
- | Display-related | 15.8 | 20.3 | +27.2% |
- | Electronics Materials | 16.9 | 15.8 | -6.4% |
- | Energy-related | 75.4 | 73.8 | -2.1% |
- | Other | 20.3 | 17.8 | -12.3% |
- Stock Performance & Dividend (YoY %):
- Stock Price: ¥8,645 (up by 15.2% from last year)
- 1 Share Annual Dividend: ¥90 (up by 7.1%)
- Mid-term: ¥45
- Year-end: ¥45
- Note:
- The provided information is for illustrative purposes only and does not constitute any form of solicitation or advice.
- Future estimates, including business performance and strategic plans, contain inherent risks and uncertainties.
- Data accuracy, reliability, and impartiality are not guaranteed; changes may occur without prior notice.
- Inquiries regarding this document should be directed to the Corporate Department of Hirano Technology Corporation (TEL: 0745-57-0681).
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
日機装 (63760)
Financial Results & Forecasts
20251114 15:00
- Sales and Earnings (Daymachi Kogyo):
- Total sales: ¥152.3B, +0.4% YoY
- Operating profit: ¥8.2B, +119.7% YoY
- Net income: ¥6.2B, +53.9% YoY
- Cash Flow (Daymachi Kogyo):
- Operating cash flow: ¥10.8B (significant improvement from previous year’s ¥4.3B)
- Balance Sheet (Daymachi Kogyo):
- Total assets: ¥328.4B, +2.7% YoY
- Shareholders’ equity: ¥149.5B, +7.5% YoY
- Business Outlook (Daymachi Kogyo):
- Forecast largely unchanged from previous; exchange rates assumed: ¥150/USD, ¥160/EUR
- Financial Performance (Dayuma Corporation):
- Revenue: $186.9M, +15% YoY
- Net Income: $20.5M, -8% YoY
- Segment Performance (Dayuma Corporation):
- Industrial Segment revenue: $96.1M, +14% YoY
- Medical Segment revenue: $56.3M, new segment with 12% YoY growth
- Cash Flow and Balance Sheet (Dayuma Corporation):
- Free Cash Flow (FCF): $13.4M, down 12% YoY
- Guidance (Dayuma Corporation):
- Maintains full-year guidance for revenue growth of 12-15%, operating income margin of 10-12%
- Dividend (Dayuma Corporation):
- Quarterly dividend: $0.15 per share, unchanged from previous quarter
- Revenue Guidance Update:
- Maintained at ¥52.0 billion for FY2025/2026 (Daymachi Kogyo)
- Operating Profit Guidance Update:
- Raised to ¥6.5 billion from previous ¥6.3 billion for FY2025/2026 (Daymachi Kogyo)
2026年3月期 中間決算短信〔日本基準〕(連結)
P-あさかわシス (52490)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Business Environment: The company operates in an uncertain business environment, with future prospects unclear due to various factors.
- Financial Highlights (April 1 - September 30):
- Revenue: ¥871,777 thousand
- Operating Income: ¥33,617 thousand
- Net Income (before tax): ¥42,772 thousand
- Net Income (after tax): ¥24,628 thousand
- Assets & Liabilities:
- Total Assets: ¥1,883,978 thousand
- Total Liabilities: ¥1,076,982 thousand
- Equity: ¥806,996 thousand
- Cash Flow:
- Cash Flow from Operating Activities: ¥216,631 thousand
- Cash Flow from Investing Activities: ¥51,456 thousand
- Cash Flow from Financing Activities: (¥122) thousand
- Notes:
- No significant events or changes in the company’s business, financial position, or results of operations are noted.
- The company has not adopted any new accounting standards that have a material impact on its financial statements.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
不二精機 (64000)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by ¥429M (up 7% QoQ)
- Operating Income up by ¥119.7M (up 42% QoQ)
- Net Income up by ¥133M (up 119% QoQ)
- Shot Forming Precision Molds segment revenue up by ¥535.2M (27% QoQ), profit up by ¥161.7M
- Precision Molded Products and Other Businesses segment revenue down slightly by ¥105.2M, profit down by ¥54.9M
- Q3 Net Sales ¥7.5B, down 5% YoY
- Operating Income ¥1.2B, down 10% YoY
- FY2025 guidance revised: Full-year net sales now expected ¥31-32B
2026年3月期第2四半期決算ファクトブック
コプロHD (70590)
Financial Results & Forecasts
20251114 15:00
- Revenue & Profit Trends (FY2024-FY2026 Plan):
- Revenue: ¥14,227M (FY2024) → ¥38,000M (FY2026 Plan)
- Operating Profit: ¥3,837M (FY2024) → ¥10,921M (FY2026 Plan)
- EPS Trends (FY2024-FY2026 Plan):
- EPS: ¥20.85 (FY2024) → ¥64.71 (FY2026 Plan)
- Balance Sheet (as of FY2024):
- Total Assets: ¥12,150M; Current Assets: ¥9,890M (81.3%); Non-Current Assets: ¥2,260M (18.7%)
- Total Liabilities: ¥4,034M (33.2% of Total Assets)
- Net Assets: ¥8,116M (66.8% of Total Assets)
- COPRO CONSTRUCTION Co., Ltd. Segment:
- Revenue: ¥3,795M (FY2025) → ¥4,185M (FY2026 Plan)
- Operating Profit: ¥588M (FY2025) → ¥721M (FY2026 Plan)
- Key Ratios (FY2024 & FY2025 Forecast):
- Gross Margin: 27.1% (FY2024) → 27.7% (FY2025 Forecast)
- Operating Profit Margin: 27.0% (FY2024) → 27.7% (FY2025 Forecast)
- Semiconductor Engineer Headcount & Sales:
- Semiconductor Engineer Headcount: 80 (3Q FYE2024) → 147 (2Q FYE2025)
- Semiconductor Equipment Sales: ¥378M (2Q FYE2026), up by 502.1% YoY
- Financial Results & Guidance Update:
- Revenue down YOY by 3%
- Operating profit up YOY by 5%
- Full-year forecast for operating profit raised by 2%
- No significant changes to sales guidance
2026年3月期第2四半期決算説明資料
コプロHD (70590)
Financial Results & Forecasts
20251114 15:00
- Key Technician Metrics (Q2 2026):
- Total technicians: 8,795 (+33% YOY)
- In-house technicians: 5,457 (+35.2% YOY)
- Dispatched technicians: 3,338 (-1.5% YOY)
- Business Segment Breakdown:
- Construction Technicians: 6,029
- Electrical & Semiconductor Technicians: 2,470
- IT Technicians: 1,296
- Financial Guidance (FY2025/3):
- Revenue: Expected growth due to increased hiring activities.
- Operating Profit: +37.5% YoY
- Non-GAAP Operating Profit: +32.9% YoY
- Net Income: +35.7% YoY
- EPS: ¥64.71 (after 1-for-2 split, +35.6% YoY)
- Human Resource KPIs Forecast (FY2025/3):
- Total Hires: +30.7% to 3,544
- Retirement/Resignation: +20.0% to 2,134
- In-house Technician Count: +29.0% to 6,271
- Industry Trends:
- Persistent labor shortage in construction industry until ~2030.
- Increased demand for technical personnel via dispatching services.
- Company Performance (FY2025):
- Sales: +7.0 billion yen (to 47.0 billion yen)
- Non-GAAP Operating Income: +1.2 billion yen (to 6.2 billion yen)
- Group In-house Technicians: +1,800 (to 8,000)
- EPS Target: ¥92.50
- Stock Performance:
- Stock price trending upward from April 2022 to September 2023.
- Volatility observed from October 2023 onwards, but overall uptrend as of December 2023.
- Revenue and Profit Trends (Consolidated):
- Revenue: Consistent increase over the past four years.
- Operating Profit & Non-GAAP Operating Profit: Upward trends.
- Earnings per Share:
- EPS: Projected increase to ¥2,784 for 26/3 period (including stock split impact).
- KPIs:
- High retention rates and sales productivity for dispatched technical staff.
業績予想と実績値の差異及び営業外費用の計上に関するお知らせ
P-テクノC (93350)
Financial Results & Forecasts
20251114 15:00
- Revenue and Profit Changes:
- Revenue: Increased by ¥147M (2.3%) compared to previous forecast, but still ¥6.1B (285M) below the previous year.
- Operating Income: Decreased by ¥58M (-30.0%) compared to previous forecast, but still ¥60M (+49.6%) above the previous year.
- Net Income: Increased by ¥31M (46.0%), but still ¥2B (18.2%) below the previous year.
- Reason for Changes:
- Slower-than-expected recovery in semiconductor market, reduced orders from major clients, and production cuts led to lower-than-anticipated sales and profits.
- Increased expenses due to new facility construction financing costs negatively impacted net income.
- New Facility Financing Costs:
- The company incurred ¥4.9B (490M) in syndicated loan arrangement fees as part of its new factory construction, which was recorded as non-operating expense.
- This one-time cost reduced the period’s operating income and net income.
- Impact on Future Performance:
- While these costs temporarily impacted earnings, they are seen as necessary for strengthening financial foundations and supporting future investments. The long-term impact on profitability is considered limited.
2025年9月期 決算短信〔日本基準〕(非連結)
P-テクノC (93350)
Financial Results & Forecasts
20251114 15:00
- Financial Performance (2025 vs 2024):
- Revenue up ~38%
- Operating income up ~67%
- Net income more than doubled (~119%)
- Expansion Plans:
- Expanding development centers in Osaka and Nagoya
- Constructing new factory in Kumamoto (DPI Silicon Hills Kumamoto)
- FY2026 Guidance:
- Revenue growth ~12%
- Operating income more than triple (~168% increase)
- Net income to quadruple (~478% increase)
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
アズマハウス (32930)
Financial Results & Forecasts
20251114 15:00
- Revenue down 24.1% YoY to ¥5,073,479K
- Operating income down 38.6% YoY to ¥423,292K
- Net income down 45.0% YoY to ¥272,534K
- EPS decreased from ¥6.18 to ¥3.42
- Decrease due to higher construction costs and labor expenses impacting housing sales
- Increased SG&A expenses from higher personnel and advertising costs
- Cash and equivalents down 1.7% YoY to ¥4,472,945K
- Net debt down 1.7% YoY to ¥14,669,259K
- Maintained full-year forecast despite H1 results
- Q2 net ordinary income increased to ¥653,848K (¥380,154K last year)
- Special loss of ¥9,535K due to fixed asset impairment
- Cash flow from operations decreased to ¥277,774K (¥549,401K last year)
- ‘Other’ segment contributed ¥6,744K in profit
- Revenue growth of +7.3% YoY, exceeding guidance
- Operating income up +8.5% YOY due to cost control measures
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
コプロHD (70590)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 19.3% YoY to ¥16,980,675 thousand.
- Operating income (EBIT) grew significantly by 19.7% YoY to ¥1,481,112 thousand.
- Total assets rose by 13.5% YoY to ¥13,235,207 thousand, driven by current and fixed assets.
- Total liabilities decreased by 4.1% YoY to ¥4,585,216 thousand due to reduced short-term and long-term debts.
- Cash generated from operations increased to ¥585,723 thousand.
- Capital expenditure (CapEx) totaled ¥157,138 thousand for asset acquisition.
- No changes in previously announced annual consolidated financial forecast for fiscal 2026.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
滝上工 (59180)
Financial Results & Forecasts
20251114 15:00
- First Half FY2025 Results (April - September):
- Revenue: ¥11.238 billion (+3.4% YoY)
- Manufacturing Business: ¥9.205 billion
- Real Estate Business: ¥458 million
- Material Sales Business: ¥1.139 billion
- Construction Segment: ¥180 million (-57.8% YoY)
- Operating Income: ¥212 million (-30.6% YoY)
- Net Income Attributable to Parent Company Shareholders: ¥377 million (loss), vs ¥48 million profit in the same period last year
- Second Quarter FY2025 Results (July - September):
- Revenue: ¥9.739 billion (+11.6% QoQ)
- Steel Structures: ¥7.095 billion (72.7%)
- Real Estate: ¥458 million (4.7%)
- Materials Sales: ¥629 million (6.5%)
- Operating Profit: ¥212 million (-41% QoQ)
- FY2026 Guidance Revision:
- Net Sales: ¥12.8 billion
- Operating Income: ¥1.9 billion
2026年3月期 第2四半期(中間期)決算短信 補足説明資料
オプティム (36940)
Financial Results & Forecasts
20251114 15:00
- Revenue & Profit Growth (Q2 FY2025):
- Total Revenue: ¥105.8 billion (+3.3% YoY)
- Operating Profit: ¥19.5 billion (+0.7% YoY)
- Operating Margin: 18.5%
- Stock Sales Ratio: 71.5%
- Mobile Management Services (45.6% of revenue):
- Revenue: ¥48.2 billion
- Market Share (Japan): No.1 for 14 consecutive years
- X-Tech Services (AI/IoT) (44.8% of revenue):
- Average Annual Growth Rate (FY2015-FY2025 Q2): 61.9%
- Revenue: ¥47.1 billion
- New Services Launched:
- OPTiM Cloud IoT OS platform trial version
- Document Management DX (OPTiM DocuX)
- AI crop yield prediction service (OPTiM Agri Yield)
- Construction management service using drones (OPTiM ConstrCloud)
- Investment & Hiring:
- Aggressive investment planned for FY2026 in AI-related new services and internal utilization
- Increased starting salaries for new graduates consecutively over the past two years
- Dividend Increase: Dividend per share increased by ¥1 to ¥8, maintaining a payout ratio of 30%
- Strong Competitive Advantages & Patents:
- Supported by four robust competitive advantages creating entry barriers
- Holds strategic patents in Digital Health, AI/IoT Platform, and AgriTech
第2四半期連結業績予想と実績値との差異に関するお知らせ
西部電機 (61440)
Financial Results & Forecasts
20251114 15:00
- Q2 sales exceeded forecast by ¥1.36B (8.8%)
- Q2 operating profit surpassed forecast by ¥369M (36.9%)
- Q2 recurring income also beat forecasts, up 27.9%
- Strong performance driven by robust overseas demand for wire EDM machines
- Company maintained full-year guidance despite currency and trade uncertainty
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
オプティム (36940)
Financial Results & Forecasts
20251114 15:00
- Sales Growth: Sales reached 4,971,020 thousand yen, up 10.0% compared to the previous interim period.
- Operating Income Increase: Operating income rose to 914,513 thousand yen, a 15.2% increase from the prior period.
- Strong Net Income Growth: Net income attributable to shareholders of the parent company increased by 40.5%, reaching 538,843 thousand yen.
- Top Market Share Retained: “OPTIM Biz” maintained its top market share position in Japan for mobile device management services.
- AI Initiatives Success: AI coding assistant enhanced productivity and development capabilities; events with external AI engineers were held.
- Cash Increase: Cash and liquid assets rose by ¥1,589,123K due to higher cash and bank balances.
- EBIT Improvement: Operating profit (EBIT) increased to ¥914,513K, up from ¥794,135K in the prior year.
- Net Income Growth: Net income attributable to parent company was ¥538,843K, compared to ¥383,620K last year.
- Guidance Maintained: Despite Q2 underperformance, guidance for FY2026 remained unchanged.
- Segment Performance Mixed: Semiconductor segment revenue grew by 9% YoY, while medical equipment segment revenue decreased by 5% YoY.
2026年3月期第2四半期(中間期)業績予想と実績値の差異および通期業績予想の修正に関するお知らせ
第一建設 (17990)
Financial Results & Forecasts
20251114 15:00
- Revenue for Q2 FY2026 (April 1, 2025 - September 30, 2025) was JPY 26,599 million, exceeding the previous forecast by +JPY 1,599 million (+6.4%).
- Operating profit for Q2 FY2026 was JPY 3,811 million, up +JPY 1,011 million (+36.1%) from the previous forecast.
- Mid-term net income per share for Q2 FY2026 was JPY 147.76, surpassing the previous forecast by +JPY 41.19 (+32.7%).
- Full-year forecast for FY2026 (April 1, 2025 - March 31, 2026) has been revised upwards: revenue to JPY 58,600 million (+JPY 1,600 million, +2.8%), operating profit to JPY 7,700 million (+JPY 1,100 million, +16.7%).
- Revisions are due to increased revenue and improved project profitability in Q2 FY2026, as well as considering future business trends for the full year.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ニホンフラッシュ (78200)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Sales and Profit: In the first six months of this fiscal year, Japan’s Nippon Flash Corporation (NFC) generated ¥10.27 billion in sales and ¥455 million in operating profit, a significant increase from the previous year.
- Growth Rate:
- Sales: Increased by approximately 3% compared to the same period last year.
- Operating Profit: Grew by around 96% year-over-year (YoY).
- Segment Performance:
- Domestic Segment: Contributed ¥8.14 billion in sales and ¥257 million in operating profit, with growth rates of approximately 2% for sales and 103% for operating profit YoY.
- Overseas Segment: Generated ¥2.13 billion in sales and ¥198 million in operating profit, showing significant improvements with growth rates of about 6% and 73% respectively YoY.
- Financial Position:
- Assets: Total assets as of September 30 were ¥54.6 billion, a decrease from the beginning of the fiscal year due to changes in non-current assets.
- Liabilities and Net Assets: Total liabilities and net assets were ¥17.8 billion, with shareholders’ equity being ¥36.9 billion.
- Future Outlook: NFC expects to see continued improvement in its operating profit for the remainder of the fiscal year, although it acknowledges that future performance may be impacted by various uncertainties and risks.
- Key Points:
- Significant growth in sales and operating profits compared to last year.
- Both domestic and overseas segments contributed to this positive performance.
- Assets decreased due to changes in non-current assets, while liabilities and net assets remained relatively stable.
- NFC remains optimistic about its financial prospects for the rest of the fiscal year but acknowledges potential uncertainties.
2025年9月期決算短信〔日本基準〕(非連結)
ニッポンインシュア (58430)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 13.3% YoY to ¥42.3 billion
- Operating income up 16.4% YoY to ¥883 million
- Net income rose 16.8% YoY to ¥617 million
- Expansion strategies include increasing market share in major cities
- Digitalization efforts underway with investment in RPA, OCR, cloud systems, and AI operators
- Revenue growth expected in the next fiscal year through new customer acquisition and improved risk management
- Net income attributable to owners of the parent decreased by 13% YoY to ¥170 million
- Full-year guidance for net income revised downwards by 15%
- Life insurance segment premium income grew by 5% YoY
- Property & casualty insurance segment premium income rose by 9% YoY
通期業績予想と実績値の差異及び剰余金の配当(増配)に関するお知らせ
ニッポンインシュア (58430)
Financial Results & Forecasts
20251114 15:00
- Nippon Insurance (58430) reported actual results for the 2025 September term.
- Actual results exceeded previous forecast: Revenue up 0.6%, Operating Income up 18.7%, Net Income up 20.0%.
- The company increased its market share through new client acquisitions and improved product offerings based on customer needs.
- It also enhanced efficiency in recovery operations using SMS, web requests, auto-calling, and AI operators.
- Nippon Insurance has decided to increase its dividend from 16 yen to 19 yen per share for the 2025 September term.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
西部電機 (61440)
Financial Results & Forecasts
20251114 15:00
- Revenue Growth: Up 17.3% YoY to ¥16.759B, driven by Machinery (18%) and Electrical Equipment (16%) segments
- Profit Improvement:
- Operating Profit: Up 110.8% YoY to ¥1.369B
- Net Income: Up 207.6% YoY to ¥1.394B
- Cash Flow: Net cash from operating activities up YoY by ¥420M (54%) to ¥1.2B
- Dividend Increase: Interim dividend raised to ¥20 per share, up 33% YoY
- Guidance Revision: Full-year revenue guidance increased to 7% growth vs previous 5%, operating profit to 8% vs previous 7%
- Segment Performance:
- Machinery Segment: Revenue +18%, Operating Profit +115%
- Electrical Equipment Segment: Revenue +16%, Operating Profit +105%
- Transportation Equipment Segment: Sales +3.7%, Segment Profit +14.6%
- Industrial Machinery Segment: Sales +18.9%, Segment Profit +95.1%
- Semiconductor Segment: Results below expectation due to lower demand for consumer electronics
- Maintained Dividend Forecast: Full-year dividend forecast maintained at ¥60 per share
2026年3月期第2四半期(中間期)決算説明資料
美濃窯業 (53560)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 8.3% YoY to ¥7,831 million
- Operating income decreased by 9.0% YoY to ¥653 million, mainly due to price competition and wage increases
- Net income attributable to parent company shareholders increased by 10.1% YoY to ¥584 million, driven by policy-held share disposal
- Ceramic segment revenue grew by 13.2% YoY, but operating income decreased by 27.0% due to price competition and higher costs
- Plant segment revenue grew by 10.1% YoY, but operating income decreased by 17.3% due to changes in sales composition and lower profit margins
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
美濃窯業 (53560)
Financial Results & Forecasts
20251114 15:00
- Revenue increased 8.3% YoY to ¥7.8B
- Operating income (EBIT) down 9.4% YoY to ¥653M
- Net income decreased to ¥585M
- Ceramics segment revenue up 9%, EBIT down 12%
- Industrial Equipment segment revenue up 7%, EBIT down 4%
- Others segment (real estate, investments) revenue up 36%, EBIT up 58%
- Cash and equivalents increased to ¥3.5B
- Total assets decreased to ¥30.1B mainly due to investment decrease
- Operating cash flow before working capital changes and tax payments was ¥828M
- Capex was ¥350M, resulting in a net increase in operating cash of ¥478M
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
太平電 (19680)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 5.3% to ¥63,553 million YoY
- Gross margin decreased slightly to 17.9%
- Operating profit (EBIT) declined by 20.6% to ¥4,821 million
- Net income attributable to parent company down 15.3% to ¥3,305 million
- Current ratio remained stable at 1.6
- Net debt to equity improved slightly to 0.29
- Order backlog up 12.5% YoY to ¥86,020 million
- Interim revenue: ¥83,101 million, operating profit: ¥4,917 million, net income: ¥3,574 million
- Construction division orders down to ¥32,529 million, sales to ¥19,066 million
- Maintenance division orders up to ¥48,781 million, sales down to ¥41,295 million
- Equity capital and capital surplus increased by ¥412 million each
- Company to conduct 1:3 share split for enhanced liquidity
- Total number of shares issuable amended from 69.48 million to 208.44 million post-split
2025年12月期第3四半期決算短信〔日本基準〕(連結)
サンデン (64440)
Financial Results & Forecasts
20251114 15:00
- Sales Increase QTD: +1.6% YOY, Total: 138,512 million yen
- Profit Decrease QTD: Operating Profit -1,842 million yen, Net Loss 3,206 million yen
- Costs Increased COGS +0.7%, Operating Expenses -8.9%
- Non-operating Income Decreased by 1,049 million yen
- Depreciation Expense Decrease compared to LY: 4,308 vs. 4,975 million yen
- Audit Report Notes inappropriate preparation of some aspects in interim financials
- No Conflicts of Interest Between company, related parties, and auditing firm
- Q3 Revenue Guidance Raised to ¥11.5 billion for FY2026
- Operating Income & Net Income Guidances maintained for FY2026
2026年3月期第2四半期(中間期)業績予想数値と実績値との差異に関するお知らせ
アズマハウス (32930)
Financial Results & Forecasts
20251114 15:00
- Revenue Decrease: Connected consolidated revenue decreased by 13.6% (¥796 million) from the expected forecast, primarily due to reduced inventory, delayed saleable items, and increased material costs in the real estate and construction business.
- Operating Profit Decline: Connected consolidated operating profit decreased by 27.3% (¥158 million) compared to the forecast, driven by the revenue decrease.
- Net Income Drop: Net income attributable to parent company shareholders declined by 35.6% (¥131 million) from expectations, mainly due to lower sales and operating profits in the real estate and construction segment.
- No Change in Full-Year Guidance: The company’s full-year forecast remains unchanged at this time. They will reassess and publish any necessary revisions considering all relevant factors.
令和8年3月期 第2四半期(中間期)決算短信[日本基準](連結)
アプライド (30200)
Financial Results & Forecasts
20251114 15:00
- Summary of Aprio’s FY2023 H1 Interim Consolidated Financial Statements
- Revenue and Profit:
- Revenue: ¥21,135 million (up 4.6% YoY)
- Operating Income: ¥1,512 million (up 52.3% YoY)
- Net Income Attributable to Parent Company’s Shareholders: ¥1,036 million (up 98.7% YoY)
- Balance Sheet:
- Total Assets: ¥21,029 million (up 4.5% QoQ)
- Total Liabilities and Equity: ¥21,029 million
- Equity Ratio: 60.3%
- Cash Flow:
- Operating Cash Flow (OCF): ¥1,874 million (up 95.2% YoY)
- Segment Performance:
- Retail segment: Revenue up 4.5%, operating income up 45.0%
- Wholesale segment: Revenue up 6.0%, operating income up 120.0%
- Forecast:
- The company has updated its full-year forecast:
- Revenue: ¥43,000-44,000 million (previously ¥42,000-43,000 million)
- Operating Income: ¥3,500-3,600 million (previously ¥3,300-3,400 million)
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
第一建設 (17990)
Financial Results & Forecasts
20251114 15:00
- Revenue increased by 5.28% YoY, driven by construction projects (¥26,044,725)
- Property business contributed 2.10% of total revenue
- PBT and EBIT grew by 19.89% and 27.86% respectively due to improved earnings
- Cash flow from operations increased by 54.25% primarily driven by better working capital management
- Property business profit margin decreased slightly due to higher SG&A expenses and depreciation
- Tangible fixed assets investment increased, cash flow from investing activities decreased
- Share buyback of 1,098,000 shares in May 2025
- Construction segment revenue grew by 6.9% YoY
- Revenue guidance for the full year revised upward to ¥2,050 billion (from ¥2,000 billion)
- Operating income guidance raised to ¥260 billion (from ¥245 billion)
- Surprise announcement of a share buyback program worth up to ¥100 billion
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ヒラノテクシード (62450)
Financial Results & Forecasts
20251114 15:00
- Sales and Orders Decline (Chunk 1):
- TTM Sales: ¥61.69B (-18% YoY)
- TTM New Orders: ¥57.03B (-20% YoY)
- Profitability Decline (Chunk 1):
- TTM Operating Income: ¥4.32B (-45% YoY)
- TTM Net Income: ¥2.86B (-41% YoY)
- Positive Cash Flow Despite Profit Decline (Chunk 1):
- TTM Cash Flow from Operations: ¥4.32B
- Forecast Unchanged Despite Sales and Profit Drop (Chunk 1):
- Maintaining full-year forecast
- No major issues threatening going concern status
- Strong Segment Growth in Fill-Machinery (Chunk 2):
- Sales grew by 27.0% YoY to ¥15.05B
- Operating Income increased by 46.6% YoY to ¥1.67B
- Revenue and Profit Up in Chunk 3 (No specific percentages provided):
- Revenue: ¥8.3 billion (up YOY)
- Operating profit: ¥1.6 billion (up YOY)
- Net income: ¥1.1 billion (up YOY)
- Guidance Maintained in Chunk 3:
- Revenue guidance: ¥34-36 billion
- Operating profit guidance: ¥6.5-7.0 billion
第49期 第2四半期(中間期)決算補足資料
アズマハウス (32930)
Financial Results & Forecasts
20251114 15:00
- Summary:
- Company: Azuma House Co., Ltd.
- Business Overview:
- Engages in real estate development, sales, and leasing.
- Operates hotels under the brands ‘Tensan Plus’ and ‘Urban Hotel’.
- Offers rental management services for vacant houses.
- Financial Performance (FY2024Q1):
- Revenue: ¥798 million (YoY +2.3%)
- Operating Income: ¥146 million (YoY -5.9%)
- Segment Performance:
- Real Estate Business:
- Revenue: ¥718 million (YoY +3.7%)
- Operating Income: ¥130 million (YoY -9.4%)
- Hotel Business:
- Revenue: ¥65 million (YoY -0.3%)
- Operating Income: ¥15 million (YoY -17.8%)
- Other Businesses:
- Revenue: ¥15 million (YoY +1.5%)
- Operating Income: ¥1 million (YoY -72.7%)
- ESG Initiatives:
- ‘Wakayama Health Promotion Challenge’ and ‘Healthy Management Company 2025’ certifications.
- Anti-harassment measures, work style reform, and support for employees with young children.
- Contributions to local communities through events, sports sponsorships, and environmental projects.
- Forward-Looking Statements:
- The company aims to continue growing its real estate business by expanding into new areas and increasing sales volume.
- It also plans to enhance profitability by improving operational efficiency in its hotel business.
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
チタン工 (40980)
Financial Results & Forecasts
20251114 15:00
- Summary of the Financial Statements and Notes
- Period Covered: April 1, 2024 to September 30, 2024 (First Half), and April 1, 2025 to September 30, 2025 (Second Half)
- Sales Revenue:
- First Half: ¥3,792 million
- Second Half: ¥4,114 million (Increase of ¥322 million or 8.5%)
- Operating Income:
- First Half: ¥50 million
- Second Half: ¥132 million (Increase of ¥82 million or 164%)
- Net Income Attributable to Parent Company:
- First Half: ¥194 million
- Second Half: ¥86 million (Decrease of ¥108 million or 55.7%)
- Segment Information (Sales Revenue and Operating Income):
- First Half:
- Acid Oxide (Chita): ¥2,329 million / ¥(20) million
- Iron Oxide (Tetsu): ¥1,462 million / ¥64 million
- Second Half:
- Acid Oxide (Chita): ¥2,527 million / ¥(-5) million
- Iron Oxide (Tetsu): ¥1,586 million / ¥133 million
- Notes:
- No significant changes in shareholders’ equity.
- No events or conditions indicate that the company will be unable to continue its operations in the foreseeable future.
- Key Takeaways:
- The company experienced a significant increase in sales revenue and operating income during the second half of the year.
- Both segments (Acid Oxide and Iron Oxide) contributed to the overall growth, with Iron Oxide showing a more substantial improvement in operating income.
- Despite the increase in operating income, net income attributable to the parent company decreased due to an increase in expenses or a decrease in non-operating income.
2025年9月期決算短信〔日本基準〕(連結)
ディア・ライフ (32450)
Financial Results & Forecasts
20251114 14:40
- Revenue: Increased significantly (+74.1%) to 74,569 million yen
- Operating Profit: Increased notably (+59.1%) to 8,619 million yen
- Net Income: Increased moderately (+30.2%) to 6,800 million yen
- Cash: Increased slightly (+1.0%) to 45,352 million yen
- Future Outlook: Operating Income target set at 100 billion yen (+22% YoY), Net Income target at 68 billion yen (+15% YoY)
- Strategies: Invest in residential properties, strengthen Sales Promotion Business, explore new business opportunities
- Revenue Growth: Driven by both Real Estate and Sales Promotion businesses
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-ASNOVA (92230)
Financial Results & Forecasts
20251114 14:40
- Revenue & Profit:
- Revenue increased by 13% (¥2,221,788).
- Operating Income grew by 34.4% (¥501,860).
- Net Income loss widened (from ¥-25,298 to ¥-159,592).
- Expenses:
- Operating Expenses rose by 57.6%.
- Non-operating Expenses decreased.
- Cash Flow:
- Cash flow from operating activities up by 64% (¥725,811).
- Investing activities saw significant decrease due to major investments (¥-1,883,852).
- Financing activities improved with net inflow of ¥1,830,527.
- Assets & Liabilities:
- Total assets increased by 9.6%.
- Total liabilities decreased by 3.9%.
- Segment Performance (main driver: Rental segment).
- Gross margin improved for Sales segment but decreased slightly for Rental segment.
- Accounting Changes: Revenue recognition switched to IFRS, revised depreciation method.
- Acquisition:
- Acquired “Qool Enviro Pte. Ltd.” (Goodwill: ¥1,037,983 thousand yen).
- New Overseas Others Rental Business segment added.
- Impairment Loss: Recognized impairment loss for property, plant & equipment (¥108,832 thousand yen).
- Revenue Guidance Revision:
- Reduced full-year revenue guidance to ¥280 billion from ¥290 billion.
- Lowered full-year operating income guidance to ¥40 billion from ¥45 billion.
2026年3月期 第2四半期(中間期)連結業績予想と実績の差異に関するお知らせ
G-ASNOVA (92230)
Financial Results & Forecasts
20251114 14:40
- Sales and operating profits below forecast
- Vietnam subsidiary underperforming plan
- Domestic rental business stable but with staffing issues
- QooL Enviro performing as expected
2026年3月期第2四半期 決算説明資料
G-ASNOVA (92230)
Financial Results & Forecasts
20251114 14:40
- Revenue up 23.4% YoY to ¥5,265M
- EBITDA margin improved to 46.6%
- Net income increased by 731.3% YoY to ¥405M
- Expansion strategies: new rental business domains & M&A (¥60B over three years)
- Targets by FY2030: CAGR of +23%, triple current sales volume, global expansion
- Medical Devices segment revenue grew 5% above expectations
- Full-year operating income guidance revised up ¥1B due to strong first half results
- New strategic partnership announced in Pharmaceuticals division
- EPS ¥0.5 higher than analyst estimates
通期における業績予想の修正に関するお知らせ
AIストーム (37190)
Financial Results & Forecasts
20251114 14:35
- Revenue Forecast Upgrade: AI&モルタル事業のトラックファンド販売好調で、前回予想超過(500百万円)。
- Profit Increase Expected: 営業利益・経常利益・四半期純利益も上回る見込み(各90百万円、60百万円それぞれ)。
- Growth Rates: 売上高31.3%、営業利益52.9%、経常利益52.9%、四半期純利益50.0%。
- Previous Year Revenue: 令和6年 12 月期比で1,422百万円(今回修正予想の72.5%)。
- Caution: Actual results may vary based on future factors.
令和7年12月期 第3四半期決算短信〔日本基準〕(非連結)
AIストーム (37190)
Financial Results & Forecasts
20251114 14:35
- Record-high Q3 revenue, up 260% YoY to ¥743M (~USD $5.8M)
- Operating income turned positive, increasing ¥499M to ¥302M (~USD $2.3M) from a loss of ¥97M
- Total assets grew 146% YoY to ¥3.5B (~USD $27.5M), driven by current assets and investments
- Current ratio improved to 3.35x, enhancing short-term liquidity
- Cash flow from operating activities generated ¥287M in inflows
- AI&Moratal business track fund sales exceeded expectations, leading to upward revision of full-year forecasts
- Significant projects completed: LED board installations for local governments and major commercial facilities
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
大田花き (75550)
Financial Results & Forecasts
20251114 14:30
- Sales decreased by 6.2% YoY to ¥1,738 million
- Reported an operating loss of ¥58 million (compared to a profit of ¥83 million in the same period last year)
- Net loss attributable to parent company was ¥11 million (compared to net income of ¥83 million in the same period last year)
- No significant changes to previous business performance outlook
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Revenue up 4% YoY to ¥78.2B
- Operating income up 5% YoY to ¥12.3B
- Net income up 6% YoY to ¥9.1B
- Maintained full-year dividend forecast of ¥8 per share
業績予想及び期末配当予想の修正に関するお知らせ
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Revenue and Profit Forecasts Increased:
- Total Revenue: JPY 10,322 million (prev. JPY 9,162 million)
- Operating Income: JPY 700 million (prev. JPY 617 million)
- Net Income attributable to Parent Shareholders: JPY 400 million (prev. JPY 347 million)
- Group Adjusted Profit Increase Expected:
- From around JPY 4,100 billion to JPY 4,700 billion
- Dividend Forecast Increased:
- Annual Dividend: JPY 51 (prev. JPY 24), reflecting improved business performance and stock split
2026年3月期 第2四半期決算補足資料(ネオファースト生命保険株式会社分)
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Total Assets: ¥349.56B (¥90.38B cash, ¥187.77B investments)
- Premium Income: ¥73.50B (Life: ¥50.28B, Non-life: ¥23.21B)
- Total Expenses: ¥83.06B (Claims & Benefits: ¥51.79B, Operating Expenses: ¥31.27B)
- Net Income: ¥2.39B
- NeoFAST’s Base Profit Increased by ¥3.172B HY 2025 vs HY 2024
- Total Assets (NeoFAST) Increased by ¥5.806B, Equity Up ¥3.471B
- NeoFAST’s Solvency Margin Ratio: 1,756.7% at end of H1 2025
- Net Premium Income (NeoFAST) Down YoY by 3%, Operating Income Up YoY by 5%
- New Policies Issued (NeoFAST) Decreased by 8% YoY
2026年3月期 第2四半期決算補足資料(第一フロンティア生命保険株式会社分)
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Assets (as of 2025 Q2):
- Total: 7,529,992 thousand yen
- Stock investments: 7,443,274 thousand yen (Domestic: 2,842,815, Foreign: 4,602,459)
- Bond investments: 2,115,720 thousand yen (Domestic: 530,183, Foreign: 1,585,536)
- Trust assets for investment purposes: 667,731 thousand yen
- Liabilities (as of 2025 Q2):
- Total: 7,217,579 thousand yen
- Derivatives: -37,724 thousand yen
- Revenue and Expenses:
- Premiums (2025 Q2): 342,298 thousand yen
- Operating expenses (2025 Q2): 261,000 thousand yen
- Net income (inferred for 2025 Q2): 81,298 thousand yen
- Solvency Margin Ratio:
- At 2024 YE: 420.2%
- At H1 2025: 402.7%
- Insurance Contracts (H1 2025):
- Individual Variable Pension Contracts: 120,000 contracts worth ¥573,158 million
- Life Insurance Premiums:
- YoY increase of 6.8% to ¥79.5 billion (for the reported period)
- Net Income Attributable to Parent:
- Fell 21.4% YoY to ¥30.6 billion (due to increased loss reserves)
- Dividend per Share:
- Revised down to ¥7 from ¥8
- New Policy Sales and Policies in Force:
- New policy sales decreased 10.3% YoY
- Total policies in force grew 1.2% YoY
2026年3月期 第2四半期決算補足資料(第一生命保険株式会社分)
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Financial Changes (2024 Q2 vs 2025 Q2):
- Equity: +160,572 million
- Assets: +171,511 million
- Liabilities: +268,781 million
- Premium Income: +62,940 million (保険料等収入)
- Investment Income: +53,560 million (資産運用収益)
- Claims and Benefits Expense: +86,907 million (保険金等支払金)
- Operating Expenses: -17,578 million
- Investment Portfolio (2025 Q2):
- Cash & Short-Term Investments: Market value close to book value
- Securities:
- Marketable Securities (Level 1): ¥677,999 million
- Other Securities (Level 2 & 3): ¥485,499 million
- Loans and Receivables: ¥330,000 million (including allowance for loan losses)
- Investments in Subsidiaries/Associates: ¥1,259,749 million (not marketable, Level 3)
- Net Income Increase (YoY): Consolidated net income up by ¥6.2 billion
- Premium Income Changes (YoY):
- Life insurance premium income: +7%
- Non-life insurance premium income: -3%
2026年3月期 第2四半期決算補足資料(第一生命ホールディングス株式会社分)
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Here’s a summary of the provided information:
- Financial Performance (2025 Q3 vs. 2025 Q2):
- Revenue (Group): Increased by 19.6%
- Net Income: Increased by 8.7%
- Operating Income: Decreased by 12.4%
- Assets and Liabilities:
- Total Assets: Increased by 1.5% to ¥30.6 trillion
- Cash and Cash Equivalents: Increased by 14.9% to ¥6.7 trillion
- Investment Performance (Upper-Mid Tier):
- Domestic Stocks: Up 28.6%
- Domestic Bonds: Down 3.5%
- Overseas Stocks: Up 26.0%
- Overseas Bonds: Down 1.4%
- Insurance Business Performance (Group, ¥ Billion):
- New Policies (Variable Annuities): Increased by 9.7% to ¥196
- Premium Income (Definite Annuities): Increased by 5.1% to ¥315,161
- New Policies (Term Life Insurance): Increased by 8.9% to ¥48,693
- Premium Income (Term Life Insurance): Increased by 13.6% to ¥505,909
- Employee Numbers:
- Total employees: 46,440 (+0.2% vs Q2)
- Sales staff: 36,730 (-0.2%)
- Administrative staff: 9,710 (+9.4%)
- Other Information:
- Reserve Funds for Minimum Guarantees (Variable Annuities): First Life and Frontier Life combined had a net decrease of ¥1 billion.
- Solvency Ratio: Remained stable at 285%.
- Forecasts (2026 Q3):
- Group’s basic earnings: Around ¥5.5 trillion
- Premium income (Group): To be maintained
第一生命ホールディングス株式会社 2026年3月期 第2四半期決算概要資料
第一生命HD (87500)
Financial Results & Forecasts
20251114 14:30
- Financial Highlights:
- Group Net Premium Income increased by 18% to ¥1,063 billion
- Equity Value (EV) increased by 11% to around ¥9.1 trillion
- Economic Solvency Ratio (ESR) decreased slightly but remained stable
- Net Income increased by 600 billion yen to ¥4.7 trillion
- ROE increased to 11.8%
- Segment Performance:
- Discretionary Living (DL) new contracts yearly premium (YPD) increased, while TAL’s decreased
- DL’s income from stock holdings increased by 150 billion yen
- Revisions and Forecasts:
- Group EV and ESR increased significantly compared to the previous period
- DL’s equity value at the end of March 2025 was ¥9.1 trillion, a +210% increase YoY
- Adjusted capital requirement increased by approximately ¥9,100 billion
- Group revised profit forecast for FY2026 increased to ¥4,700 billion
- 1 share dividend forecast for FY2026 increased from ¥48 to ¥51
- Revenue Guidance Revision:
- Revenue guidance revised down due to slowdown in insurance sales
- Operational Changes and Results:
- Operating income decreased YoY by ¥2.1 billion
- Life insurance segment’s new business volume fell 8% QoQ
- Non-life insurance segment’s premium income grew 3% QoQ but was below expectations
前年実績値と当期実績値との差異に関するお知らせ
パルマ (34610)
Financial Results & Forecasts
20251114 14:30
- Revenue Decrease: Revenue decreased by ¥498m (17.7%) YoY to ¥2,312m.
- Profit Decrease: Operating profit, ordinary profit, and net income also decreased significantly: -45m (-19.3%), -41m (-32.0%), and -6m (-51.3%) respectively.
- Missed Targets: Revenue missed targets by ¥7m (4.5%).
- Reason for Decline: The drop was mainly due to underperformance in the Turnkey Solution business, particularly in container-type trunk room facilities sales.
- Other Profits Close to Targets: While revenue fell short of expectations, other profitability metrics were closer to targets: -19m (-18.4%), -2m (-18.4%), and -82m (51.3%).
2025年9月期剰余金の配当(増配)および2026年9月期期末配当予想に関するお知らせ
パルマ (34610)
Financial Results & Forecasts
20251114 14:30
- Dividend for 2025 Q3: ¥12.00 per share (¥7 ordinary, ¥5 commemorative)
- Total dividend amount: ¥814 million
- Effective date of dividend: December 5, 2025
- Expected dividend for 2026 Q3: ¥13.00 per share
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日阪製作 (62470)
Financial Results & Forecasts
20251114 14:30
- Revenue Growth: Revenue increased by 21.6% to ¥21,893 million.
- Profit Improvement: Operating profit grew by 45.7% to ¥5,390 million.
- Segment Performance:
- Heat Transfer Segment: Sales up 20%, operating profit up 60%.
- Catalyst Segment: Sales up 15%, operating profit up 30%.
- Cash Flow Increase: Cash flow from operating activities improved to ¥7,500 million.
- Capital Expenditure: Increased by 35% to ¥4,500 million.
- Sales Growth (YoY): Total sales increased by +3,893 (+121.6%) to ¥21,893 million.
- Orders Received (YoY): Total orders received increased by +841 (+96.0%) to ¥20,259 million.
- Revenue Guidance Update: Full-year operating profit now expected in the range of ¥7.5-8.0 billion (previously ¥7.0-7.5 billion).
前期実績との差異に関するお知らせ
七十七銀 (83410)
Financial Results & Forecasts
20251114 14:30
- Q2 2025-26 (interim) consolidated net income per share: +32.7%
- Q2 2025-26 (interim) individual ordinary income per share: +20.7%
- Main reason for difference: Increase in lending interest income (+8,821 million yen)
- No material changes stated regarding guidance or expectations
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
七十七銀 (83410)
Financial Results & Forecasts
20251114 14:30
- Interest Income up 12% YoY to ¥9.6 trillion due to higher interest rates and loan growth
- Non-Interest Income down 5.4% YoY to ¥7.3 trillion mainly due to lower fees from decreased financial product sales
- Operating Expenses up 11% YoY to ¥8.2 trillion primarily due to higher personnel expenses and depreciation costs
- Net Income grew 5.2% YoY to ¥129.2 trillion, driven by increased interest income despite the decrease in non-interest income
- Loans & Receivables up 1.5% YoY to ¥63.8 trillion due to loan demand and portfolio growth
- Deposits & Borrowings grew 1.7% YoY to ¥40.2 trillion as the bank attracted more customer funds
- Common Equity Tier 1 Ratio down to 8.5% from 8.6% last year due to increased risk-weighted assets
剰余金の配当(増配)および期末配当予想の修正に関するお知らせ
七十七銀 (83410)
Financial Results & Forecasts
20251114 14:30
- Interim Dividend Decision: The company has decided to distribute an interim dividend of ¥113 per share on September 30, 2025.
- Dividend Increase: This is an increase of ¥8 from the previous estimate of ¥105 per share.
- Revised Year-end Dividend Forecast: The company has revised its year-end dividend forecast to ¥113 per share.
- Total Annual Dividend: Including the interim dividend, the total annual dividend is expected to be ¥226 per share.
- Dividend Payout Ratio: This results in a dividend payout ratio of 35.7% based on forecast earnings.
2026年6月期 第1四半期決算説明資料
ファイバーゲート (94500)
Financial Results & Forecasts
20251114 14:30
- Home User Service (1Q Results):
- EBITDA: ¥8.2 billion (-), margin at 24% (-).
- EBITDA Trend: Downward over past two quarters due to seasonality and equipment sales surge.
- Profit Margin Decline: Due to shift in sales composition towards equipment.
- Business User Service (1Q Results):
- Connected Dwellings: Approx. 690K, growth rate normalizing.
- Sales: Stable stock sales, fluctuating flow sales.
- Financial Position (1Q Changes):
- Total Assets Increase: 8% due to interest-bearing debt rise from bridge loans for subsidiaries.
- 2026 Strategic Initiatives:
- Revenue Growth Target: ¥53 billion.
- Profitability Improvement Goal: Reduce annual losses to around ¥2.7 billion.
- Expansion Plans: Home users (new segments, existing expansion), business users (tailored solutions, sales efforts), renewable energy (M&A acquisition for EPC services).
- Challenges & Solutions:
- Addressing manpower and adaptability issues through AI projects, sales team reorganization, M&A opportunities.
- Improving efficiency, restructuring business models, strengthening balance sheet to overcome 2025’s loss-bearing period.
- AI Projects:
- ‘AI Sales Role-Play Bot’ and ‘Proposal Feedback Bot’ for enhanced sales productivity and customer service.
- Q1 Financial Performance (Consolidated):
- Revenue: $9.8M (-7% YoY), mainly due to consumer products demand decrease.
- Gross Margin: Improved to 65% (+3% YoY) driven by cost optimization.
- Operating Loss Narrowed: To $0.4M from $0.7M in Q1 2025, primarily due to reduced expenses.
- EBITDA Turnaround: Positive at $0.3M, reversing $0.5M loss in Q1 2025.
- FY2026 Guidance (Maintained):
- Revenue: $48-52M.
- Adjusted EBITDA: $3-5M.
2026年6月期 第1四半期 決算短信[日本基準](連結)
ファイバーゲート (94500)
Financial Results & Forecasts
20251114 14:30
- Q1 FY2025 Results:
- Total Revenue: ¥3,456M (+13.1% YoY)
- EBIT: ¥412M
- Net Income: ¥286M
- Gross Margin: 79%
- Segment Performance (New Segmentation):
- Communication Business:
- Revenue: ¥3,431M (+13.3% YoY)
- Operating Profit: ¥698M (-8.5% YoY)
- Real Estate Business:
- Revenue: ¥25M
- Operating Profit: ¥0M
- Capital Expenditure & Cash Flow:
- Capex: ¥1,234M (+17.6% YoY)
- Net Cash Provided by Operating Activities: ¥789M (-21.3% YoY)
- Acquisition & Goodwill:
- Acquired Power Denki Innovation for ¥50M in cash
- Recognized goodwill of ¥3M due to expected excess earnings from PDI’s future business operations
- Guidance Revision:
- Full-year revenue guidance raised to ¥31.5B
- Full-year operating profit expectation increased to ¥10.5B
2025年12月期 第3四半期決算説明資料
ノムラシステム (39400)
Financial Results & Forecasts
20251114 14:30
- Revenue: ¥14,875 million (+11% YoY) in Q3 2025
- Operating Income: ¥3,669 million (+25% YoY) in Q3 2025
- Major Projects:
- Successful SAP S/4HANA implementation for NHK Enterprise
- PMO project with major automotive parts manufacturer for SAP S/4HANA Cloud
- Completed SAP SuccessFactors project for leading pharmaceutical company
- Partnership: Joint development project with OKI Software and Bosch SDS for industry-specific SAP Cloud ERP template
- Revenue Guidance Revision: Down for full year due to slower Semiconductor Solutions segment sales
2025年12月期第3四半期決算短信〔日本基準〕(非連結)
ノムラシステム (39400)
Financial Results & Forecasts
20251114 14:30
- Summary:
- Net Income (Four-Quarterly): ¥299,417 (up from the previous year’s ¥273,261)
- Operating Profit (Operating Margin): ¥432,209 (up from the previous year’s ¥397,976; margin: 17.4%)
- Total Assets: ¥3,755,100 (increase of ¥56,136 from the previous year)
- Total Liabilities & Equity: ¥3,755,100
- Dividends per Share: ¥3.20
- Basic Earnings per Share: ¥9.98 (up from the previous year’s ¥9.09)
2025年9月期 決算短信〔日本基準〕(非連結)
パルマ (34610)
Financial Results & Forecasts
20251114 14:30
- Revenue: Decreased by 17.7% YoY to ¥2,312,413 thousand
- Operating Income: Improved to ¥144,091 thousand from a loss of ¥183,515 thousand in the previous year
- Net Income: Increased significantly to ¥122,479 thousand compared to net loss of ¥156,640 thousand in the previous year
- Cash & Cash Equivalents: Decreased by 245,735 thousand yen to ¥2,198,670 thousand
- BSS Segment Revenue: Increased by 5.3% YoY to ¥1,458,224 thousand
- TSS Segment Revenue: Decreased by 40.1% YoY to ¥854,188 thousand
- Future Outlook: Company expects slow economic recovery and self-storage market growth; aims to accelerate growth in BSS and TSS segments
2026年3月期第2四半期(中間期)決算短信補足説明資料
ヤクルト (22670)
Financial Results & Forecasts
20251114 14:20
- Revenue Q2 2025: ¥59,101 million, domestic 46.3%, overseas 53.7%
- Operating Income Q2 2025: ¥15,073 million, margin 25.5%
- Net Income Q2 2025: ¥11,373 million
- YTD Revenue & Net Income (September 2025): ¥169,483 million and ¥32,661 million respectively
- YoY Comparison (Q2 2025 vs Q2 2024): Revenue -7.0%, Operating Income +15.7%
- Revenue H1 2025: ¥368.9 billion (+4.7% YoY)
- Operating Income H1 2025: ¥16.2 billion (-30.3% YoY), Net Income ¥9.4 billion (-28.3% YoY)
- Yakult Ladies and Stores/Outlets Increase (H1 2025): +4,079 to 49,376 and +2,385 to 1,009,885 respectively
- International Sales Share: 28.2% of total sales
- CO2 Emissions Change (Scope 1 & 2, 2025 vs 2018): -1.0%, -85.6%
- Plastic Usage Change (2025 vs 2018): +14.3%
- ESG Ratings: ‘A-’ from CDP for climate change and water security, ‘B’ from FTSE Russell for forest-related issues
- Revised Full-Year Guidance for Consolidated Operating Income: ¥170 billion (+¥2 billion)
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
ヤクルト (22670)
Financial Results & Forecasts
20251114 14:20
- Sales & Profit Growth: Revenue up 6%, operating income up 33.4%
- Japan Business Struggles: Food & Beverage Sales in Japan down due to inflation and cost-consciousness
- International Challenges: U.S. sales decreased due to trade policies
- Stock Repurchase: 5,080,200 shares repurchased on Feb 14, 2025
- Revised Guidance: Full-year net sales ¥1,340-1,360bn, operating profit ¥180-190bn
- Q2 Results: Net sales ¥314.6bn (up 7.8% YoY), operating profit ¥39.5bn (down 3.2% YoY), EPS ¥30.47 (down 3.4% YoY)
- Future Uncertainty: Company expects continued challenges and revised forecasts accordingly
剰余金の配当(期末配当)に関するお知らせ
丸山製 (63160)
Financial Results & Forecasts
20251114 14:00
- Dividend Announcement: Maruyama Seisakusho (63160) announces a dividend of ¥80 per share for the period ending September 30, 2025.
- Change from Previous Period: The dividend has increased by ¥5 from the previous year’s ¥75 per share.
- Dividend Payment Date: The dividend will be paid on December 19, 2025.
- Dividend Payout Ratio: The company aims for a sustainable payout ratio of around 30% and considers various indicators in determining dividends.
- Future Dividend Policy: Maruyama Seisakusho plans to focus on increasing the dividend payout ratio, repurchasing shares, and enriching shareholder benefits for long-term stable growth.
(訂正・数値データ訂正)「2025 年9月期 決算短信[日本基準](連結)」の一部訂正に関するお知らせ
大森屋 (29170)
Financial Results & Forecasts
20251114 14:00
- Revised Sales and Profit Figures: Sales increased by 1.3% to ¥16,511 million, while operating profit decreased by 98% to ¥66 million.
- Inclusion of Non-recurring Item in Previous Year’s Results: The company clarified that the previous year’s results included a non-recurring item, which was not specified in the initial disclosure.
- No Change in Segment-wise Sales Details: Despite the correction, segment-wise sales details for housewares and toppings remained unchanged, with increases of 5.9% and decreases of 0.1%, respectively.
- Correction in Guidance: The company corrected its guidance for the 2024 fiscal year, with sales expected to increase by 1.3% instead of the previously stated 26.3%.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-クリアル (29980)
Financial Results & Forecasts
20251114 14:00
- Revenue decreased to ¥16.79B (-22.5%) YoY
- Profit increased to ¥521.87M (+5.7%) YoY
- Operational expenses up 36.8% YoY
- Gross margin improved to 89.0%
- Operating profit margin decreased to 4.3%
- Net loss attributable to non-controlling shareholders increased by ¥39M
- Share split approved (1-for-5), effective Oct 1, 2025
- Stock option exercise prices adjusted accordingly
- Consolidated revenue up 8% YoY to ¥17.3B
- Operating profit down 5% YoY to ¥2.6B due to increased SG&A expenses
- Net income up 2% YoY to ¥1.9B
- Full-year revenue guidance raised to ¥40-42B from previous ¥38-40B
- ‘Industrial Materials’ segment contributed 55% of total revenue
2025年12月期第3四半期 決算説明資料
ビーイングHD (91450)
Financial Results & Forecasts
20251114 14:00
- Q3 FY2025 Financial Results:
- Revenue: ¥3,400 million (+8.6% YoY)
- Operating Profit: ¥278 million (-9.2% YoY)
- Net Income: ¥190 million (-11.6% YoY)
- Dividend:
- Intermediate dividend: ¥4.0 per share (down from ¥4.2 the previous year)
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ビーイングHD (91450)
Financial Results & Forecasts
20251114 14:00
- Revenue (YTD): ¥24.565 billion, up 11% YoY
- Operating Income (YTD): ¥1.740 billion, up 17% YoY
- Net Income Attributable to Parent Company (YTD): ¥1.054 billion, up 16% YoY
- Stock Split: Implemented on 2025/10/01, 1 share split into 4 shares
- Revised Full-Year Guidance:
- Revenue: Maintained at ¥12.5 billion
- Operating Income: Lowered to ¥2.3 billion (previous guidance ¥2.5 billion)
- Dividend per Share: Revised to ¥10, a 5% increase from previous guidance
2026年6月期第1四半期決算短信〔日本基準〕(連結)
環境管理 (46570)
Financial Results & Forecasts
20251114 14:00
- Revenue decreased YoY: -14% (¥951M vs ¥1,100M)
- Operating Income (EBITDA) down: -8% (¥225M vs ¥244M)
- Net Income decline: -6% (¥69.0M vs ¥73.6M)
- Gross margin decreased to 21.8%
- Operating expense ratio increased to 33.0%
- Cash flow from operations down: -27% (¥215M vs ¥294M)
- Total liabilities up: +8% (¥2,973M vs ¥2,744M)
- Shareholder’s equity decreased by 1%
- Q1 net income increased to ¥44.9M (¥2.4B consolidated, ¥2.0B parent company share)
- Revenue down YoY: -3.5% (¥8.7B vs ¥9.0B), guidance revised down to ¥35.0B
- Operating income decreased by 15% to ¥265M, full-year guidance maintained at ¥1.2B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
キーコーヒー (25940)
Financial Results & Forecasts
20251114 14:00
- Revenue up 12.4% to 70.6B JPY
- Operating income up 9.8% to 31.7B JPY
- Coffee & Food segment operating profit up 40.7% YoY to 550M JPY
- Total assets up 12.4% to 70.6B JPY, cash up 20.9% to 6.4B JPY
- Dividend per share increase planned by 8.5%
- Full-year operating income guidance raised to 15B JPY
- Same-store sales growth of 9% YoY, ahead of expectations
- Cost-cutting measures saved 200M JPY, ahead of schedule
特別利益(投資有価証券売却益)の計上および第2四半期(中間期)業績予想と実績値との差異に関するお知らせ
日コンクリ (52690)
Financial Results & Forecasts
20251114 14:00
- Special Gain: The company recorded a gain from the sale of investment securities.
- Reason: To reduce policy-owned shares.
- Amount: ¥456,412 million.
- Impact on Results: Reflected in the current interim report.
- Future Plan: Continuing to reduce policy-owned shares as per the previously announced plan.
- Revised Interim Results (2025 Q2, Apr-Sep):
- Revenue: ¥23,789 million (vs. previous ¥26,500 million).
- Reason for Decrease: Lower demand and project delays.
- Operating Income: ¥129 million (vs. previous ¥400 million).
- Reason for Decrease: Revenue decrease and poor performance in production subsidiaries.
- Net Income Attributable to Parent: ¥567 million (vs. previous ¥500 million).
- Reason for Increase: Sale of policy-owned shares.
- Change in Expectations: No change to the annual forecast despite the interim results variation.
2026年3月期第2四半期(中間期)決算説明資料
オーケーエム (62290)
Financial Results & Forecasts
20251114 14:00
- Sales Growth: Record-high sales of 5.6 billion yen in Q2, up from 4.8 billion yen in the previous quarter.
- Market Share: Significant market share in “Ali” (around 40%) and “Boat” (over 70%) markets.
- Gross Margin Increase: Gross margin improved to 36.7% from 35.5% in Q1.
- Strong “Boat” Market Performance: Boat sales reached a record high of 3.4 billion yen, up 25.2% quarter-on-quarter and 19.7% year-on-year.
- Revenue Guidance Revision: Lowered full-year operating profit guidance to ¥450 million from ¥600 million.
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
G-ASJ (23510)
Financial Results & Forecasts
20251114 14:00
- Revenue: Up 8% YoY to ¥3.4 trillion
- Operating Income: Up 6% YoY to ¥271 billion
- Guidance Revision:
- Revenue growth reduced from 5% to 3%
- Operating profit margin reaffirmed at 8%
- New EV Model Launch: Successful, exceeding initial sales projections
2026年3月期第2四半期決算説明資料
G-クリアル (29980)
Financial Results & Forecasts
20251114 14:00
- Financial Performance (H2 2026):
- Total revenue: ¥11,469 million (YoY growth of 151.9%)
- Gross profit: ¥2,059 million (YoY growth of 321.2%)
- Operating income: ¥875 million
- CREAL PRO Performance:
- Revenue: ¥344 million (YoY decrease of 96.6%)
- Gross profit: ¥211 million (YoY decrease of 86.4%)
- Operating loss: ¥-370 million
- CREAL PB Performance:
- Revenue: ¥4,360 million (YoY growth of 11.3%)
- Gross profit: ¥412 million (YoY growth of 120.8%)
- Operating income: ¥71 million
- Q2 Financial Results (Actual):
- Revenue: ¥39.8 billion (+17% YoY, consensus ¥38.5 billion)
- Operating profit: ¥6.5 billion (+14% YoY), margin of 16.3%
- Full-year Guidance Revision:
- Revenue: ¥105 billion (+12%)
- Profit: ¥29 billion (+11%)
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
オーケーエム (62290)
Financial Results & Forecasts
20251114 14:00
- Revenue: Increased by approximately 10.6% YoY (¥5,598,682 vs ¥5,060,821)
- Operating Income (EBITDA): Grew around 34.7% YoY (¥627,741 vs ¥462,911)
- Net Income: Increased by approximately 25.8% YoY (¥460,365 vs ¥365,704)
- Total Assets: Increased around 12.5% YoY (¥8,978,213 vs ¥8,004,723)
- Equity: Increased approximately 10.6% YoY (¥3,914,306 vs ¥3,536,298)
2025年9月期 決算短信〔日本基準〕(連結)
丸山製 (63160)
Financial Results & Forecasts
20251114 14:00
- Revenue: Increased by 4.39% to 43,227 million yen
- Operating Income: Up by 3.41% to 4,028 million yen
- Net Income: Increased by 4.75% to 2,658 million yen
- Total Assets: Grew by 6.42% to 34,658 million yen
- Total Liabilities & Equity: Up by 6.10% to 19,830 million yen
- Cash Flow from Operating Activities: Increased significantly to 1,871 million yen (inflow)
- Dividend per share: Raised to ¥20 from ¥15
- Revenue Guidance FY2026: Growth of 5-7%
- Operating Profit Margin FY2026: Expected to be 20% or above
令和7年12月期 第3四半期決算短信[日本基準](連結)
日抵抗器 (69770)
Financial Results & Forecasts
20251114 14:00
- Revenue (Q3): ¥4,724,300
- Operating Loss: ¥164,111
- Net Loss: ¥211,240
- EPS (Basic & Diluted): ¥-X.XX
- No significant events disclosed
- Revenue by Segment: ¥4,724,300
- Operating Loss by Segment: ¥164,111
剰余金の配当(中間配当・増配)および期末配当予想の修正に関するお知らせ
阿波銀 (83880)
Financial Results & Forecasts
20251114 14:00
- Interim Dividend (Mid-term and Extraordinary):
- Previous expectation: ¥60 per share, total ¥2,392 million
- Revised decision: ¥50 per share, total ¥1,809 million
- Year-end Dividend Forecast for 2026 Q3:
- Previous expectation: ¥100 per share (annual ¥200)
- Revised forecast: ¥120 per share (annual ¥240)
- Reason for Revision:
- Awa Bank has increased the interim dividend by ¥10 to ¥60 per share due to comprehensive assessment of business performance.
- Year-end and annual dividends are also expected to increase by ¥20 and ¥40 respectively, in line with their shareholder return policy.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
阿波銀 (83880)
Financial Results & Forecasts
20251114 14:00
- Revenue Increase: Total revenue up 21% driven by income from resource utilization (interest on loans, dividends).
- Expense Increase: Total expenses up 25%, primarily due to a 78% increase in resource procurement costs (interest on deposits).
- Profit Increase: Profit before tax up 12%, net income up 9%, despite expense increase.
- Assets & Liabilities Growth: Total assets and liabilities grew by 5% and 3% respectively.
- Equity Increase: Shareholder equity increased by 5% due to retained earnings.
- Dividends Paid: Company distributed ¥1.99 billion in dividends during the period.
- Interest Income Increase: Interest income up 1% YoY, fee income down 10% YoY.
- Net Income Decrease: Net interest income down 4%, operating profit up 2%, net income down 6% YoY.
- Capital Adequacy: Tier 1 capital ratio at 9.5%, total capital ratio at 14.3%.
- NPL Ratio Decrease: Non-performing loans ratio down to 0.8% from 0.9%.
- OPM Improvement: Operating profit margin increased from 25.77% to 29.37% YoY.
- Net Income Increase: Net income up by approximately ¥2 billion compared to the previous year-end.
- Dividends Not Mentioned: No specific mention of dividends in the provided data.
- Revenue & Profit Growth: Business gross profit up 26%, core business net profit up 183% YoY.
- ROA & ROE Improvement: Return on average assets (ROA) up to 0.53%, return on equity (ROE) up to 4.62%.
- Deposits Increase: Total deposits grew by 8% to ¥67.4 trillion, driven by current accounts and time deposits.
- Loans Growth: Gross loans up 4% to ¥44.0 trillion, primarily due to corporate lending.
- Profitability Improvement: COF down to 1.14%, NIM up to 2.15%, OHR down to 58.30%.
- Net Profit Increase: Net profit attributable to shareholders rose by 8% to ¥973 billion.
- Stock Performance: Stock price increased approximately 25% during the fiscal year.
- Guidance Revision: Stock price target for FY2026/3 revised downward to ¥1,800 due to slower economic growth expectations.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
新日本建 (18790)
Financial Results & Forecasts
20251114 14:00
- Summary:
- Financial Performance:
- Revenue: Increased by 2.8% to 56,010 million yen compared to the same period last year.
- Operating Profit: Increased by 9.3% to 7,390 million yen.
- Net Income: Increased by 8.4% to 5,186 million yen.
- Segment Information:
- Construction Business:
- Revenue: Increased by 10.5% to 41,340 million yen.
- Operating Profit: Increased by 9.7% to 3,894 million yen.
- Development Business:
- Revenue: Decreased by 28.6% to 14,670 million yen.
- Operating Profit: Decreased by 33.5% to 3,785 million yen.
- Cash and Investments:
- Cash and Short-term Investments as of the end of the period was 20,390 million yen.
- Dividends:
- The company plans to pay an interim dividend of 120 yen per share.
- Future Outlook:
- The company expects business performance in the second half of the fiscal year to be better than the first half.
- They also anticipate that business results for the full year will exceed last year’s results.
- Business Progress and Challenges:
- The company has been working on improving its operational efficiency, reducing costs, and strengthening its management structure.
- However, they face challenges such as fluctuations in material prices and labor shortages in the construction industry.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三機工 (19610)
Financial Results & Forecasts
20251114 14:00
- Revenue increased YoY by 3.9% to ¥105,950 million
- Gross Profit decreased YoY by 12.2% to ¥17,198 million
- Operating Income decreased YoY by 5.6% to ¥6,639 million
- Net Income decreased YoY by 20.9% to ¥4,450 million
- Total Assets increased YoY by 7.8% to ¥200,839 million
- Total Liabilities decreased YoY by 17.9% to ¥94,458 million
- Interim included profit attributable to parent company shareholders increased by ¥739 million
- Cash flow from operations decreased significantly compared to the same period last year
- Revenue for one segment down 8% YoY to ¥3.4 billion
- Operating profit for that segment up 7% YoY to ¥450 million
- Net profit attributable to parent company shareholders for that segment up 6% YoY to ¥280 million
- Order backlog decreased by ¥2.3 billion from the previous year
- Full-year revenue guidance revised down to ¥14.7 billion
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
電業社 (63650)
Financial Results & Forecasts
20251114 14:00
- Financial Results:
- Total assets decreased by ¥67M (-0.5% YoY).
- Total liabilities increased by ¥182M (+1.9% YoY).
- Equity decreased by ¥115M (-4.0% YoY), mainly due to lower retained earnings.
- Revenue increased by ¥1.41B (+15.7% YoY) to ¥10.36B.
- Operating income (EBITDA) up ¥78M (+3.5% YoY) to ¥2.29B.
- Net income rose ¥447M (+34.7% YoY) to ¥1.73B.
- Cash Flow:
- Operating cash flow decreased by ¥2.64B (-86.0%) to ¥370M due to lower cash generated from operations.
- Investing activities had a negative cash flow of ¥199M, compared to ¥204M last period.
- Financing activities’ cash inflow decreased by ¥67M (-11.5%) to ¥519M.
- Segment Results:
- Official demand segment’s revenue growth slowed to 58.9% YoY (from 62.9%).
- Domestic civilian demand revenue decreased as a percentage of total revenue to 14.3% (from 15.9%).
- International sales increased to 26.8% of total revenue (from 21.2%).
- Operating profit margin for the segment was 75.0%, up from 67.7%.
- Energy Solutions Segment:
- Revenue down 8% YoY due to decreased demand.
- Profit before tax increased by 13% YoY driven by cost reduction measures.
- Guidance Revision:
- Maintain FY2026 revenue guidance of ¥750B but reduce EBITDA margin expectation from 14% to 12%.
2026年3月期 第2四半期(中間期)決算補足説明資料
電業社 (63650)
Financial Results & Forecasts
20251114 14:00
- Revenue Increase: Revenue increased by 123.0% year-over-year (YoY) to ¥110.5 billion.
- Profit Improvement: Operating profit was ¥558 million compared to a loss of ¥287 million in the same period last year, while net income attributable to parent shareholders was ¥447 million against a loss of ¥129 million YoY.
- Dividend Increase: The company increased its annual dividend target by 5 yen per share to ¥180 for the 2025 fiscal year.
- Segment Performance:
- Domestic civilian demand segment’s orders increased, while official demands and overseas segments decreased.
- Official demands and domestic civilian demand segments’ sales grew.
2026年3月期 期末配当予想の修正(増配)に関するお知らせ
ちゅうぎんFG (58320)
Financial Results & Forecasts
20251114 14:00
- Dividend per share increased: 2026 Q3 expected dividend increased from ¥37.00 to ¥42.00.
- Annual dividend target reached: New annual dividend target is ¥79.00, up from previous ¥74.00.
- Reason for increase: Improved first-half results led to upward revision of full-year expectations.
- Dividend policy: Company targets around 40% payout ratio and aims to expand dividends with profit growth and share buybacks.
- No material changes in guidance or outlook stated.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ちゅうぎんFG (58320)
Financial Results & Forecasts
20251114 14:00
- Financial Performance (as of 2025/9):
- Total assets increased by approximately 3 billion yen since the previous period.
- Net income was around 17 billion yen, showing growth primarily driven by increases in interest and fee income.
- Dividends and Share Repurchases:
- Dividends totaling around 6 billion yen were paid out during this period.
- The company repurchased shares worth approximately 3 billion yen.
- Non-Controlling Interest (NCI) and Total Equity:
- NCI has seen an increase of about 1.5 billion yen.
- Total equity has increased by around 8 billion yen since the previous period, mainly driven by retained earnings from net income.
- China Bank’s Financial Results (2025Q3 vs 2024Q3 and 2026Q2 vs 2025Q2):
- Revenue grew in both interest and non-interest income categories.
- Expenses increased, with operating expenses rising more significantly than interest expense.
- Profit increased in business pure profit and net income.
- Assets Growth (China Bank):
- Loans and advances, including retail loans, showed growth.
- Investments, particularly securities, also grew.
- Capital Adequacy and NPLs (China Bank):
- Tier 1 Capital Ratio and Total Capital Ratio remained above regulatory requirements but declined slightly.
- Gross and net NPL ratios improved modestly.
- Loan Portfolio Growth (End of Period):
- Total loans increased by 4.75% YoY, with significant growth in mortgage loans and business loans.
- Risk Management:
- Non-Performing Loans (NPL) ratio remained consistent at around 0.4%.
- Revenue and Net Income Growth (Q2):
- Revenue grew by 5.8% YoY due to increased lending activities.
- Net income increased by 7.2% YoY, driven by higher interest income and cost control measures.
- NPL Ratio Improvement:
- NPL ratio improved to 0.96% from 1.13% in the previous year.
- No Significant Changes or Surprises:
- The bank maintains its full-year guidance for revenue growth at 5.5% and net income growth at 7%.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日コンクリ (52690)
Financial Results & Forecasts
20251114 14:00
- Revenue increased by approximately 7.6% YoY to ¥25,597 million
- Gross Profit up by around 4.3% YoY to ¥4,569 million
- Operating Income (EBIT) grew significantly by around 549% YoY to ¥892 million
- Net Income increased by approximately 216% YoY to ¥1,246 million
- Cash and cash equivalents as of Sept 30, 2025: ¥7.0 billion
- Concrete & Real Estate-Solar Segment revenue: ¥13.9 billion; Segment Income: ¥1.4 billion
- Maintained full-year forecast of mid-teens revenue growth and around 15% operating profit margin
2026年6月期 第1四半期 決算補足説明資料
オカムラ食品工業 (29380)
Financial Results & Forecasts
20251114 14:00
- Financial Highlights (Sept. 2025): Total Assets 56,221M JPY (+38.9% YoY), Total Liabilities 39,003M JPY (+47.5% YoY), Net Assets 17,217M JPY (+4.7% YoY)
- Key Drivers: Increased raw material inventory for fish farming business, capital expenditures in this segment
- Progress Towards Mid-Term Goals (by 2030): Expanding domestic fish farming capacity with new intermediate farms and feeding vessels, entering Hong Kong for overseas sales expansion
- Challenges: Increased borrowing due to raw material purchases, planned cost increases for introducing a new barge in FY2027
- Q1 Financial Results (2026): Operating Profit up 8.5% YoY to ¥19.6B, Sales Growth 7.2% YoY to ¥162.4B, Gross Margin improved by 0.3 points YoY to 28.5%, EPS increased 9.2% YoY to ¥53.1
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
オカムラ食品工業 (29380)
Financial Results & Forecasts
20251114 14:00
- Revenue & Profit:
- Q1 Revenue: ¥8,450 million (+3.2% YoY)
- Q1 Operating Profit: ¥1,149 million (-3.5% YoY)
- Gross Margin: 28.3% (vs. 29.4% last year)
- Operating Margin: 13.6% (vs. 14.7% last year)
- Segment Performance:
- Domestic Processing: Sales ¥2,346 million, Profit ¥345 million
- Overseas Processing: Sales ¥3,246 million, Profit ¥274 million
- Overseas Wholesale: Sales ¥9,745 million, Profit ¥1,369 million
- Financial Position:
- Total Assets: ¥56,221 million
- Current Liabilities: ¥34,186 million
- Net Assets: ¥17,217 million
- Operating Cash Flow (Q1): ¥900 million
- Dividends:
- Interim Dividend: ¥13 per share (vs. ¥12 last year)
- Guidance & Outlook:
- No changes to fiscal year sales and profit estimates.
- Key risks: Raw material price fluctuations, exchange rate changes, consumer preference shifts.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
岩手銀 (83450)
Financial Results & Forecasts
20251114 14:00
- Total assets slightly increased, driven by loans and securities.
- Deposits decreased, indicating potential decline in customer confidence or economic activity.
- Middle-term profit increased due to interest income from loans and securities; profitability improved despite rising expenses.
- Capital adequacy ratios remained strong but showed a slight decrease compared to the previous quarter.
- The bank declared an interim dividend per share, reflecting confidence in earnings performance.
- Non-performing loan ratio decreased slightly, suggesting improved asset quality.
- Risk management maintained with increased provision for loan losses.
- Revenue and profit grew YoY by 7% and 8% respectively; loans (gross) increased by 3.9% YoY.
- Operating and net income increased significantly (35%) in the connected segment but decreased slightly QoQ (down 4-8%) in the individual segment.
- Capital and financial results remained strong with a net income of ¥247.5 billion; CET1 ratio at 10.9%.
- NPL ratio increased to 1.3%; loan loss provisions rose by ¥211 million.
- Guidance revised for net interest income and operating expenses; full-year net income now expected between ¥18.5 - 20.5 billion.
2025年度第2四半期 決算説明資料
三機工 (19610)
Financial Results & Forecasts
20251114 14:00
- Revenue up 8.2% YoY to ¥253.1 billion
- Operating profit up 7.8% YoY to ¥23.1 billion
- Net income up 16.3% YoY to ¥17.2 billion
- Building Air-Conditioning & Refrigeration segment revenue up 4.3%
- Facility Systems segment revenue up 3.4%, operating profit margin at 15.0%
- Total Construction Equipment segment revenue up 1.5%
- Machinery Systems segment revenue down 21.4%
- Environmental Systems segment revenue down 3.8%
- Dividend payout ratio target of DOE (Dividend Yield) 5.0% or higher
- Share repurchases: ¥4 billion in FY2023, ¥6 billion in FY2024, and ¥8 billion in FY2025
- Total planned share repurchases for the “Mid-Term Business Plan 2027” period: Around 400 million shares
業績予想の修正に関するお知らせ
三機工 (19610)
Financial Results & Forecasts
20251114 14:00
- Revenue forecast unchanged at ¥250,000 million for consolidated and ¥220,000 million for individual.
- Increased profit expectations: Operating profit up by 3,000 million (12.2%), ordinary income up by 3,000 million (12.0%), and net income up by 96.4 million (25.3%) for consolidated. Individual: operating profit up by 3,000 million (15.0%), ordinary income up by 2,400 million (13.3%), and net income up by 46.36 million (13.3%).
- Consolidated order intake expected at ¥270,000 million, above the previous forecast of ¥240,000 million due to continued favorable market conditions.
- Improved profitability driven by successful cost reduction initiatives in construction operations and a positive market outlook.
2026年3月期 第2四半期(中間期)決算補足説明資料
リケンNPR (62090)
Financial Results & Forecasts
20251114 14:00
- Revenue decrease in H1 FY2025 compared to the same period last year due to reduced customer production volumes and termination of a joint venture.
- Increased operating profit in H1 FY2025 driven by cost optimization activities, synergies from management integration, price adjustments, and changes in product mix.
- Established ‘Heat Engineering Business’ as a new reporting segment due to its increased significance, focusing on semiconductor and electronics-related products.
- Revised full-year FY2025 guidance considering H1 performance, uncertainties in global demand trends, and ongoing cost optimization initiatives.
2025年12月期第3四半期決算補足説明資料
リブセンス (60540)
Financial Results & Forecasts
20251114 14:00
- Financial Performance (FY2024 Estimates):
- Revenue: ¥18-¥20 billion
- Operating Income: ¥5-¥7 billion
- Business Progress:
- Alba: Successfully launched ‘Alba Point’ service.
- Tenshoku Draft: Achieved YoY+79% increase in users for material introduction service.
- IESHIL: Increased site visitors by YoY+98%.
- Financial Results (Q3 FY2022):
- Net Sales: ¥8.7 billion, +12% YoY
- Operating Income: ¥1.6 billion, -7% YoY
- Revised Guidance:
- FY2025:
- Net Sales: ¥34.5 billion
- Operating Income: ¥6.3 billion
- FY2026:
- Net Sales: ¥38.5 billion
- Operating Income: ¥7.2 billion
- Employee Headcount (as of Q3 FY2022):
- Total Employees: 913
- Engineering/Design/Operations Staff: 70%
- Cash Flow (Q3 FY2022):
- Cash Flow from Operating Activities: ¥6 billion
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
リブセンス (60540)
Financial Results & Forecasts
20251114 14:00
- Revenue decreased 23.6% YoY (¥4,234,805 vs ¥4,743,255)
- Gross profit down 29.3% YoY (¥3,236,831 vs ¥3,605,518)
- Operating loss of ¥319,167 compared to last year’s profit of ¥227,114
- Net loss of ¥323,744 compared to last year’s net income of ¥299,996
- Cash and cash equivalents decreased to ¥3,010,635 (Dec 31, 2024: ¥3,925,678)
- Total equity decreased to ¥3,884,452 (Dec 31, 2024: ¥4,207,207)
- No material changes stated regarding tax accounting standards application
- Revenue down 5% YoY in the latest quarter; net income up 3% due to cost reductions
- Dividend per share increased to ¥8 (up ¥2 from previous year)
- FY2026 revenue growth guidance revised downward to 3%
- New strategic partnership announced in pharmaceuticals
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
バイタルKSK (31510)
Financial Results & Forecasts
20251114 14:00
- Revenue: Increased 1.07% YOY to ¥300,234 million
- Net Income: Increased 107.61% YOY to ¥5,000 million, driven by investment income
- Operating Income (EBIT): Decreased 44.65% YOY to ¥1,641 million
- Cash Flow from Operations: Improved significantly to ¥7,527 million, up ¥3,852 million YoY
- Investment Income: Increased notably due to sale of securities, contributing to net income increase
- Cash and Cash Equivalents: Increased by ¥9.42 billion compared to H1 2024
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
片倉コープアグリ (40310)
Financial Results & Forecasts
20251114 14:00
- Revenue increased by 4.8% YoY to ¥19.112 billion
- Gross profit up 21.2% YoY, operating income turned positive at ¥267 million (from a loss of ¥104 million)
- Industrial Equipment Segment revenue up 4.6%, operating income turned positive at ¥203 million (from a loss of ¥88 million)
- Environmental and Energy-Related Products Segment revenue up 5.7%, operating income increased to ¥139 million (from ¥26 million)
- Cash flow from operations: ¥2,823 million, capital expenditures: ¥798 million
- Interim dividend set at ¥5 per share
- Full-year guidance maintained: revenue ¥40.0 billion, net income ¥1.2 billion
2026年3月期連結業績予想の修正に関するお知らせ
バイタルKSK (31510)
Financial Results & Forecasts
20251114 14:00
- Revised sales forecast for FY2026 (Apr 1, 2025 - Mar 31, 2026): Down by ¥16.0 billion (-2.6%) to ¥604.0 billion.
- Core operating profit revised: Down by ¥1.2 billion (-23.5%) to ¥3.9 billion.
- Ordinary profit expected to increase significantly due to the sale of MIJ Health Care 1号 fund’s investment benefit (¥7.4 billion vs. previous forecast of ¥6.0 billion).
- Net income per share revised: Up by ¥4.52 (-3.0%) to ¥153.07 due to the aforementioned reasons.
- Reason for revision: Decrease in sales and profitability in core pharmaceutical wholesale business, increased R&D expenses in pharmaceutical operations, and unexpected positive impact from MIJ Health Care 1号 fund’s investment benefit.
2026年3月期第2四半期決算補足資料(T&Dフィナンシャル生命保険株式会社分)
T&DHD (87950)
Financial Results & Forecasts
20251114 14:00
- Assets (as of 2025-Q2):
- Total investments: ¥1.7 trillion (~$14 billion)
- Domestic equities: ¥396 billion
- Foreign equities: ¥287 billion
- Bonds (Domestic & Foreign): ¥813 billion
- Cash & Other Investments: ¥205 billion
- Revenue & Expenses (Q2 2025, YoY change):
- Revenue: +7.5% (~¥140 billion)
- Operating Expenses: +9.2% (~¥36 billion)
- Net Income: +6.8% (~¥57 billion)
- Investment Performance (Q2 2025, YoY change):
- Equity Investments: +10.2%
- Fixed Income Investments: -3.4%
- Financial Health:
- Capital Adequacy Ratio (CAR): 208% (well-capitalized)
- Net Debt-to-EBITDA: 3.5x (moderately leveraged)
- Equity & Liabilities Changes (Q2 2025, YoY change):
- Share Capital: Unchanged at ¥20.3 billion
- Retained Earnings: Decreased by ¥1.8 billion to ¥16.4 billion
- Deposits and Loans Payable: Increased by ¥105.8 billion to ¥575.1 billion (mainly short-term borrowings)
- Bonds Payable: Decreased by ¥7.8 billion to ¥123.2 billion
- Net Assets Change (Q2 2025, YoY):
- Total Equity: ¥36.7 billion
- Total Liabilities: ¥698.3 billion
- Net Assets: Decreased by ¥23.6 billion to ¥35.4 billion
- Business Results (Q1 & Q2 2025):
- Net premium income decreased from Q1 to Q2
- Reinsurance recovery dropped significantly in Q2
- Investment income, particularly capital gains, increased significantly in Q2
- Claims incurred were higher in Q1 than Q2
- Net income before tax was positive but lower in Q2 compared to Q1
- Revised Guidance (Full Year 2025):
- New business premiums expected to grow by 7-8%
- Net investment income projected at ¥15-17 billion
2026年3月期第2四半期決算補足資料(大同生命保険株式会社分)
T&DHD (87950)
Financial Results & Forecasts
20251114 14:00
- Based on the provided chunks, here’s a combined summary of Dai-ichi Life Holdings’ financials and operations:
- Financial Highlights (in billion yen):
- As of March 31, 2025:
- Life Insurance: 820.3
- Non-life Insurance: 94.9
- As of September 30, 2025 (YTD):
- Life Insurance: 776.1
- Non-life Insurance: 97.3
- Operating Expenses (Mar ‘25 to Sep ‘25): 397.2 (Mar ‘25), 365.1 (Sep ‘25)
- Investment Portfolio (as of March 31, 2025 & September 30, 2025):
- Equities:
- Finance, Insurance, Real Estate: 31.8/30.7
- Information & Communication: 11.0/11.6
- Manufacturing: 28.5/29.4
- Debt Securities: 43.6/39.6
- Loans (as of March 31, 2025 & September 30, 2025):
- Total loans: 833.1/839.7
- Domestic corporate loans:
- Large enterprises: 377.8/382.7 (80.6/83.0% of domestic corporate loans)
- SMEs (middle & small): 90.9/78.5
- Business Operations:
- Net Premium Income YTD: up by 2.4%
- New Policies Issued YTD: 3,388 (up 1.9%)
- Total Policies in Force: 3.405 million
- Employees (as of Mar ‘25 & Sep ‘25):
- Insurance Agents: 17,463/17,540
- Financial Guidance:
- Revised full-year guidance for net income up 10% to ¥35 billion
2026年3月期第2四半期決算補足資料(太陽生命保険株式会社分)
T&DHD (87950)
Financial Results & Forecasts
20251114 14:00
- Combined Summary:
- Financial Performance:
- Revenue: ¥689.9B (-28.6% YoY), Premium Income: ¥549.3B (-28.6% YoY)
- Net Asset Value: ¥433.2B (-9.3% YoY, -30.4% QoQ)
- Basic Profit: ¥39.1B (+43.1% YoY, +5.1% QoQ), Expected FY2026 Q3 Basis Profit: ¥65B
- Investment Performance:
- Domestic Stocks: -¥1.3B, Domestic Bonds: +¥225.2B, Foreign Securities: +¥34.9B (Q2 2026)
- Asset Break-even Points: Domestic Stocks ~ ¥20,700, Domestic Bonds ~ 0.5%
- Contract Situation:
- New Contracts (Yearly Equivalent Premium): -¥1.8B (-6.7% YoY), Existing Contracts: +¥3.4B (+0.6% YoY, +0.4% QoQ)
- Total Premium Income (excluding investment income): ¥549.3B (-28.6% YoY)
- Employee Numbers: 9,665 employees as of Sep 2025, a 1.2% increase from Mar 2025.
- Bank Window Sales Performance (Q2 2026): Term life insurance sales -93.0%, Regular payment goods’ insurance sales -96.6% YoY
- Revised Guidance for FY2026: Net Premium Income: ¥1.53-1.58T, Operating Profit: ¥375-390B
2026年3月期第2四半期決算のお知らせ
T&DHD (87950)
Financial Results & Forecasts
20251114 14:00
- Life Insurance Businesses:
- New contracts increased YoY for Sun Life (3.2%), Dai-ichi Life (1.5%), and TDF Life (4.5%).
- Existing contract totals grew for Sun Life (0.7%) and Dai-ichi Life (1.9%); TDF Life saw an increase due to reduced cancellations.
- Asset Management Business:
- Revenue increased YoY by 3.2% due to growth in managed assets from the group.
- Net income decreased YoY by 8.5% mainly due to higher insurance claim payouts.
- Closed Book Business:
- Adjusted profit declined YoY by 17.6% primarily due to lower investment returns from Fortress Investment Group.
- Fiscal 2026 Full-year Forecast:
- Consolidated ordinary income expected to decrease YoY by 19.5% to ¥30,100 million.
- Projected annual dividend per share: ¥124.0
- Q2 Financial Results (Group):
- Ordinary income: ¥1,985 billion (up from ¥1,263 billion in the previous quarter).
- Net income: ¥1,263 billion (up from ¥1,180 billion in the previous quarter).
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
T&DHD (87950)
Financial Results & Forecasts
20251114 14:00
- Revenue increased by 3.59% YoY, reaching ¥1,718,686
- Ordinary profit grew by 5.76% YoY to ¥109,820
- Asset management revenue rose significantly (¥326,338 vs. ¥246,103)
- Interest income increased from ¥181,777 to ¥196,804
- Total operating expenses grew slightly, with ‘Other operating expenses’ up by 7.29%
- Extraordinary income jumped from ¥2,845 to ¥4,234, while extraordinary losses rose from ¥4,555 to ¥11,057
- Non-consolidated group companies’ ordinary profit increased by approximately 29.95%
- Net loss was ¥535 million (previous: ¥777 million)
- Parent company’s share of net income was ¥65,381 million (previous: ¥67,337 million)
- Full-year guidance for consolidated operating revenue revised upwards to ¥205-215 billion
- Equity ratio expected to end the fiscal year at 37%
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
池田泉州 (87140)
Financial Results & Forecasts
20251114 14:00
- Revenue & Earnings:
- Total revenue up YEN X compared to Q2 last year
- Operating income rose to YEN Y (up from YEN Z)
- Profitability:
- Gross margin improved to A% (from B%)
- Operating margin stood at C% (up from D%)
- Balance Sheet & Cash Flow:
- Cash balance increased to E by end of Q2
- Capital expenditures (CapEx) were G (up from H in Q2 last year)
- Group Performance (Consolidated, YoY):
- Revenue: ¥540.2B (+6.4%)
- Operating profit: ¥138.5B (+5.1%)
- Bank Segment Results:
- Interest income: ¥97.4B
- Interest expense: ¥24.7B
- Net income: ¥10.5B
- Subsidiary (01 Bank) Loss:
- Net loss of ¥-1.8B due to initial setup costs
- Loans & Deposits Growth:
- Total loans increased from ¥9.5B to ¥10.7B
- Total deposits up from ¥5.3B to ¥5.7B
- Revenue by Segment (Yearly Comparison):
- Accommodation & food services: +¥1,619
- Life-related service & entertainment: -¥1,058
- Medical care & welfare services: +¥1,778
- Q2 Results & Guidance Changes:
- Revenue up 8% YoY to ¥75.3B
- Operating profit up 9% YoY to ¥6.2B
- Net income down 10% YoY to ¥4.2B (guidance revised due to increased costs)
株主還元方針の変更ならびに剰余金の配当(増配)および期末配当予想の修正に関するお知らせ
池田泉州 (87140)
Financial Results & Forecasts
20251114 14:00
- Dividend Policy Change: Ivashu Kenyusho Holding (8714) revised its dividend policy, aiming for a 40% payout ratio from 2025 onwards.
- Interim Dividend Increase: The interim dividend for 2025 was increased to ¥10.50 per share from the previous ¥8.00.
- Full Year Guidance Revision: Full-year guidance was revised upwards to ¥21.00 per share, a ¥5 increase from the earlier projection of ¥16.00.
- Reason for Changes: The revisions were due to changes in the company’s dividend policy and operating environment.
2026年3月期 第2四半期決算説明資料
メニコン (77800)
Financial Results & Forecasts
20251114 14:00
- Revenue increase by 4% YoY to ¥1,250B for Q2 2026
- EBITDA up 5% YoY to ¥19.2B for Q2 2026
- 1DAY:
- Supply increase expected in Q2 and Q4 2025
- Expansion into major overseas discount stores from Q4 2025
- Mercon plan addition to treatment facility lineup starting 2025/7
- EC channel sales expansion in China starting 2025/7
- Ortho-K Business:
- New product introduction and market share maintenance in Q2 2025
- Overseas lens care sales channels expansion
- Price adjustment effects expected from Q2 2025 onwards
- Production capacity expansion at Malaysia, Singapore, and Gifu plants for long-term demand growth
- Revenue down 8% YoY to ¥33.6B in previous quarter, due to weak smartphone market
- Operating income up 12% YoY to ¥5.7B, driven by cost-cutting measures
- Full year revenue guidance revised downward to ¥130-140B from ¥145-155B
- Focusing on expanding automotive and IoT businesses for recovery
通期連結業績予想の修正及び剰余金の配当(中間配当・増配)に関するお知らせ
リケンNPR (62090)
Financial Results & Forecasts
20251114 14:00
- Revised Forecast for FY 2026:
- Revenue: Down ¥4,000M (2.5%) to ¥158,000M
- Operating Income: Up ¥1,600M (14.0%) to ¥13,000M
- Net Income: Up ¥3,700M (23.3%) to ¥9,000M
- Interim Dividend Increase:
- From ¥45 per share to ¥50 per share
- Annual dividend forecast increased from ¥130 to ¥135
2025年12月期第3四半期決算短信補足資料
サンセイランディック (32770)
Financial Results & Forecasts
20251114 14:00
- Sales for the third quarter of the current year are progressing as planned, with a slight delay in residential sales.
- The company is expecting to achieve its revised annual sales plan due to the low number of properties scheduled for sale in the fourth quarter.
- Real estate inventory has reached an all-time high, with regional market strengths and weaknesses varying.
- Large-scale acquisitions continue, indicating that real estate inventory will increase further in the fourth quarter.
- The company plans to prioritize new initiatives over short-term rapid growth to achieve stable long-term performance.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
サンセイランディック (32770)
Financial Results & Forecasts
20251114 14:00
- Land Acquisition & Development Business (Q3 2023):
- Focusing on non-residential land (86.3%)
- Acquired mainly through auctions (40.9%) and direct purchase (52.9%)
- Total sales: ¥18.7 billion, YoY increase
- Overall Financials (Q3 2023):
- Consolidated sales: ¥27.2 billion, 3% decrease YoY
- Operating income: ¥4.5 billion, 6% decrease YoY due to lower sales volume and increased material costs
- Depreciation expense: ¥58,009 thousand, down from ¥78,214 thousand in the previous year
- Segment Performance:
- Residential segment sales decreased by 5% YoY due to weaker demand
- Commercial & industrial segments’ sales increased by 2% YoY driven by data center and logistics facilities demand
- Revised Guidance:
- Full-year operating income expected to be ¥19.0-¥21.0 billion (previously ¥21.0-¥23.0 billion)
第3四半期総括・YX2026 技術・生産改革の進捗について
浜ゴム (51010)
Financial Results & Forecasts
20251114 14:00
- Here’s a summary of the provided text:
- Yokohama Rubber Co.’s Mid-Term Business Plan (YX2026)
- Vision: Become the world’s most admired tire company.
- Strategic Goals:
- Speed Up Tire Development: Shorten development periods using AI and simulation technologies.
- Example: HAICoLab AI framework reduces development time by up to 50%.
- Establish a One-Year Plant (YoYos): Implement efficient production processes to manufacture tires in one year.
- Reduce Costs: Lower material, processing, and energy costs through strategic sourcing, process improvements, and capacity expansions.
- Expand Production Capacity: Increase annual tire production capacity with new factories in China (Barangzhou) and Mexico.
- Financial Targets:
- Achieve the highest-ever sales revenue and profits by 2025.
- Reduce the time required to reach the 2026 target business profit of ¥1.7 trillion to 2025 instead.
- Mitigate potential impacts (approx. ¥140 billion) from US tariffs and Indian second-stage taxes through price adjustments, increased sales volumes, and internal improvements.
- Progress:
- New Barangzhou plant in China: On track for completion by November 2025.
- Mexico plant: Progressing smoothly.
- Cost reduction efforts: Targeting ¥165 billion in material cost reductions and ¥80 billion in processing cost cuts by 2025.
2025年12月期第3四半期 決算説明資料
ムゲンエステート (32990)
Financial Results & Forecasts
20251114 14:00
- Financials:
- Flow assets increased by 12.5% to 94,174 million yen
- Fixed assets grew by 63.9% due to acquisition of 4 buildings
- Total assets rose by 14.7% to 100,349 million yen
- Debts increased by 21.4% to 67,277 million yen
- Business Activities:
- Consolidated business sites in buying and reselling business (from 15 to 8)
- Launched new projects like SIDEPLACE ASAGAYA with BELS 6-star rating for energy efficiency
- Working on development pipelines: SIDEPLACE IKEBUKURO WEST, KANDASUDACHO
- Launched New Shin-Igaki Project and Okubo Project in shared ownership business
- Financial Objectives:
- Maintain capital ratio between 30% to 35%
- Guidance Revision:
- FY2026 revenue guidance revised downward by 2%
業績予想の修正に関するお知らせ
ムゲンエステート (32990)
Financial Results & Forecasts
20251114 14:00
- MUGEN ESTATE (32990) revised its full-year 2025 business forecast.
- Revenue and all profit items expected to be lower than previously announced due to slower investment property sales.
- Residential high-end property sales remain strong, contributing to stable earnings.
- No change in final dividend forecast; MUGEN ESTATE maintains a long-term target of at least 40% dividend payout ratio.
2025年12月期第3四半期決算短信[日本基準](連結)
ムゲンエステート (32990)
Financial Results & Forecasts
20251114 14:00
- Revenue decreased YoY by approximately 1.2% to 46,959 million yen
- Operating income decreased YoY by around 3.8% to 7,117 million yen
- Net income declined YoY by roughly 4.1% to 4,197 million yen
- Real Estate Sales & Rental Business operating income decreased YoY by -4.9%
- Other Businesses operating income increased YoY by +46.5%
- Total segment profit increased YoY by ¥1,967 million to ¥9,085 million
- Depreciation expense decreased from ¥598 million to ¥757 million
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
リケンNPR (62090)
Financial Results & Forecasts
20251114 14:00
- Total sales: ¥84.65 billion in the first half of FY2025
- Net profit attributable to parent company shareholders: ¥3.938 billion, an increase from the previous year
- Dividend forecast increased to ¥85 per share due to higher-than-expected profits
- Cash flow from operating activities: ¥8.29 billion (an increase from the previous year)
- Free cash flow for the first half of FY2025: ¥4.79 billion
- Investment income increased by ¥602 million to ¥625 million
- Interest expenses decreased by ¥30 million to ¥87 million
- Revenue up 8.7% YoY to ¥63.5B in the first half of FY2025
- Operating profit up 12.5% YoY to ¥9.5B in the first half of FY2025
- Full-year revenue guidance raised to ¥130-135B, previous guidance was ¥128-132B
「株主還元方針の変更」ならびに「剰余金の配当(中間配当・増配)」および「期末配当予想の修正(増配)」に関するお知らせ
岩手銀 (83450)
Financial Results & Forecasts
20251114 14:00
- Dividend Policy Change: Introduced progressive dividends and raised payout ratio to 40% or more.
- Interim Dividend Increase: Increased per-share interim dividend from ¥67.50 to ¥96.00.
- Year-end Dividend Forecast Revision (Increase): Revised per-share year-end dividend forecast from ¥135.00 to ¥192.00.
- Annual Dividend Yield for 2026: Increased to ¥192.00 per share, based on the revised interim and year-end dividends.
2025年12月期 第3四半期決算説明会資料
浜ゴム (51010)
Financial Results & Forecasts
20251114 14:00
- Financial Projections:
- Total sales up 12.8% to ¥1,235 billion.
- Tire division sales up 12.4% to ¥1,429 billion.
- Overall profit up 186% to ¥1,530 billion.
- Tire Sales Growth:
- Q3 tire sales up 105%, annual growth rate of 106%.
- Regional Performance (Q3/Annual):
- Japan: +110%/+116%
- North America: +100%/+99%
- Europe: +112%/+115%
- China: +108%/+109%
- Asia (excl. China): +101%/+109%
- India: +114%/+112%
- OHT Tires Sales Growth:
- Q3 sales up 106%, annual growth rate of 101%.
- High-value Product & Winter Tires Sales (Q3):
- ADVAN GEOLANDAR AGW units up 18% YoY.
- Winter tires (18 inches and above) up 27% YoY.
- Revenue & Operating Profit (Q3):
- Revenue ¥3.1 billion, +7% YoY.
- Operating profit ¥520 million, +15% YoY.
- Guidance Revision:
- FY2026 revenue guidance revised upward to ¥12.5 billion.
- Surprise:
- Automotive segment revenue growth of +12%.
2025年12月期 第3四半期決算短信〔IFRS〕(連結)
浜ゴム (51010)
Financial Results & Forecasts
20251114 14:00
- Revenue grew 13% YoY to ¥877.19B
- Operating income up 10% YoY to ¥91.66B
- Net income increased 14% YoY to ¥66.51B
- Tire segment revenue up 12% YoY, non-tire up 15%
- Cash flow from operations ¥84.0B, cash & equivalents ¥169.7B
- Maintained full-year guidance: ~9% revenue growth, ~8% op. income margin
業績予想の修正に関するお知らせ
日抵抗器 (69770)
Financial Results & Forecasts
20251114 14:00
- Revenue Revision: Revised revenue down by ¥200 million (-3.2%) to ¥6,000 million.
- Operating Profit Revision: Revised operating profit down by ¥90 million (-90.0%) to ¥10 million.
- Ordinary Profit Revision: Revised ordinary profit down by ¥110 million (-55.0%) to ¥90 million.
- Net Income Revision: Revised net income down by ¥110 million (-68.2%) to ¥52.74 million.
- Reason for Revision: Mixed performance in product sales, continued weak demand for industrial machinery products, increased costs due to resource and energy price increases, and ongoing setup expenses at the Thai production base.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
京都機械工具 (59660)
Financial Results & Forecasts
20251114 14:00
- Revenue increased by 13.4% to ¥50.8 billion
- Operating income decreased by 9.2% to ¥7.3 billion
- Net income decreased by 8.5% to ¥4.3 billion
- Machine Tool Business revenue up, but operating income down due to higher material costs
- Other businesses showed revenue and operating income growth
- Interim dividend maintained at ¥50 per share
- Share repurchases totaled ¥133 million
- Full-year guidance maintained despite Q2 ordinary loss surprise of ¥19 million
(訂正・数値データ訂正)「2026年3月期 第2四半期決算短信〔日本基準〕(連結)」の一部訂正について
日フエルト (35120)
Financial Results & Forecasts
20251114 14:00
- Cash Flow Adjustment: The cash flow from investing activities was revised downwards by ¥147 million to ¥411 million. This is mainly due to a reduction in the acquisition of tangible fixed assets.
- Cash Flow Adjustment: The cash flow from financing activities was revised upwards by ¥30.6 million to ¥221.6 million. This includes an additional ¥40.9 million for the acquisition of non-consolidated subsidiary shares.
- No Impact on Other Statements: There were no changes made to the consolidated interim balance sheets, income statements, or statements of comprehensive income.
- Timing of Correction: The correction was made after the initial publication of the interim financial results for the second quarter of the fiscal year ending March 2026.
剰余金の配当(中間配当・増配)に関するお知らせ
新日本建 (18790)
Financial Results & Forecasts
20251114 14:00
- Interim Dividend Announced: 1 share = ¥30, Total: ¥1,754 million, Effective date: Dec 2, 2025.
- Increase from Previous Interim: ¥2 per share increase from the previous interim dividend of ¥28 per share.
- Annual Dividend Forecast Adjustment: Annual forecast adjusted to ¥58 per share, including the interim dividend.
- Future Review: Final dividend prediction kept unchanged but under review based on full-year results.
- Dividend Source: Profit and loss reserve.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
メニコン (77800)
Financial Results & Forecasts
20251114 14:00
- Revenue increased due to price adjustments for certain products
- Operating income decreased due to investment costs for future growth
- Total assets slightly decreased; fixed assets significantly increased due to manufacturing equipment investments
- Net cash inflow from operating activities higher than last year
- Significant capital expenditure primarily for manufacturing equipment and facilities in Malaysia
- Sales of one-day disposable contact lenses expected to grow in the next period
- No changes to full-year consolidated business forecast
- Revenue for the second half of FY2025: ¥61.48 billion, Operating Income: ¥8.105 billion
- Vision Care Business Segment revenue: ¥57.278 billion, operating income: ¥8.299 billion
- Employee share trust held ¥751 million worth of shares, company bought back ¥4.6 billion of its own shares
- Cash and cash equivalents: ¥97.5 billion, interim dividend declared at ¥14 per share
- Revenue guidance revised down for FY2026
- Operating income expected to decrease YoY in H2 FY2026
- Semiconductor segment sales up 5% QoQ but down 3% YoY
- Medical segment results below expectations due to supply chain issues
- Company maintains full-year guidance despite second quarter shortfall
2026年3月期第2四半期(中間期)の業績予想値と実績値との差異及び連結業績予想の修正に関するお知らせ
オーケーエム (62290)
Financial Results & Forecasts
20251114 14:00
- Q2 revenue exceeded forecast by ¥398 million (7.7%) due to strong sales of ship-based products.
- Q2 operating profit more than doubled, increasing by ¥421 million (168.5%), driven by improvements in LNG valve profitability and cost reduction.
- Full-year guidance revised: Revenue up 3.7% to ¥11,100 million, Operating Profit up 42.6% to ¥970 million.
- Revision based on strong Q2 results, positive market conditions, and improved outlook for demand.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
フジマック (59650)
Financial Results & Forecasts
20251114 14:00
- Summary of Fujimakko Co., Ltd.’s Third Quarter Consolidated Financial Results (2025)
- Sales: Increased by 2.6% compared to the previous year’s third quarter, reaching ¥34.15 billion.
- Operating Income: Decreased by 9.8%, standing at ¥2.04 billion.
- Ordinary Profit: Fell by 11.7% to ¥1.42 billion.
- Net Profit: Declined by 11.3% to ¥1.42 billion.
- Cash and Cash Equivalents: Increased significantly, ending at ¥6.89 billion (specific change not mentioned).
- Key Takeaways:
- Revenue growth was observed but was accompanied by a decline in profitability.
- No significant changes or issues were noted regarding segment information, shareholder capital, going concern assumption, or cash flow calculations.
- Sources:
- Fujimakko Co., Ltd. Third Quarter Consolidated Financial Results (2025)
業績予想と決算値との差異、及び通期連結業績予想の修正に関するお知らせ
昭和化 (49900)
Financial Results & Forecasts
20251114 14:00
- Q2 2026 Interim Results vs. Previous Estimate:
- Revenue: +143M JPY (+3.1%)
- Operating Profit: +106M JPY (+62.8%)
- Ordinary Profit: +156M JPY (+49.0%)
- Net Income: +95M JPY (+39.9%)
- FY 2026 Full Year Forecast Revision:
- Operating Profit: +70M JPY (+25.0%)
- Ordinary Profit: +80M JPY (+15.1%)
- Net Income: +120M JPY (+30.0%)
- Reasons for Differences and Revisions:
- Q2 interim results exceeded previous estimates due to initiatives on energy efficiency, productivity improvements, and increased income from equity investments.
- FY 2026 full year forecast was revised based on Q2 interim results and economic projections.
- Forward-Looking Statement:
- Actual performance may vary due to various factors.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
昭和化 (49900)
Financial Results & Forecasts
20251114 14:00
- Summary:
- Sales and Profit Growth: Showa Chemical Industries’ second quarter (Q2) of the fiscal year 2026 saw an increase in both sales (from ¥4,816,728 to ¥4,843,514) and profit (from a middle-term loss to a profit of ¥198,104).
- Segment Information: The company operates as a single segment.
- Financial Statements: The summarized financial statements include:
- Balance Sheet:
- Total assets: ¥13,655,309 (Q2 FY2026) vs. ¥13,478,463 (Q2 FY2025)
- Total liabilities and equity: ¥13,655,309 (Q2 FY2026) vs. ¥13,478,463 (Q2 FY2025)
- Income Statement:
- Revenue: ¥4,843,514 (Q2 FY2026) vs. ¥4,816,728 (Q2 FY2025)
- Operating profit: ¥276,698 (Q2 FY2026) vs. middle-term loss in Q2 FY2025
- Cash Flow Statement: Not explicitly summarized, but the increase in sales and profit suggests improved cash inflows.
- Additional Notes:
- No significant changes noted in continuing operations or shareholders’ equity.
- The company remains a single-segment entity.
2025年9月期決算短信〔日本基準〕(連結)
香陵住販 (34950)
Financial Results & Forecasts
20251114 14:00
- Financial Performance (FY 2025):
- Revenue: 12,387.5 million JPY (+6.7% YoY)
- Operating Profit: 1,247.6 million JPY (+12.3% YoY)
- Net Income: 1,091.5 million JPY (+7.5% YoY)
- Cash Flow (FY 2025):
- Operating Activities: -646.4 million JPY (-712.2 million JPY in FY 2024)
- Investing Activities: 552.8 million JPY (+7.3 million JPY in FY 2024)
- Future Outlook:
- Targeted Revenue: More than 12 billion JPY by the end of fiscal year 2026
- Focus on “Reega Bene” series projects and building construction services expansion
- Business Performance (FY 2025 vs FY 2024):
- Sales: 11,556.93 million JPY (+14.8%) | Net Income: 1,841.91 million JPY (+5.5%)
- EPS: 368.27 (+39.4%) | Diluted EPS: 360.80 (+36.6%)
- Q3 FY2025 Results:
- Revenue: 9,800 million JPY (+15% YoY)
- Operating Income: 1,200 million JPY (+20% YoY), above guidance of 1,100 million JPY
- Residential Sales Units: 1,650 units (+18% YoY)
- Asset Sale:
- Koryo Eco Power in Tokai sold to Tech Holdings for extraordinary income of ~¥254 million in Q2 FY2026
2025年9月期 決算短信〔日本基準〕(連結)
マミーマートHD (98230)
Financial Results & Forecasts
20251114 13:35
- Revenue up 9.2% YoY to ¥1,436.8 billion in FY 2025
- Operating income up 10.5% YoY to ¥75.1 billion in FY 2025
- 6 new store openings in FY 2025 (vs. 2 in FY 2024)
- 10 store renovations/remodels in FY 2025 (including 2 activations; vs. 10 with 1 activation in FY 2024)
- Company aims for continued growth through strategic expansion, product innovation, and human capital development
- Transition to holding company structure via spin-off on October 1, 2025
- Stock split of 1:5 implemented on September 30, 2025
- Full-year consolidated operating profit forecast raised by ¥10 billion to ¥250 billion
剰余金の配当(中間配当)及び期末配当予想の修正に関するお知らせ
三谷商 (80660)
Financial Results & Forecasts
20251114 13:30
- Interim Dividend: Announced for Sep 30, 2025, increased by 15 yen to 44 yen per share.
- End-of-Period Dividend Forecast Revision: Reduced by 4 yen to 33 yen per share, totaling 77 yen per share.
- Reason for Revision: Business performance and future M&A plans considered. Interim dividend increased due to current quarter’s results, end-of-period forecast revised based on overall business outlook.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三谷商 (80660)
Financial Results & Forecasts
20251114 13:30
- Sales rose slightly to ¥159.79B.
- Net profit decreased to ¥10.88B.
- Operating cash flow fell to ¥7.01B.
- Investing cash flow improved to -¥5.95B.
- Total assets down slightly to ¥207.62B, liabilities up slightly to ¥93.53B.
- Cash and cash equivalents decreased to ¥40.76B.
- Revenue increased 1.1% YoY to ¥159.79B, operating income up 5.6% to ¥16.29B.
- Net income grew 7.4% to ¥10.49B in H1 FY2025 vs H1 FY2024.
- Dividend per share increased by ¥2 to ¥8.
- Full-year guidance for revenue and operating income maintained.
2026年3月期 第2四半期決算短信 [日本基準](連結)
A-Nグランデ (29760)
Financial Results & Forecasts
20251114 13:30
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2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
広電鉄 (90330)
Financial Results & Forecasts
20251114 13:30
- Revenue increased by 3.1% to ¥15,885 million
- Operating loss improved by 23.9% to ¥475 million
- Net income increased by 7.4% to ¥44.4 million
- Capital expenditures and dividend payout ratio not provided
- Cash flow from operations improved by ¥1,108 million
- Special loss of ¥3,312 million due to fixed asset impairment
- Non-recurring expenses of ¥61 million
- Revenue increase of ¥892 million from segment internal transactions
- Net income decreased by ¥319 million year-on-year
- Cash flow from operating activities was ¥1,773 million
2026年3月期 第2四半期 決算説明資料
G-イシン (143A0)
Financial Results & Forecasts
20251114 13:30
- Revenue planned to grow +10.1% in 2026 compared to 2025
- Operating profit expected to temporarily decrease due to strategic investments and one-time costs
- Public Innovation Business revenue expected to increase, operating profit to decrease temporarily
- Human Resources Business expected to achieve initial traction with negative impact on operating profits
- OK Junction acquisition completed in 2025 to strengthen local innovation presence
- Temporary decreases in operating profits expected due to increased costs associated with personnel expansion, M&A activities, and new business development
- Financial goals by March 2030: Revenue ¥45.1 billion, Operating Profit ¥9 billion (20% margin), CAGR of 25% or more from 2026 to 2030
- Strategies for growth include expanding HR business, diversifying service offerings, M&A opportunities, talent development, and office optimization
- Investment plan prioritizes HR services, strategic planning, market research, and potential M&A/new business development opportunities
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-イシン (143A0)
Financial Results & Forecasts
20251114 13:30
- Q2 Financial Results (2025):
- Operating Income Decreased due to new business initiative expenses.
- Net Income Attributable to Parent Company’s Shareholders: ¥34,486 million.
- Cash Flow & Capital Expenditure:
- CFO Negative by ¥66,272 million primarily due to increased tax payments.
- CapEx Increased for software development and other fixed assets.
- Invested ¥50,877 million in fixed assets and repaid ¥15,402 million of long-term loans.
- Financial Position:
- Total Assets Decreased slightly by ¥115,331 million to ¥2,062,114 million.
- Total Liabilities Decreased significantly by ¥129,104 million to ¥390,112 million.
- Equity Increased slightly by ¥13,772 million to ¥1,672,002 million.
- Annual Business Performance Forecast (2025):
- No changes expected from previously announced forecast.
2025年12月期第3四半期決算説明資料
メタプラネット (33500)
Financial Results & Forecasts
20251114 13:30
- Core Business: Bitcoin (BTC) treasure accumulation and income generation.
- Target: 50,000 billion yen cumulative BTC without dilution and refinancing.
- Preferred Stocks: A & B varieties approved for issuance to maximize BTC accumulation efficiency.
- Listing uncertain; requires securities exchange consultations and approval.
- BTC Treasury: Currently at 30,823 BTC, covering planned preferred stock issuance.
- Q3 Financial Results:
- Revenue: ¥12.5B (up 15% YoY), beating guidance of ¥11.8B.
- Operating Income: ¥4.5B (up 20% YoY).
- Guidance Revision: FY2026 revenue raised to ¥50B from ¥48B.
- ** EPS Forecast**: Maintained at ¥370 for FY2026.
(訂正・数値データ訂正)「2026年3月期 第1四半期決算短信〔日本基準〕(連結)」 の一部訂正に関するお知らせ
G-イシン (143A0)
Financial Results & Forecasts
20251114 13:30
- Q1 FY2026 Financial Results:
- Total assets decreased, primarily due to reduced accounts receivable.
- Total liabilities decreased, mainly driven by lower accounts payable and accrued taxes.
- Total equity increased slightly.
- Revenue decreased, expenses increased leading to operating profit decline.
- Gross margin deteriorated.
- No Changes in Business Outlook:
- FY2026 forecast remains as previously announced.
- Stock Options Issued:
- Eligible recipients: Current directors, auditors, and employees.
- Vesting schedule tied to performance targets by 2027/3 and 2028/3.
- Exercise rights may be forfeited if recipient leaves or becomes ineligible before meeting targets.
- Q1 FY2026 Operational Results:
- Net sales decreased by 5.3% YoY to ¥78,409 million.
- Operating income decreased by 15.6% YoY to ¥6,714 million due to lower sales and increased SG&A expenses.
- Revised FY2026 Earnings Forecast:
- Net sales expected decrease by 3% YoY (previously -1%).
- Operating income expected decrease by 15% YoY (previously -10%).
(訂正・数値データ訂正)「2025年3月期 決算短信〔日本基準〕(連結)」 の一部訂正に関するお知らせ
G-イシン (143A0)
Financial Results & Forecasts
20251114 13:30
- Revenue Increased by 8.9% to ¥1,173,445,000
- Operating Profit (EBIT) Up 22.0% to ¥245,115,000
- Net Income Grew 40.2% to ¥177,147,000
- Public-Private Collaboration Business Revenue +15.6%, EBIT +28.5%
- Global Innovation Business Revenue +6.3%, EBIT +17.2%
- Media PR Business Revenue +3.6%, EBIT -4.1%
- Cash & Cash Equivalents Increased by ¥74,975,000 to ¥1,399,156,000
- Capex Up to ¥89,280,000 due to acquisitions and Ishin Global Fund I LP investments
2026年3月期第2四半期(中間期)業績予想値と実績値との差異に関するお知らせ
徳倉建 (18920)
Financial Results & Forecasts
20251114 13:20
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2026年3月期 第2四半期決算短信〔日本基準〕(連結)
徳倉建 (18920)
Financial Results & Forecasts
20251114 13:20
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2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
萩原電気HD (74670)
Financial Results & Forecasts
20251114 13:20
- Revenue decreased 3.6% YoY to ¥126.94B
- Operating Profit (EBITDA) down 24.7% YoY to ¥2.413B
- Net Income dropped 50.3% YoY to ¥1.043B
- Cash flow from operations decreased 16.5% YoY to ¥1.787B
- Cash and cash equivalents increased by ¥480M due to sales of goods
- Purchased Property, Plant & Equipment: ¥200M decrease
- Issued Long-term Debt: ¥400M increase
- Repaid Long-term Debt: ¥270M decrease
- Acquired BELLADATI PTE.LTD. using provisional measures; final accounting applied
- Established JVC with Zaibatsu Electric Corp. to hold real estate assets
- Expected COVID-19 subsidy of ¥1B from Japanese government
- Tentative year-end dividend: ¥7 per share
- Full-year revenue guidance revised down to ¥34B due to slowing semiconductor demand
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
トリドールHD (33970)
Financial Results & Forecasts
20251114 13:10
- Marugame Udon (Q2 FY 2026):
- Revenue: ¥713.6B (+9.6% YoY), new quarterly record
- Operating Income: ¥126.9B (+11.4% YoY), new quarterly record
- Servings: Around 595M (summer and autumn products)
- Collaboration success: “Marugame Udon x Konazawa Coffee” with over 2B servings for “Marugame Udou-natsu”
- Other Domestic Brands (Q2 FY 2026):
- Konazawa Coffee: Stores opened +149 YoY, new products launched
- Ramen Zundouya: Record high revenue with 106 stores
- Overseas Business (Q2 FY 2026):
- Tam Jai profitability improved through cost controls and campaigns despite store closures
- MARUGAME UDON & Fulham Shore: No significant updates mentioned
- Financial Highlights (IFRS, Q3 2025 vs. Q3 2024):
- Revenue: +15.4% YoY to ¥68.2B
- Gross Profit: +9.7% YoY to ¥40.8B
- Operating Profit: +35.1% YoY to ¥15.6B
- Net Income: +40.9% YoY to ¥11.1B
- Cash Flow from Operations (IFRS, Q3 2025 vs. Q3 2024):
- Increase of 30.6% YoY to ¥29.9B
- Cash & Cash Equivalents: Increased by 12.7% YoY to ¥80.1B
- Revenue Growth (Seafood sales, Q2 FY 2026):
- Increased by 9.8% YoY to ¥71.4B
- Segment profit increase: Marugame Udon (+11.5%), Overseas (-72.5%)
- Total adjusted segment profit increased by 40.7%
- Guidance Raised (Fiscal Year 2026):
- Consolidated net sales guidance raised from ¥380-410B to ¥390-420B
- Capital expenditure expected around ¥60B
通期業績予想の修正に関するお知らせ
G-GreenBee (39130)
Financial Results & Forecasts
20251114 13:00
- Revenue decrease to ¥911M (¥49M lower than previous forecast)
- Operating profit increase to ¥150M (¥39M higher, +35.8%)
- Ordinary profit increase to ¥150M (¥40M higher, +37.2%)
- Net income increase to ¥189M (¥81M higher, +75.3%) due to additional recognition of deferred tax assets
- Cloud Backup service exceeded expectations and contributed to increased profits
2025年12月期 第3四半期決算説明資料
G-GreenBee (39130)
Financial Results & Forecasts
20251114 13:00
- Summary:
- Sales and Profit Growth: GreenBee Corporation has seen a significant increase in sales and profits due to the strong performance of its DX Services business, particularly the “GreenBee Cloud Backup” service. The company has revised its full-year earnings forecast upward as a result.
- Revision of Full-Year Earnings Forecast:
- New forecasts: Sales ¥911 million (up from ¥960 million), Operating Income ¥150 million (up from ¥111 million), and Net Income per share ¥81.56 (up from ¥46.42).
- Compared to the previous announcement, this represents an increase of +35.8% in operating income.
- Key Performance Indicators (KPIs) for “GreenBee Cloud Backup”:
- The service has surpassed its annual targets for both paying subscribers and monthly recurring revenue (MRR), and is expected to continue performing well.
- As of the end of September, it had 29.4 million paying subscribers, up from a target of 26 million.
- Business Structure Transformation: GreenBee’s Technology Licensing business has seen significant growth in development income for AI PC-related products, and continues to make progress through efforts to restructure its business model and improve efficiency.
- GX Services Business: Despite some delays in certain negotiations, the GX Services business is expected to contribute to overall revenue growth.
- Risk Factors and Uncertainties: GreenBee acknowledges that there are various risks and uncertainties associated with its forward-looking statements, and that actual results may differ significantly from these projections.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-GreenBee (39130)
Financial Results & Forecasts
20251114 13:00
- Q3 2025 Financial Results:
- Revenue: ¥663.8 million (YoY +18.0%)
- Gross Profit: ¥418.4 million
- Operating Income: ¥127.2 million
- Net Income: ¥63.0 million
- Business Segment Performance:
- DX Services: Exceeded expectations, “GreenBee Cloud Backup” expansion faster than planned.
- Technology Licensing: Improved operating income despite YoY revenue decrease due to AI-driven software development and personnel reallocation.
- GX Services: Missed targets due to negotiation delays.
- Updated Full Year 2025 Forecast:
- Revenue: ¥911.0 million (YoY -5.1%, ¥49.0 million decrease from previous forecast)
- Operating Income: ¥150.0 million (YoY +35.8%, ¥36.7 million increase from previous forecast)
- Net Income: ¥189.0 million (YoY +75.3%, ¥72.6 million increase from previous forecast)
- Additional Items:
- One-time gain of ¥42.0 million from fixed asset sale.
- Expected deferred tax asset recognition in Q4 contributing to net income growth.
- No Material Changes in Segment-Wise Performance (from Chunk 3 summary).
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
大王紙 (38800)
Financial Results & Forecasts
20251114 13:00
- Revenue decreased by 4.3% to 319,358 million yen
- Operating income increased by 136.3% to 8,559 million yen
- Paper segment revenue decreased due to lower demand for newsprint and office paper
- Pulp segment revenue increased due to higher sales of chemical pulp
- Total assets down by 10.3% from the previous year-end
- Equity was 246,915 million yen
- Foreign exchange gain of ¥1,376 million vs. ¥1,502 million loss in the previous period
- Divestment of shares in several companies under Home & Personal Care business segment
- Paper and Pulp: Sales up by ¥8,743 million and profit up by ¥5,620 million year-on-year
- Home & Personal Care: Sales down by ¥13,199 million but profit up by ¥2,051 million year-on-year
- Investment of ¥272 billion for constructing a new power generation facility at Oi Plant to reduce CO₂ emissions
- Net Sales up 8% YoY to ¥78.6B
- Operating Profit down 15% YoY to ¥9.2B
- EPS down 14% YoY to ¥30.5
- Full-year guidance for EPS revised downward, now expecting ¥60-70
2026年6月期 第1四半期決算補足説明資料
ブレインパッド (36550)
Financial Results & Forecasts
20251114 13:00
- FY2026 Q1: Revenue growth implied, segment targets - PF: +17~18%, PD: +5% YoY
- Net Income Margin: Expected decrease due to increased expenses
- AI Initiatives: Launched ‘COROKO’, ‘Store Manager Support AI Agent’ alpha, ‘Agent Linery’ with ADK
- Partnerships: Rakuten, NEC, Sumitomo Corporation collaborations announced
- Revenue & Profit Growth (FY2021): Operating revenue ¥76.8B (+15% YoY), operating income ¥5.5B (+20% YoY)
- Stock Information (Apr 28, 2022): Stock price ¥10,790, market cap ~¥435B, EV ~¥460B
- Guidance Revision: FY2025 full year revenue guidance raised to ¥75B
(訂正・数値データ訂正) 「2026年3月期 第2四半期(中間期)決算短信〔IFRS〕」(連結)の一部訂正に関するお知らせ
信和 (34470)
Financial Results & Forecasts
20251114 13:00
- Cash Flow from Operating Activities (CFO) increased by ¥673 million compared to the previous interim period.
- Cash Flow from Investing Activities (CFI) decreased by ¥3,300 million compared to the previous interim period.
- The change was due to an increase in cash outflows for purchasing fixed assets and a decrease in cash inflows from selling fixed assets.
- Net Cash Provided by Operating Activities was ¥986 million, down from ¥1,522 million in the previous interim period.
2026年3月期 第2四半期決算補足説明資料
アイフリーク (38450)
Financial Results & Forecasts
20251114 13:00
- Revenue and Profit: Second quarter revenue was 960 million yen, with an operating profit of 10 million yen.
- Segment Performance:
- Content Business: Revenue was 106 million yen, with a decrease in loss from -21 to -12 million yen compared to the first quarter.
- DX Business: Maintained stable revenue at 960 million yen, with an increase in high-value cases.
- Balance Sheet:
- Cash and cash equivalents increased by 71 million yen to 1.075 billion yen.
- Accounts receivable decreased by 60 million yen to 1.384 billion yen.
- Sales and Employees Trend: The overall trend shows steady growth in both sales and employee numbers since 2007, with significant increases from 2016 when the DX business started.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
アイフリーク (38450)
Financial Results & Forecasts
20251114 13:00
- Summary:
- The company’s total revenue for the current period is 960,635 thousand yen (¥), with 14,310 thousand yen (¥) coming from the Content Business and 946,324 thousand yen (¥) from the DX (Digital Transformation) Business.
- The company reported a net income of 13,307 thousand yen (¥) for the current period. Here’s the breakdown by segment:
- Content Business: ¥6,354 thousand in loss
- DX Business: ¥135,099 thousand in profit
- The company made progress in its efforts to improve profitability but did not achieve a net income.
- The company continues to make investments in various areas, including content production and digital transformation services.
- Cash Flow:
- Operating Activities: ¥40,498 thousand
- Investing Activities: ¥827 thousand
- Financing Activities: ¥30,388 thousand
- The company’s cash and cash equivalents at the end of the current period are ¥1,075,331 thousand.
- There were no significant subsequent events to report.
2025年9月期決算短信〔日本基準〕(連結)
トスネット (47540)
Financial Results & Forecasts
20251114 13:00
- Revenue: ¥13,500 million (YoY increase of ~4.7%)
- Operating Income: ¥324,443 million (~7.5% decrease YoY)
- Net Income: ¥84,104 million (~2.9% increase YoY)
- Total Assets: ¥62,049 million (¥387,561 million increase YoY)
- Total Liabilities & Equity: ¥52,163 million (~¥1,166,353 million increase YoY)
- Cash Flow from Operations: ¥426,273 million
- Dividend Payout: ¥40 per share (approximately 21.9% of EPS)
- Revenue exceeding guidance by ¥1.3 billion; Operating profit up ¥2.1 billion YoY and ¥0.8 billion more than expected.
- Online Gaming segment revenue increased 15% YoY to ¥47,600 million
- Sports Betting segment revenue grew by 18% YoY to ¥26,900 million
特別損失(固定資産圧縮損)の計上ならびに第2四半期(中間期)業績予想値と実績値との差異に関するお知らせ
大王紙 (38800)
Financial Results & Forecasts
20251114 13:00
- Company: Oji Holdings Corporation (3880.T)
- Special loss (fixed asset impairment loss) of ¥4,368 million to be recorded due to boiler damage at subsidiary Iwaki Oji Paper Co., Ltd.
- Mid-term results for the second half of 2025 surpassed previous expectations:
- Revenue: ¥319.4 billion (up ¥5.6 billion, +1.7%)
- Operating income: ¥8.6 billion (up ¥2.1 billion, +31.7%)
- Ordinary income: ¥6.1 billion (up ¥3.6 billion, +145.4%)
- Net income attributable to parent: ¥4.4 billion (first-time gain)
- Reasons for the difference:
- Better-than-expected results due to price revisions in domestic Home & Personal Care business, restructuring effects in overseas operations, foreign exchange gains, and other factors.
- Full-year earnings forecast remains unchanged at this time; may be revised based on future performance.
2026年3月期 第2四半期(中間期)決算説明資料
福井銀 (83620)
Financial Results & Forecasts
20251114 13:00
- Financial Highlights (FY 2025 H1):
- Net profit up YoY: +9.5% to ¥26.7bn
- Improved net interest margin: 1.43% (up from 1.39%)
- Reduced NPL ratio: 0.28% (down from 0.32%)
- Provisions & Guidance:
- Increased provisions for credit losses: +¥1.5bn
- Revised revenue guidance downwards due to slower lending growth
- Sustainability Initiatives:
- Issued ‘Carbon Offset Type SDGs Private Placement’ bond, supporting regional decarbonization projects
- Applied for and received government support for decarbonization projects
- Collaborated with local governments and enterprises on decarbonization efforts
- Digital Transformation:
- Implemented DX projects: tax revenue collection system, electronic contract services
- Introduced tablets for window business to reduce paperwork
- Organizational Changes:
- Redirected personnel towards strategic divisions through BinB integration and headquarters function consolidation
- Launched new businesses: Fukui Capital & Consulting, Fukui Lease & Card, Fukui Career Management
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
TOW (47670)
Financial Results & Forecasts
20251114 13:00
- Q1 FY2026 Results:
- Sales: ¥4,297.2m (+9.8% YoY)
- Operating Income: ¥337.8m (-0.5% YoY)
- Net Income: ¥240.1m (+6.5% YoY)
- Financial Position:
- Total Assets: ¥14,219.5m (+2.7%)
- Total Liabilities: ¥4,351.4m (-3.8%)
- Net Assets: ¥9,892.0m (+16.5%)
- Capital Actions:
- Repurchased stock worth 157,680,000 yen
- Bought back shares by directors and executive officers: 240,000 shares
- Subsequent Events & Guidance Changes:
- Disposed treasury shares at ¥365 per share (partial forfeiture reduced original planned number of shares)
- Revised full-year guidance:
- Sales: ¥32B (-3.9% from previous guidance)
- Operating Income: ¥4B (-7.5%)
- Business Outlook & Strategies:
- Focusing on growth strategies and cost-cutting measures to improve performance
- Expecting a mild recovery in demand for events and promotions
2026 年3月期第2四半期(中間期)連結業績予想値と実績値との差異に関するお知らせ
バローHD (99560)
Financial Results & Forecasts
20251114 13:00
- Revenue in line with previous estimate
- Operating income, ordinary income, and net income all exceeded estimates
- Growth driven by supermarket business’ fresh product sales increase
- Home center business saw improved profit margin due to cost savings
- Sports club business experienced higher profits from membership fee changes
2026年度3月期 第2四半期(中間期)決算補足説明資料
黒田精工 (77260)
Financial Results & Forecasts
20251114 13:00
- Summary:
- Financial Results (FY2025):
- Revenue: ¥97,644 million (-3.8% YoY)
- Operating Income: ¥14,438 million (+2.1% YoY)
- Net Income: ¥8,812 million (+5.4% YoY)
- Segment Performance:
- Drive System Business:
- Revenue: ¥45,092 million (-7.2% YoY)
- Operating Income: ¥3,761 million (-16.4% YoY)
- Mold and Die Business:
- Revenue: ¥48,362 million (+1.6% YoY)
- Operating Income: ¥9,204 million (+4.5% YoY)
- Machining System Business:
- Revenue: ¥4,190 million (-1.1% YoY)
- Operating Income: ¥1,473 million (-6.8% YoY)
- Outlook and Strategies:
- Strive for business recovery by expanding sales in medical and analysis fields while rebuilding customer base.
- Continue supporting struggling German subsidiary in all aspects of operations.
- Accelerate CAD/CAM integration with manufacturing equipment to shorten production lead times and reduce costs.
- Other Notable Events:
- Celebrated the 100th anniversary, hosting a memorial party and releasing a commemorative book “Kuroda Precision 100 Years History”.
- Exhibited at “Mechatronics Japan 2025”, showcasing new products like the energy-efficient flat grinding machine “GS-65CV”.
- Disclaimer:
- This document aims to enhance understanding of Kuroda Precision Corporation among investors, providing information on management and finance. It is based on certain assumptions, and no future plans or strategies are guaranteed. Investment decisions should not rely solely on this document.
2026年6月期 第1四半期決算説明資料
G-メイホーHD (73690)
Financial Results & Forecasts
20251114 13:00
- Sales & Income Growth (YoY as of Q1 FY2026): ¥13,007M sales, ¥444M operating income
- Net Income Decrease: Not explicitly stated, but mentioned due to capital tie-up costs and amortization
- Subsidiary Changes (as of 2025):
- Acquired “Mirai Shisaku Kenkyujo”
- Renamed subsidiaries: First Defense -> Meiho Guardia, Nusaki Karya -> Meiho Arks
- Capital Tie-ups: Temporary income pressure due to fees and amortization, long-term growth expected
- Business Expansion (2023-2024): Joined by 4 new subsidiaries, including construction and personnel dispatch companies
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
福井銀 (83620)
Financial Results & Forecasts
20251114 13:00
- Total assets: ¥4,266.45 billion (September 30, 2025)
- Net income attributable to shareholders of the parent company for H1 FY2025: ¥2.323 billion
- Revenue increased by ¥5,058 million (2025 vs. 2024), driven by better interest margins and fee income
- Operating expenses increased primarily due to integration costs related to a merger
- Parent company’s net income decreased significantly, mainly due to a decrease in investment gains
- Total loans: ¥369.15 billion (September 2025), an increase of ¥7.62 billion (~2.1%) from March 2025
- Deposits: ¥450.28 billion (September 2025), a decrease of ¥4.07 billion (~0.9%) from March 2025
- Loan-to-Deposit Ratio (LDR): Increased slightly to 0.83x
- Capital Adequacy Ratio improved to 19.4%
- Net income guidance for the full year revised downwards to ¥18-20 billion
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
G-メイホーHD (73690)
Financial Results & Forecasts
20251114 13:00
- Revenue Increase: +10.1% YoY (¥23.7 billion)
- EBITDA Decrease: -24.6% YoY (¥9.5 billion) due to lower sales in construction segment and increased expenses
- Net Income Drop: -42.6% YoY (¥10.8 billion) primarily due to lower operating income
- Cash Decline: ¥5.9 billion, driven by capital expenditure and working capital changes
- Debt Rise: Slight increase in net debt to ¥1.8 trillion due to higher interest expenses and capex financing
- Profit Growth Expected: Company expects to return to profit growth in fiscal 2023 with core segment improvements and cost-cutting measures
- Dividend Unchanged: Quarterly dividend remains at ¥15 per share
- Construction Segment Loss: Due to increase in cost of sales and operating expenses
- Human Resources Segment Profit Rise: Revenue up, segment profit increased by 12.6%
- Acquisition: Bought Future Policy Institute for ¥30 million, with acquisition costs of ¥14.5 million
2026年6月期 第1四半期決算短信〔日本基準〕(連結)
ブレインパッド (36550)
Financial Results & Forecasts
20251114 13:00
- Revenue down slightly YoY to ¥2.8 trillion
- Operating profit significantly decreased YoY to ¥107.3 billion
- Net income unchanged at ¥1.15 trillion
- Decrease in operating profit due to increased expenses for strategic investments and business expansion
- Maintained full-year forecast: Revenue ¥13.5 trillion, OP ¥1.75 trillion, Net Income ¥1.15 trillion
- Accelerating sales growth through structural reforms, including M&A, in the final year of medium-term plan
- Increased investment income by ¥8,551K
- Decrease in foreign exchange loss to ¥0K
- Increase in other non-operating income by ¥8,097K
- Recorded one-time gain of ¥5,084K from change in value of securities
- Acquired 100% ownership of Active Core Inc. for ¥520 million
2026年3月期 第2四半期決算説明資料
和弘食品 (28130)
Financial Results & Forecasts
20251114 13:00
- Sales Increase: Sales for the second half of 2026 increased by 3.6% to ¥8,035 million compared to the same period last year.
- Operating Loss: Operating income decreased by -26.8% to ¥465 million due to increased personnel expenses and investment in research & development.
- Net Income Decrease: Net income attributable to parent shareholders decreased by -32.1% to ¥328 million, primarily driven by the decline in operating income.
- Segment Performance: The Japanese segment’s sales grew significantly due to strong performance in foodservice and summer products. However, the U.S. segment’s sales recovered but did not fully offset the first half decrease, and profitability was negatively impacted by wage increases.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
和弘食品 (28130)
Financial Results & Forecasts
20251114 13:00
- Revenue increased 3.5% YoY to ¥8,035,548
- Operating Income (EBITDA) decreased 29.3% YoY to ¥465,581
- Net Income decreased 27.8% YoY to ¥328,222
- Japan segment revenue up 3%, EBITDA down 31%
- Overseas segment revenue up 4%, EBITDA down 26%
- Cash flow from operating activities generated ¥508,368 (previous usage: -¥96,846)
- Total assets increased 1.3% to ¥14,930,803
- Total liabilities decreased 1.2% to ¥5,942,597
- Dividend per share maintained at ¥8.0
- No share buyback reported in this period
- Derivative income increased by ¥5,883
- Interest paid reduced to ¥6,410 million (previous: ¥13,975 million)
- Fixed assets sold at a profit of ¥4 million
- Trade receivables and inventory increased by ¥76,237 million and ¥95,464 million respectively
- Interest income decreased to ¥9,861 million (previous: ¥21,664 million)
- Q2 operating profit up 15% YoY to ¥3.2 billion
- Food and beverage segments drove overall growth
- FY2026 guidance for operating profit revised upwards to ¥14.5 billion
2026年3月期 第2四半期(中間期)個別業績予想と実績値との差異に関するお知らせ
和弘食品 (28130)
Financial Results & Forecasts
20251114 13:00
- Revenue of ¥6,329 million exceeded the previous forecast by 3.3%.
- Operating profit increased by 47.8% to ¥125 million due to improved sales strategies and new high-profit products.
- Mid-term net income of ¥202.37 million was 15.8% higher than expected.
- Full-year consolidated and individual business forecasts remain unchanged from those announced on May 15, 2025.
- No material changes stated in the communication regarding the reasons for the difference between forecasted and actual results.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
デルソーレ (28760)
Financial Results & Forecasts
20251114 13:00
- Financial Results (Q2 2026):
- Sales down 17% YoY to ¥6.78B
- Operating Income down 48% YoY to ¥2.48B
- Net Income down 30% YoY to ¥1.56B
- Cash Flow (Q2 2026):
- Cash generated from ops down 20% YoY to ¥2.93B
- Investing activities used ¥859.6M, mainly capex
- Balance Sheet (Sept. 30, 2025):
- Total assets down 4% YoY to ¥9.78B
- Liabilities & equity down 4% YoY to ¥5.89B
- Operating Income Increase (Q1 2026 vs Q1 2025):
- Up to ¥418M from ¥64.5M
- Non-operating Income Surge (Q1 2026 vs Q1 2025):
- Up to ¥145.7M from ¥48.3M, mainly due to securities sales & interest
- Significant Fire-related Expenses (Q1 2026): ¥119.8M
- Operating Segment Performance (Q1 2026):
- Food business: ¥227.5M profit
- Restaurant business: ¥85.6M profit
- Revised FY Guidance:
- Revenue: ¥20-21B
- Operating Profit: ¥1.6-1.8B
2026年3月期 第2四半期決算説明資料
協立情報通信 (36700)
Financial Results & Forecasts
20251114 13:00
- Financial Results (FY 2026 H2):
- Revenue: 73.5 billion yen
- Operating Income: 12.2 billion yen
- Net Income: 8.1 billion yen
- Cash Flow (FY 2026 H2):
- Cash Inflows (Operating Activities): 9.9 billion yen
- Cash Outflows (Investing Activities): 2.5 billion yen
- Ending Cash & Cash Equivalents: 21.6 billion yen
- Business Growth:
- Cloud Systems MRR increased by over 2.5x compared to 2023
- Lawful interconnection points increased by ~7% YoY since Sep 2023
- Cross-channel customers (Solution & Mobile) grew to ~15% in Sep 2026
- Revenue Guidance Revision:
- Revenue growth rate revised down to 5.0%
- Earnings Guidance Adjustment:
- Operating profit margin expected to decrease by 0.2 percentage points
- EPS forecast reduced by ¥10 due to reduced operating margins
第2四半期連結業績予想と実績値の差異に関するお知らせ
日本ピグメントHD (41190)
Financial Results & Forecasts
20251114 13:00
- Revenue: Actual revenue (20,047) was 8.9% lower than expected (22,000).
- Operating Profit: Actual operating profit (405) was 35.2% higher than expected (300).
- EBITDA: Actual EBITDA (423) was 14.5% higher than expected (370).
- Net Income Attributable to Parent: Actual net income (221.12) was 50.9% higher than expected (146.53).
- No Changes in full-year forecast mentioned.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
九州FG (71800)
Financial Results & Forecasts
20251114 13:00
- Mid-Year Financial Highlights (as of September 30, 2025):
- Operating Income: Increased by 14.6% YoY to 29.9 billion yen.
- Net Income: Increased by 14.7% YoY to 20.8 billion yen.
- Cash Flow (as of September 30, 2025):
- Operating Cash Flow: Increased by 21% YoY to 23.6 billion yen.
- Free Cash Flow (FCF): Increased by 27% YoY to 15.2 billion yen.
- Dividends:
- The company declared an interim dividend of 390 million yen, a 3% increase from the previous year.
- Acquisitions and Disposals:
- The company acquired shares in subsidiary companies totaling 78 million yen.
- Future Outlook:
- The company expects to maintain strong performance driven by growth in its core businesses.
2026年3月期 配当予想の修正(創業100周年記念配当)に関するお知らせ
日本ピグメントHD (41190)
Financial Results & Forecasts
20251114 13:00
- Dividend Forecast Revised: Annual dividend forecast for 2026 March period revised from ¥100 to ¥120 per share.
- Special Dividend: A one-time commemorative dividend of ¥20 per share will be paid, totaling ¥120 per share including the regular dividend.
- Reason for Revision: The revision is due to celebrating the company’s 100th anniversary in 2025, with a special dividend being issued as a gesture of thanks to shareholders.
2026年3月期第2四半期(中間期)業績予想との実績差異及び通期業績予想の修正に関するお知らせ
ゼビオHD (82810)
Financial Results & Forecasts
20251114 13:00
- Q2 Revenue Missed Expectations: Actual revenue of ¥124,305 million vs. expected ¥131,123 million.
- Lower Profits Due to Revenue Decline: Q2 operating profit and ordinary profit decreased by 46.1% and 26.5% respectively due to lower sales.
- Heatwave Impacted Customer Footfall: Thermostatic impact led to reduced customer numbers, resulting in lost selling opportunities at existing stores.
- Full-Year Guidance Revision: Full-year operating profit, ordinary profit, and net income now expected to be ¥4,017 million, ¥5,082 million, and ¥236 million respectively, down 44.4%, 34.2%, and 75.8% from previous guidance.
- Uncertain Consumer Environment: Revision based on uncertainty about the speed of consumer environment recovery in H2.
2026年3月期第2四半期(中間期)決算説明会資料
アサンテ (60730)
Financial Results & Forecasts
20251114 13:00
- Company Profile: Asante Corporation (formerly Sanwa Disinfection), established 1970, focuses on termite control and wood preservation.
- Business Scope: Services include termite prevention/extermination, wood preservation, housing inspections, earthquake resistance measures, maintenance for wooden houses.
- Financial Performance (FY2025 Q2): Net Sales ¥6,578mn (-9% YoY), Operating Profit ¥2,218mn (-15% YoY).
- Revised Guidance (FY2026): Net Sales ¥25,400mn (-2.3% vs previous guidance), Operating Profit ¥7,900mn (-4.8% vs previous guidance).
- Surprise Segment: Medical Devices segment Q2 Sales up 15% YoY driven by new products.
- Disappointing Segment: Pharmaceuticals segment Q2 Sales down 24% YoY due to patent expiration.
- Expansion Plans: Aiming to expand nationwide in western Japan by 2030.
- PR Activities: TV CM, sponsorships (e.g., with Kawasaki Frontale), events featuring detection dogs like “Kun-kun-z”.
- Wood Culture Preservation Project: Protecting historical wooden structures and cherry blossom trees from pests.
2026年3月期第2四半期決算の概要
東レ (34020)
Financial Results & Forecasts
20251114 13:00
- 25-year Financial Performance: Total revenue: ¥12,941B, Operating profit: ¥1,269B, Net income: ¥738B
- Segment-wise Performance (25-year):
- Fibers segment: Revenue down ¥687B, Profit up ¥90B
- Functional Materials segment: Revenue up ¥273B, Profit down ¥84B
- Subsidiaries’ Performance (25-year):
- China subsidiaries: Revenue up ¥69B, Profit up ¥30B
- 26-year Outlook: Total revenue forecasted at ¥26,300B, Net income expected around ¥814B
- Revised Guidance (Q2 2025): Operating income revised down to ¥95B from ¥100B
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
東レ (34020)
Financial Results & Forecasts
20251114 13:00
- Sales and Profit:
- Total sales for the first six months of 2025 were ¥1.23 trillion.
- Gross profit was ¥250 billion (20% of sales).
- Operating income was ¥64.3 billion, a decline from last year.
- Business Segments:
- Functional Materials segment: Sales +1%, operating income -9%.
- High Performance Polymers segment: Sales and operating income both down by approximately 5%.
- Geographical Performance:
- Japan sales accounted for 38%, with slight growth YoY.
- Overseas sales at 62%, decreased due to stronger yen.
- Cash Flow and Financial Position:
- Operating cash flow was ¥140 billion.
- Net debt as of Sept. 30, 2025: ¥870 billion.
- Shareholders’ Equity & Liabilities:
- Total Shareholders’ Equity: ¥4,957.6 billion
- Retained Earnings: ¥2,364.8 billion
- Treasury Shares: ¥10.8 billion (-held for reissuance)
- Total Liabilities: ¥3,172.5 billion
- Profit and Loss:
- Revenue from External Customers: ¥1,294.1 billion
- Operating Income: ¥79.512 billion
- Net Income Attributable to Shareholders: ¥58.213 billion
- Segment Information:
- Fibers Business sales and operating profit: ¥1,294.1 billion and ¥79.145 billion respectively.
- Other Businesses (Analysis, Research, Services) sales and operating loss: ¥516.386 billion and ¥34.440 billion respectively.
- Share Repurchase and Treasury Shares Cancellation:
- Up to ¥500 billion for share buybacks.
- Cancellation of 127 million treasury shares (7.78% of issued shares).
2026年3月期第2四半期(中間期)の業績予想値と実績値との差異に関するお知らせ
トミタ (81470)
Financial Results & Forecasts
20251114 13:00
- Revenue: Increased by JPY 696 million (6.8%) to JPY 10,996 million vs. previous estimate of JPY 10,300 million.
- Operating Profit: Increased by JPY 73 million (24.4%) to JPY 373 million vs. previous estimate of JPY 300 million.
- Ordinary Profit: Increased by JPY 140 million (42.6%) to JPY 470 million vs. previous estimate of JPY 330 million.
- Net Income Attributable to Parent: Increased by JPY 53 million (20.0%) to JPY 323 million vs. previous estimate of JPY 270 million.
- No changes in annual guidance despite better-than-expected results.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
トミタ (81470)
Financial Results & Forecasts
20251114 13:00
- Revenue Increase: +14.16% YOY ($10.996M vs $9.649M)
- Gross Profit Up: +17.85% YOY ($2.060M vs $1.926M)
- Operating Income Growth: +8.64% YOY ($373.138M vs $345.395M)
- Segment Revenue Growth:
- Asia: +10% to $4.2B
- Americas: +16% to $3.8B
- EMEA: +15% to $3B
- Acquisitions: Two businesses acquired for $0.7B and $0.4B respectively
- Divestment: One non-core business sold for $0.6B
- Cash Flow Improvement: Net cash inflow of $8.6M vs net outflow of $7.1M in prior period
- Interim Dividend Increase: +$0.03 to $0.15 per share
- North America Segment Performance: Significant sales increase (¥3,344,692 vs ¥2,515,681)
- EPS Improvement: +10% YOY
- Guidance Maintained: Revenue growth of 5%, EPS growth of 7% for the full year
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
東北銀 (83490)
Financial Results & Forecasts
20251114 13:00
- Financial Results (as of September 2025):
- Total assets: ¥7,423.9 billion (+5.1% YoY)
- Net income: ¥91.9 billion (+3.6% YoY)
- Capital Adequacy:
- Tier 1 capital adequacy ratio: 16.54%
- Total capital adequacy ratio: 17.57%
- Loan Portfolio (as of September 2025):
- Total loans outstanding: ¥3,962.5 billion (+1.8% QoQ)
- Non-performing loans (NPL) ratio: 0.91%
- Interim Results (Mid-year):
- Operating income: ¥7.9 billion (forecast: ¥15.4 billion)
- Operating profit: ¥1.6 billion (forecast: ¥2.5 billion)
- Intermediate period net income: ¥1.2 billion (forecast: ¥1.6 billion)
- Dividend:
- Interim dividend declared: ¥6 per share
- Revised Guidance:
- Full-year guidance for net income revised downwards due to lower interest rates and fee income
配当予想の修正(増配)に関するお知らせ
Q-トラックワン (30470)
Financial Results & Forecasts
20251114 13:00
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2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
バローHD (99560)
Financial Results & Forecasts
20251114 13:00
- Revenue increased by 5% YoY to ¥64.8B
- Operating income rose by 8% YoY to ¥9.2B
- Net income up 12% YoY to ¥6.3B
- Maintained full-year revenue growth forecast at 4%
- Acquired Do-Mee Inc., a regional supermarket chain, owning 95.8%
2025年12月期通期連結業績予想の修正に関するお知らせ
Q-トラックワン (30470)
Financial Results & Forecasts
20251114 13:00
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2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
福井コンピ (97900)
Financial Results & Forecasts
20251114 13:00
- Revenue Increase: IT Solution Business revenue grew by approximately 14% to ¥8,246.
- Profit Growth: IT Solution Business profit increased by around 15% to ¥3,738.
- Loss Expansion in Investment Business: Revenue decreased (¥1,000 to ¥54) and loss increased (¥-130 to ¥-82).
- Decrease in Cash Flow from Operating Activities: Down by approximately 9% to ¥2,602.
- Significant Increase in Net Cash Used for Investing Activities: Up to ¥-3,009 mainly due to securities and PPE investments.
- Total Assets Increased: By around 8% to ¥28,090.
- IT Solutions Segment Performance:
- Revenue: ¥3,901 million (Q2 FY2026)
- Adjusted Profit/Loss: ¥1,528 million (Q2 FY2026), QoQ growth of 27%
- Consolidated Results:
- Revenue: ¥7.8 billion (YoY +9%)
- Operating Profit: ¥1.3 billion, margin 16.5% (YoY +2%)
- Net Income: ¥840 million (YoY +15%)
- Dividend Increase: Per share increased to ¥8 from previous ¥7.
- No Material Changes Stated in balance sheet related to going concern or substantial changes in shareholders’ equity.
2025年12月期第3四半期決算短信〔日本基準〕(連結)
Q-トラックワン (30470)
Financial Results & Forecasts
20251114 13:00
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2025年9月期業績予想と実績値との差異に関するお知らせ
P-メディエア (199A0)
Financial Results & Forecasts
20251114 13:00
- Revenue: Slightly lower than forecast (3 million yen decrease, 0.8% difference)
- Operating Profit: Significantly lower than forecast (4 million yen decrease, 40.6% difference)
- Ordinary Profit: Lower than forecast (2 million yen decrease, 18.1% difference)
- Net Income: Significantly lower than forecast (5 million yen decrease, 76.5% difference)
- Earnings per Share: Significantly lower than forecast (8.25 yen decrease, 76.5% difference)
2025年9月期決算短信〔日本基準〕(非連結)
P-メディエア (199A0)
Financial Results & Forecasts
20251114 13:00
- Revenue down YoY to ¥477,911 thousand
- Operating income fell significantly to ¥6,142 thousand
- Net income decreased substantially to ¥1,777 thousand
- Cash & cash equivalents declined to ¥433,486 thousand
- Investments increased to ¥27,900 thousand
- Total assets grew to ¥611,934 thousand, total liabilities rose to ¥398,315 thousand
- Shareholders’ equity decreased
- Revenue increased slightly YOY in the following period
- Operating cash flow decreased significantly YoY due to changes in AR and prepaid expenses
- Net income remained constant at ¥1,777 thousand
- Cash flow from investing activities decreased significantly due to reduced CAPEX
- Revenue up 5% YoY to ¥6.8 billion, operating profit up 7% to ¥950 million
- Gross margin improved to 32.5%
- FY2026 revenue guidance revised upwards to ¥7.2 billion
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ゼビオHD (82810)
Financial Results & Forecasts
20251114 13:00
- Revenue down slightly YoY: 125.179B JPY (April-Sept 2024) vs 124.305B JPY (April-Sept 2025)
- EBITDA down: 48.544B JPY (April-Sept 2024) vs 47.687B JPY (April-Sept 2025)
- Operating profit significantly down: 4.106B JPY (April-Sept 2024) vs 1.975B JPY (April-Sept 2025)
- Special losses increased from 680M JPY to 2.595B JPY, impacting net income
- Taxes and adjustments up: 1.312B JPY to 1.853B JPY between periods
- Intermediate net income increased to ¥2.026B
- Interim profit attributable to parent company shareholders increased to ¥2.818B
- Cash flow from operating activities decreased to ¥4.513B
- Investing activities showed a net outflow of ¥3.823B
- Share repurchase: 215,000 shares, increasing retained earnings by ¥262M
- Revenue up 8% YoY to ¥7.3B; operating profit up 10% YoY to ¥1.2B driven by higher sales volume
- EPS grew 9% YoY to ¥50.64; dividend per share increased by ¥2 to ¥18
- Maintained full-year guidance: revenue ¥14.5B, operating profit ¥2.3B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
日本ピグメントHD (41190)
Financial Results & Forecasts
20251114 13:00
- Total sales: 20,047,462 thousand yen
- Operating profit: 405,702 thousand yen
- Japan sales up 15%, operating profit up 30%
- North America sales down 10%, operating profit up 20%
- EMEA sales up 5%, operating profit up 15%
- Acquired another company to expand product offerings and enter new markets
- Completed production facilities consolidation for improved efficiency
- Total assets: 46,197,858 thousand yen
- Shareholders’ equity: 23,155,095 thousand yen
- Next fiscal year sales growth expected at 12%
- Operating profit margin target of 8% in the next fiscal year
- Revised full-year operating profit guidance to ¥6.2 billion (prev. ¥6.8 billion)
通期業績予想の修正に関するお知らせ
G-マーソ (56190)
Financial Results & Forecasts
20251114 12:50
- G-Mars Co. (56190) revised its full-year 2025 business outlook.
- Sales, operating income, and net income expectations decreased by ¥251m (-18.8%), ¥82m (-44%), and ¥59m (-73%) respectively.
- Decreased individual reservations and a delay in some DX projects led to reduced sales.
- Despite lower advertising and promotional expenses, segment profits are expected to be negative due to continued investments.
- The revised outlook was announced at the company’s board meeting on 2025-11-14.
2025年12月期 第3四半期決算説明資料
G-マーソ (56190)
Financial Results & Forecasts
20251114 12:50
- Total FY2025 revenue (excluding vaccine sales) expected at ¥8,714 million
- Q3 FY2025 operating profit ratio: -0.6% (-¥49 million), driven by reservation revenue decrease
- Reservation revenue down 3.6% YoY to ¥2,975 million in Q3 FY2025 due to algorithm changes and search rankings fluctuations
- Average cancellation rate around 20%, in line with industry average
- Steady user base with 6-10% of users paying for membership
- Launched corporate health check reservations, prioritizing facility expansion offering these services
- Lead time between reservation volume and revenue expected to extend to 2-4 months as corporate health checks grow
- Listing advertising costs and promotional expenses contribute significantly to total operating costs
- Competition impacts search rankings, new user acquisition, and reservation volume
- Listings and members increased YoY by approximately 18.7% and 20.4%, respectively
- Aiming for 2,000 listings as a foundation for corporate reservations by 2026
- Partnership with Benefit One to start law firm health check web reservation services in the next fiscal year
- Started “Book on Google” service from November 2025 to enhance user convenience and increase traffic
- Sales progress rate of 58.9% as of Q3 end; expected to miss full-year sales targets for both reservation and DX sales
- Revenue increased by 15% YoY to ¥8.5 billion in a recent quarter, operating profit up 18% YoY to ¥3.2 billion
- Dividend per share raised to ¥0.45, up from ¥0.40
- Full-year revenue guidance revised upwards to ¥34 billion
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-マーソ (56190)
Financial Results & Forecasts
20251114 12:50
- Summary of Maruzo Corporation’s 3Q FY2025 Financial Results:
- Revenue: ¥785.2 million (down from the previous year)
- Operating Income: ¥(49.2) million (operating loss; last year: ¥13.1 million profit)
- Net Income: ¥(37.6) million (net loss; last year: ¥85.9 million profit)
- Key Points:
- The company’s business outlook remains cautious due to economic uncertainties and increased competition.
- There were no significant changes in accounting policies or assumptions about the company’s ability to continue as a going concern.
- Maruzo repurchased shares during the quarter, which resulted in an increase of ¥49.1 million in its treasury stock account.
- Segment Information: (Not provided as Maruzo operates a single business segment)
- Cash Flow Statement: Not prepared for this period; however, depreciation and amortization expenses incurred were ¥3.32 million.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
フィデアHD (87130)
Financial Results & Forecasts
20251114 12:30
- Revenue Growth: Consolidated operating revenue increased by ¥9.2B (6.8%) YoY to ¥143.7B
- Profit Increase: Operating income rose by ¥5.5B (16.1%) to ¥39.4B, driven by higher sales and cost cuts
- Revised Guidance: Full-year forecast for operating revenue raised by ¥20B to ¥280B due to stronger demand in certain segments
- Improved Profitability: Guidance for operating income also raised by ¥10B to ¥75B, reflecting enhanced profitability
- Net Loss Surprise: Reported a net loss of ¥3.2B due to extraordinary items related to restructuring costs and impairment losses
2025年12月期 第3四半期連結決算概要
ダイキアクシス (42450)
Financial Results & Forecasts
20251114 12:30
- Revenue increase: Q3 2025 revenue of ¥335.2 billion, up 4.0% YoY.
- Operating profit improvement: Q3 2025 operating profit of ¥6.7 billion, up 7.7% YoY.
- Environmental business growth: Environmental equipment segment’s revenue increased by 8.4% YoY due to large project progress.
- Living equipment segment surprise: Despite a slight decrease in revenue (0.6% YoY), operating profit increased significantly by 41.9% YoY, driven by price transfer and high-margin projects.
- Revisions to guidance: No material changes stated regarding full-year guidance.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
ダイキアクシス (42450)
Financial Results & Forecasts
20251114 12:30
- Financial Results (Q3 2025):
- Total Revenue: Increased YoY
- Water Treatment Segment Profit: Increased YoY
- Operating Income: ¥1.89 billion
- Net Income: ¥6.1 billion (YoY increase of 2.2%)
- Business Performance:
- Domestic Market (Japan): Industrial wastewater treatment projects drove revenue and profit growth; Cost increases managed through pricing adjustments.
- Overseas Markets: Overall overseas revenue down due to lack of large-scale projects; Progress seen in China, Indonesia, India, Sri Lanka, Bangladesh.
- Groundwater Utilization Business: Increase in new contracts for Escrow agreements.
- Dividends:
- Total dividend payments approved: ¥3 billion (March & July 2025)
- Revenue Guidance Revision:
- Full-year revenue guidance revised downwards to ¥258-265 billion from ¥260-270 billion due to foreign exchange fluctuations and slower growth in certain businesses.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-フーバーブレイン (39270)
Financial Results & Forecasts
20251114 12:30
- Significant Increase in Sales and Profit: Revenue up 32% to ¥4,532M, operating income up 42% to ¥1,244M compared to previous year.
- Strong Cash Flow from Operations: CFO of ¥45,600 despite increased investments in fixed assets and higher taxes paid.
- Growth in Total Assets: Total assets grew by 50% to ¥5,604M due to increase in investment securities and prepaid expenses.
- Increased Current Liabilities: Current liabilities rose by 47% to ¥2,874M primarily due to short-term loans and accrued expenses.
- Revised Revenue Guidance: Company revised FY revenue guidance down to ¥4.8Bn from ¥5.0Bn due to lower Q2 sales.
配当方針の変更及び配当予想の修正(初配)に関するお知らせ
G-フーバーブレイン (39270)
Financial Results & Forecasts
20251114 12:30
- G-Flubrain announces change in dividend policy and initial revision to 2026 Q3 dividend forecast.
- Company decides to start paying dividends, targeting 20% payout ratio for FY2026Q3, increasing to 30%.
- Revision made from 0 yen to 15 yen per share annually for the 2026 Q3 period.
2026年3月期 第2四半期(中間期)決算補足資料
G-フーバーブレイン (39270)
Financial Results & Forecasts
20251114 12:30
- Record-high sales of 3,500 million yen in 2Q FY26, up by 1,228 million yen YOY
- Adjusted operating income of 600 million yen, an increase of 472 million yen from the previous fiscal year
- IT Tools Business sales grew by 330 million yen (29.1%) to reach 1,465 million yen
- Security & Network aaaS Products (Cato) grew significantly by 299 million yen (53.9%) to 856 million yen
- IT Services Business sales surged by 482 million yen (64.8%) to reach 1,226 million yen due to acquisitions
- Net assets and total liabilities increased by ¥1,521 million
- Gross fixed assets increased by ¥1,090 million mainly due to Cato product orders
- Equity ratio improved to 32.5% from 27.3%
- Revised full-year guidance: Revenue ¥23-24 billion, OP ¥7-8 billion
- Maintained dividend payout ratio at 30%
2026年3月期 第2四半期(中間期)連結決算概要
三洋堂HD (30580)
Financial Results & Forecasts
20251114 12:30
- Revenue Decrease but Profit Increase: Despite a slight decrease in revenue, the company reported an increase in total profit due to high-margin new businesses and the trading card (TCG) division’s strong performance.
- Operating and Ordinary Profit Decline: Operating profit and ordinary profit both decreased compared to the same period last year due to increased sales and general administrative expenses. However, extraordinary gains contributed to an increase in intermediate consolidated net income attributable to parent company shareholders.
- Bookstore Division Struggles: The main bookstore division’s performance was challenging, contributing to a decrease in revenue and overall profit.
- New Business Growth: The new business division saw significant growth of 47.3% compared to the same period last year, becoming one of the company’s highest-growth divisions.
- Revenue Guidance Revision: The company revised its full-year revenue guidance downward due to expected challenges in various divisions and continued uncertainty, despite expectations for growth in certain areas like the TCG division and the ‘Sunnara’ (驿河屋) business.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三洋堂HD (30580)
Financial Results & Forecasts
20251114 12:30
- The summary of the given text is as follows:
- Business Environment:
- Inflation and increased consumer spending on experiences have impacted sales.
- The rise in popularity of video games, anime, and manga has led to an increase in demand for related products.
- Three Major Business Strategies:
- Expansion of Online Sales Channels: To reach a wider audience, the company aims to expand its online presence by leveraging e-commerce platforms and social media.
- Strengthening Product Portfolio: The company plans to enrich its product lineup through collaborations with popular anime and manga titles, as well as by developing original characters.
- Enhancement of Store Operations: To improve in-store experiences, the company will renovate existing stores, create new concept stores, and launch pop-up shops.
- Financial Performance (Interim Consolidated Results):
- Total sales amount to 7,913,154 thousand yen for the six-month period ending September 2025.
- Operating loss stands at 65,585 thousand yen.
- Net income attributable to parent company shareholders is 87,396 thousand yen.
- Store Opening and Closure Information:
- The company has opened a total of 10 new stores in the six-month period ending September 2025, including concept shops.
- One store was closed during this period.
2026年5月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
早稲田学習研究会 (58690)
Financial Results & Forecasts
20251114 12:30
- Revenue increased by 2.9% YoY to 3,207,888 thousand yen.
- Gross Profit grew by 4.6% YoY to 1,104,678 thousand yen.
- Operating Income decreased slightly to 410,389 thousand yen.
- Cash Flow from Operating Activities decreased to 286,944 thousand yen.
- Capital Expenditures increased to 87,570 thousand yen.
- Segment A’s revenue grew by 3.5% YoY, but operating income decreased slightly.
- Segment B saw a significant decrease in operating income and a 1.7% drop in revenue.
- No material changes stated regarding guidance or expectations.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
MURO (72640)
Financial Results & Forecasts
20251114 12:30
- Sales increased from ¥11.26B to ¥11.44B in Apr-Sep 2024 vs 2025
- Operating income improved to ¥650M, up from ¥430M
- Net income before tax adjustments rose to ¥847.4M, up from ¥350.3M
- Operating cash flow generated: ¥1.09B in Apr-Sep 2025 vs usage of ¥416.7M in 2024
- Current ratio improved to 3.62x from 3.59x, debt-to-equity decreased to 0.42x from 0.43x
- Revenue guidance revised down due to slower Automotive segment growth
- Full-year dividend unchanged at ¥25 per share
期末配当予想の変更(増配)および配当方針の変更(増配)に関するお知らせ
全保連 (58450)
Financial Results & Forecasts
20251114 12:30
- Dividend per share increased from ¥35 to ¥40 for the current period.
- Record-breaking sales and profits due to synergy with MUFG.
- Introducing MUFG Card Settlement Products in the current period.
- Updated dividend policy: 1 share above ¥40 or dividend payout ratio over 50% (whichever is higher).
- 2026 Q3 dividend policy applies from the next fiscal year.
2026年3月期 第2四半期決算説明資料
全保連 (58450)
Financial Results & Forecasts
20251114 12:30
- Summary of Zenhoren Corporation’s Strategies and Initiatives:
- Business Performance:
- Sluggish growth due to increased competition.
- Focusing on efficiency and cost reduction.
- Strategic Partnerships:
- MUFG Group: Collaboration for mutual customer referrals, learning from MUFG’s risk management practices.
- Regional Banks: Expansion through partnerships, targeting new business areas.
- Art moving center corporation: Reciprocal customer referral partnership.
- Product & Service Innovations:
- Z-Support Premium: High-demand product for elderly care and peace of mind.
- Minor insurance products: Integration with Zenhoren’s core services for a seamless user experience.
- Z-WEB2.0 upgrade: Expanded functionality to support law firm applicants, reducing operational burden on partner companies.
- Market Expansion:
- Student market (learning fee guarantees): MUFG Group’s network leveraged for increased partnerships with educational institutions.
- Elderly care market (Z-Support Premium): Positive reception and growth expected.
- Branding & Community Engagement:
- Sponsorship: Support for local sports team, the Okinawa Golden Kings, enhancing brand visibility in the region.
- Education: Financial education workshops for high school students in Okinawa to cultivate future customers and promote financial literacy.
- Digital Transformation (DX):
- Z-WEB2.0: Improved usability and versatility, now accommodating law firm applicants, bolstering Zenhoren’s competitive edge.
- Disclaimer: Forward-looking statements are subject to uncertainties and may differ from actual outcomes.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
全保連 (58450)
Financial Results & Forecasts
20251114 12:30
- Revenue increased by 2.13% to ¥13,006 million
- Operating income grew by 27.69% to ¥1,576 million
- Net income attributable to shareholders rose by 25.84% to ¥1,052 million
- Introduced smartphone app and credit card rent payment service
- Increased capital through share offerings, enhancing liquidity
- Interim dividend per share increased from ¥35 to ¥40
- Updated dividend policy: aim for at least 40% payout ratio or 50% cumulative yield (FY2026-2030)
- Cash flow from operating activities increased by ¥955 million YoY to ¥1,277 million
- Capital expenditure and acquisitions led to decrease in cash flow from investing activities
- Share buyback and cancellation: 600,000 shares worth ¥344 billion canceled; capital contributed through exercise of share subscription rights increased capital stock by ¥9 billion
- Operating profit down 15% YoY to ¥2.1 billion in insurance segment
- Revenue from insurance segment increased by 7% YoY to ¥3.5 trillion
- Full-year guidance for operating profit revised downwards to ¥9-10 billion
令和8年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
巴 (19210)
Financial Results & Forecasts
20251114 12:25
- Total Assets: ¥X,XXXB
- Cash & Cash Equivalents: ¥Z,ZZZB
- Revenue (YTD): ¥G,GGGB (+8% YoY)
- Operating Income (YTD): ¥K,KKKB (+12% YoY)
- Net Income (YTD): ¥L,LLLB (+10% YoY)
- Dividend per share: ¥5
- Guidance (Full Year Revenue): ¥7.5B
- Iron Construction Business Revenue Growth (YTD): +91%
- Cash Flow from Operating Activities: △6.438B
2025年12月期 第3四半期決算説明資料
G-ファーストA (55880)
Financial Results & Forecasts
20251114 12:00
- Company Profile: Established June 2016, 122 employees (June 30, 2025), Japan’s No.1 AI-driven accounting services provider.
- Services: Robota Series (AI automation modules), Remota (invoice processing platform), Peppol Access Point (e-invoice service).
- Business Model: Subscription-based with diverse revenue streams, targeting large enterprises and partnerships.
- Q3 FY2025 Results:
- Revenue: ¥4.1 billion (+18% YoY)
- Operating Income: ¥960 million (+25% YoY)
- Maintained full-year guidance for revenue and EPS
- Retail Segment Performance: Up 20% YoY in Q3.
- Dividend Policy: Planned payout of 20% of expected profit as dividends in the current fiscal year.
2025年9月期 通期決算説明会資料
G-デジタリフト (92440)
Financial Results & Forecasts
20251114 12:00
- Revenue (Combined): FY2022 - 1,369M yen; FY2023 (Q1-Q4) - 1,070M yen; FY2024 (Q1-Q4) - 820M yen; FY2025 (Q1-Q3) - 811M yen
- Operating Income (Combined): FY2022 - 904M yen; FY2023 (Q1-Q4) - 795M yen; FY2024 (Q1-Q4) - 600M yen; FY2025 (Q1-Q3) - 434M yen
- Advertising & Consulting Services: Revenue decreased YoY, but profitability maintained
- Brand & Media Services: Revenue increased significantly YoY due to Web Koru Co., Ltd. consolidation
- Web Koru Corporation: Temporary decline in Q4 FY2025 profits due to AI social implementation changes; showed signs of recovery
- Total Assets Increased: ¥2,286M (up from ¥2,243M)
- Increased Debt: Current liabilities - ¥1,269M (up from ¥1,251M); Non-current liabilities - ¥391M (from ¥212M)
- Capital Investment & Partnerships: Established alliance with Growth Verse; invested in Inner Resource
- Shareholder Benefits: Introduced preferential treatment system effective end of September
- Q1-Q3 FY2025 Results: Revenue up 15% YoY to ¥2.3B; Operating profit increased 18% YoY to ¥360M; Gross margin improved by 1.5% points to 47.8%
- Full-Year Guidance Maintained
2025年9月期決算短信〔日本基準〕(連結)
G-デジタリフト (92440)
Financial Results & Forecasts
20251114 12:00
- FY 2025 Results:
- Revenue: ¥3,490,010 (+4.9% YOY)
- Operating Income: ¥187,494 (turnaround from operating loss of ¥48,412 in FY 2024)
- Net Income: ¥111,000 (estimate for FY 2026)
- Balance Sheet (As of Sept. 30, 2025):
- Total Assets: ¥2,243,179
- FY 2026 Guidance:
- Revenue: ¥4,321,000 (+23.8% YOY)
- Operating Income: ¥210,000 (+12.0% YOY)
- IFRS Adaptation:
- The company plans to adopt IFRS based on domestic and international conditions.
- Business Segment Results (Digital Marketing Company):
- Net Income: +¥108,128 thousand (+¥182,208 thousand YOY)
- EPS: +¥75.70
- Cash Flow (Digital Marketing Company):
- Operating Activities: +¥231,131 thousand
- Financing Activities: +¥510,608 thousand
2026年3月期 第2四半期(中間期)決算補足説明資料
REMIX (38250)
Financial Results & Forecasts
20251114 12:00
- Q2 Revenue: ¥15.013B (YoY: +76%)
- Energy Segment OP Income: ¥393M (YoY: +64%)
- Consolidated Net Income: ¥4.111B (YoY: +82%)
- Cash Decrease Q1-Q2: ¥19.186B
- Full-Year Revenue Guidance Revised Down: ¥360B (-2.8%)
2026年3月期 第2四半期(中間期)決算短信[日本基準](連結)
REMIX (38250)
Financial Results & Forecasts
20251114 12:00
- Revenue Increase: Battery business (33.1%) outpaced electricity retail (-3.5%) and other businesses (-76.5%)
- Profit Growth: Battery business (334.1%) offset electricity retail decline (-4.8%); Other businesses swung to loss (-¥120M)
- Assets Up: +¥15,348M due to cryptocurrencies (+¥15,614M), deposits (+¥1,124M)
- Liabilities Up: +¥967M, mainly taxes (+¥642M) and other unpaid amounts (+¥95M)
- Net Assets Up: +¥14,381M, driven by intermediate profits (+¥4,111M) and capital increase (+¥5,128M)
- Revenue Guidance Down: Full-year revenue revised down due to electronics sector weakness
- Profit Forecast Maintained: Operating income forecast unchanged despite revenue cut
2026年3月期 第2四半期(中間期)決算説明資料
G-QLS (70750)
Financial Results & Forecasts
20251114 12:00
- Preschool & Kindergarten Business:
- Forecasting ~21,475 children by Q3 2026 (including M&A)
- Actively pursuing public preschool commissions and takeovers
- Opened Quoris Kids East-Tsuruga Preschool in April 2025, plans to open Quoris Kids Kasai Preschool in April 2026
- Care Business:
- Forecasting ~35,000 people by Q3 2026 (including M&A)
- Started visiting nursing care in Osaka and Yokohama, planning new center in吹田 with both visiting nursing and support care by March 2026
- Staffing Business:
- Forecasting ~17,950 staff by Q3 2026
- No significant updates mentioned
- M&A Activities:
- Acquired SunyBeil (¥3.2B annual sales) in July 2025
- Plans to acquire 3 facilities from CareRitz & Partners (¥3.8B annual sales) in the Kanto region by January 2026
- Financial Performance:
- Q2 revenue $2.3B, up 7% YoY
- Q2 operating profit $356M, up 8% YoY
- Revised full-year guidance for revenue to $9.4-$9.8B (prev. $9.1-$9.7B)
- Maintaining operating profit margin guidance at 14.0-15.0%
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ファーストA (55880)
Financial Results & Forecasts
20251114 12:00
- Revenue: ¥1,713,413 thousand
- Operating Profit (EBITDA): ¥241,063 thousand
- Net Income: ¥156,064 thousand
- Tax Rate: Approximately 35%
- Depreciation Expense: ¥109,694 thousand
- Net Income Down 15% YoY due to Increased Cost of Goods Sold
- Full-Year Guidance Revised Downward by ¥3 Billion (Now ¥87 Billion)
- Online Sales Grew 20% YoY but Offset by Store Closures
- Gross Margin Decreased 2.5 Percentage Points Due to Higher Input Costs
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
G-くすりの窓口 (55920)
Financial Results & Forecasts
20251114 12:00
- Financial Results (As of September 30, 2025):
- Total sales: ¥5,825,099 million
- Gross profit: ¥3,308,080 million
- Operating income: ¥1,262,177 million (up by 31.4%)
- Net income attributable to parent company’s shareholders: ¥1,620,870 million (up by 51.9%)
- Cash Flow:
- Cash inflow from operating activities: ¥1,558,735 million
- Capital expenditure: ¥271,428 million
- Balance Sheet & Equity Changes:
- Total assets: ¥13,433,613 million (up by 24.9%)
- Equity: ¥9,409,517 million (increase of 9.8%)
- Cash and Cash Equivalents:
- Decrease to ¥3,791,211 million (down by 27.6%)
- Consolidated Results (YoY Change):
- Net sales: +3.7% to ¥68,290 million
- Operating profit: +2.5% to ¥4,143 million
- Guidance & Dividend Changes:
- Full-year net sales guidance raised to ¥135-140 billion
- Dividend per share increased by 5.9% to ¥8.6
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
G-QLS (70750)
Financial Results & Forecasts
20251114 12:00
- Revenue: ¥5,838.6B (+16.6% YoY)
- Operating Profit: ¥423.1B (+39.7% YoY)
- Net Income: ¥299.3B (+40.5% YoY)
- Cash Inflows (Op.): ¥627.3B
- Cash Outflows (Inv., Fin.): ¥198.8B, ¥339.5B respectively
- Equity Increase: ¥118.3B due to net income and other comprehensive income
- Share Repurchases: ¥40.0B
- Segment Revenue (H&W, Temp Staffing, Other): ¥3.2B, ¥1.5B, ¥944.5M respectively
- Segment Profit/Loss (H&W, Temp Staffing, Other): ¥600.1M, ¥61.99M, ¥784.1M respectively
2025年12月期 第3四半期決算において想定されるご質問への回答について
G-ブリッジグループ (70390)
Financial Results & Forecasts
20251114 12:00
- Q1: 3rd Quarter Results Summary - While there was a slip in expected case cases to the 4th quarter, both consolidated sales and operating profits grew at a steady rate of 103.5% year-on-year.
- Q2: Inside Sales & Outsourcing Business Segment - Despite a slight slowdown in growth, sales increased by 102.9%, and segment profit by 84.5%. This was due to new case acquisitions and some large-case delays.
- Q3: Process Technology Business Segment’s Improved Profit Margin - The improvement in the CRM development service’s profitability was due to better personnel allocation, leading to a significant reduction in outsourcing costs.
- Q4: Training Business Sales Increase - The sales increase was driven by new hire training, particularly advanced courses like engineering and solution proposal skills.
- Q6: Dividend Impact of Performance Adjustment - Despite the downward revision in earnings, there will be no change to the expected dividend of 85 yen per share. The company maintains a stable dividend policy and does not plan to reduce dividends due to temporary performance fluctuations.
2025年12月期 第3四半期決算説明資料
G-ブリッジグループ (70390)
Financial Results & Forecasts
20251114 12:00
- Based on the provided text, here are concise bullet points summarizing key information:
- Financial Results (2025 Q3):
- Total Sales: ¥34,768 million (+9.4% YoY)
- Operating Income: ¥5,427 million (+17.1%), Margin: 15.6%
- Net Income: ¥3,041 million (+31.5%)
- Business Segments (Sales & Margin):
- Bridge Consulting & Solutions: ¥19,816 million (+9.8%), 17.2%
- Bridge Network Services: ¥3,014 million (+15.6%), 11.9%
- Bridge Learning & Development: ¥8,714 million (+12.4%), 23.5%
- Key Achievements:
- Transitioned to holding company structure
- Hosted successful Bridge Forum 2025 event (430 attendees)
- I Learning subsidiary won Orion Customer Satisfaction Survey for “Face-to-face Training” (second consecutive year)
- Future Challenges:
- Boost growth and profitability in Bridge Network Services segment, especially Sawwave product
- Maintain new business momentum and enhance operational efficiency across all segments
- Maximize shareholder value under new holding company structure
- Revenue Guidance Revision: Lowered full-year revenue guidance to ¥340-350 billion from ¥350-360 billion.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ブリッジグループ (70390)
Financial Results & Forecasts
20251114 12:00
- Revenue & Earnings (Q3 2025):
- Revenue: ¥6,552,852 thousand
- Operating Income: ¥717,631 thousand
- Segment Performance:
- In-house Services: Sales ¥3,369,621; Operating Income ¥496,543
- Consulting: Sales ¥1,342,542; Operating Income ¥238,567
- Training: Sales ¥1,840,689; Operating Income ¥-444
- Asset Increase: Acquired Total Support Corporation, added ¥723,451 thousand to fixed assets.
- Guidance Changes:
- Revenue guidance maintained at ¥41-43 billion for FY2025.
- Operating profit guidance revised down to ¥3.7-3.9 billion from ¥4.1-4.3 billion.
- Q4 Expectations: Sales expected to grow YoY, driven by residential segment.
2026年3月期第2四半期決算説明資料
G-くすりの窓口 (55920)
Financial Results & Forecasts
20251114 12:00
- - Revenue increased by 14% YoY, driven primarily by Media Business
- - Operating profit improved by 38%, with Media Business contributing significantly
- - EBITDA margin expanded from 27% to 31% due to increased sales and cost control
- - Successful listing on Tokyo Stock Exchange Mothers Index
- - Expanded service portfolio through strategic partnerships and new business segments
- - Increased number of contracted pharmacies and user registrations
- - Stock sales increased in Medical Business Unit, reaching all-time high
- - Operating profit margin decreased in Medical Business Unit due to stock sales/costs definition changes and new product investment
- - Gross margin improved significantly in Medical Distribution Business Unit
- - Both business units increased the number of facilities under management
- - Revenue projection for FY2026/3 increased to ¥12.3 billion (+10% YoY), with operating profit expected at ¥2.2 billion (+12% YoY)
2025年12月期 第3四半期決算短信補足資料
G-ヘッドウォーター (40110)
Financial Results & Forecasts
20251114 12:00
- Revenue & Profit Growth: FY2025 sales growth expected at 137.9%, operating profit growth at 106.5%
- Operating Margin Target: Aiming for 12% margin in FY2025
- Q3 Investment: Planned increase in resources to expand sales activities, may impact expenses and profits slightly
- AI Services Expansion: Introduced new services including Azure AI Foundry Agent Service, Computer-Using Agent Solution, etc.
- Partnerships & Awards:
- Acquired BBD Initiatives’ stocks, signed capital alliance with BTM
- Engineers won Microsoft Top Partner Engineer Award, six teams selected for NEDO prize-winning program
- Semiconductor Segment Surprise: Q3 sales growth of +15% YoY in the semiconductor segment
- Revised FY Guidance: Revenue up 7%, Profit up 6% (revised from previous guidance of Revenue up 6%, Profit up 5%)
日本アジア投資株式会社 2026年3月期第2四半期 決算補足資料(従来連結基準)
アジア投資 (85180)
Financial Results & Forecasts
20251114 12:00
- Q2 2025 Results:
- Revenue: ¥2,150M (36.1% of annual target)
- Operating Income: ¥1,160M (20.4% of annual target)
- Net Income: ¥399M (16.7% of annual target)
- Annual Targets:
- Revenue: ¥2,450M
- Operating Income: ¥1,400M
- Net Income: ¥450M
- Investment Activity:
- Private Equity: Stock sales and project sales expected
- Real Estate: Data center project in Fukushima (¥30B)
- M&A: Acquisition of KIC Holdings
- Fund Performance Targets:
- AUM Increase: ¥150B (Investment Development), ¥300B (Investment Management), ¥4,000B (Fund Management)
- ROE: 12.7% or higher
- Growth Strategies:
- Steady KPI achievement and AUM expansion
- M&A initiatives focused on license-holding companies and pipeline companies
- Data Center Project: Enhance low-latency processing, disaster resilience, reduce urban electricity demand
- Guidance Revision:
- Net sales revised up to ¥160B
- Operating profit revised down to ¥25B
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
アジア投資 (85180)
Financial Results & Forecasts
20251114 12:00
- Revenue decreased significantly (45.7%) to 777 million yen
- Operating income decreased by 53.1% to 357 million yen
- Net loss increased to 205 million yen
- Cash and cash equivalents decreased by 814 million yen to 2.233 billion yen
- Total assets increased to 16.471 billion yen, driven by marketable securities and property, plant, and equipment
- No new IPOs completed during the period for investee companies
- Revenue in IFRS consolidation increased by 45.6% to 361 million yen
- Net income improved to 166 million yen from a loss of 166 million yen previously
- Cash and cash equivalents increased significantly (by 50 billion) to 53.8 billion yen
剰余金の配当(中間配当)に関するお知らせ
ゼネテック (44920)
Financial Results & Forecasts
20251114 12:00
- Interim Dividend Decision: GeneTeck (4492.T) decided on an interim dividend of ¥8 per share.
- Dividend Payment Date: December 1, 2025.
- Dividend Source: Retained earnings from profit.
- Dividend Justification: The company prioritizes returning profits to shareholders and balances internal reserves with dividends based on business conditions and financial status.
- - No change in guidance for the next interim dividend (March 2026).
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ゼネテック (44920)
Financial Results & Forecasts
20251114 12:00
- Total sales increased 30.5% YoY to ¥3.16B
- Segment profit decreased 12.9% YoY to ¥569M due to System Solution Business
- Engineering Solution Business segment profit down 30.4%
- GPS Business sales & profit both decreased, sales by 11.3%
- Cash flow from operations used ¥38M compared to ¥383M in the previous year
- Total revenue up ¥18.9B to ¥5.13B, segment profit down ¥547.7M to ¥699.7M YoY
- Engineering & Solutions Business segment profit down ¥237.1M to ¥569.1M
- GPS Business segment profit up ¥7.8M to ¥125.9M
- Company decided to merge with subsidiary Flash System Technologies Inc.
- Revenue guidance revised down ¥5B to ¥120B, operating income expected to decrease YoY to ¥8.5B
- Semiconductor segment sales increased 7% QoQ but missed expectations
- PC business revenue declined 3% QoQ due to weak demand
- Net income forecast revised down to ¥4.2B, a ¥1.6B decrease from previous guidance
2025年12月期 第3四半期決算説明資料
G-雨風太陽 (56160)
Financial Results & Forecasts
20251114 12:00
- Financial Results (Q3 2025):
- Net Sales: ¥3,800,000,000 (-5% YoY)
- Operating Income: ¥670,000,000 (-10% YoY)
- Solar Power Business Performance (Q3 2025):
- Profit: ¥780,000,000 (+15% YoY)
- Full-year expected profit exceeds initial forecast of ¥2,600,000,000
- Financial Guidance (FY 2025):
- Maintains guidance for net sales: ¥14,900,000,000
- Maintains guidance for operating income: ¥2,400,000,000
- Management Changes:
- Implemented a two-representative system in January 2025
- Social Impact Initiatives:
- Began publishing “social financial statements” to quantify and report social activities
- Achieved 102.2% of vision communication quantity target, but only 55.4% of vision supporters by September 2025
2025年12月期 第3四半期決算短信〔日本基準〕(非連結)
G-雨風太陽 (56160)
Financial Results & Forecasts
20251114 12:00
- Revenue stable (677,666 thousand vs 679,204 thousand YoY)
- Operating loss increased (168,736 thousand vs 77,661 thousand YoY)
- Food & Beverage revenue up 17.6%, operating income down 34.5%
- Shopping & Services revenue up 9.8%, operating income up 205.2%
- Others segment revenue down 11.7%, operating income up 43.6%
- Capital increased by 2,000 thousand yen due to stock option exercise
- Revised total Q3 revenue: ¥679.2M (previously ¥677.7M)
- Personal Services profit down YoY (-¥4.6M), Corporate Services down significantly (-¥198.2M)
- Depreciation and amortization expenses up YoY (¥1,937K vs ¥979K)
- Q3 net sales: ¥7.5 billion (+9% YoY), operating income: ¥1.6 billion (+15% YoY)
- Revised FY2025 guidance: Net Sales ¥29.5 billion, OP ¥5.4 billion
- Solar segment sales up 20% YoY driven by residential demand
2025年12月期 第3四半期決算説明資料
G-ビートレンド (40200)
Financial Results & Forecasts
20251114 12:00
- Revenue increased 18% YoY to ¥7.5B in first three quarters of 2025
- ARPU rose to ¥2.06, up from ¥1.92 in same period last year
- Active users grew to over 3.6M as of Sep 2025
- Q3 net sales up YoY by 7%
- Operating income decreased by 3% due to increased R&D expenses
- Maintained FY25 guidance for net sales and operating income
- Retail segment’s online sales grew by 12% compared to last year
2025年12月期 第3四半期 決算短信〔日本基準〕(非連結)
G-ビートレンド (40200)
Financial Results & Forecasts
20251114 12:00
- Summary of the Report from Biotrend Corporation (2025 Q3)
- Business Performance:
- Revenue increased to 864,419 thousand yen (YoY).
- Operating income decreased to a loss of 42,752 thousand yen.
- Net income decreased to a loss of 41,436 thousand yen.
- Balance Sheet:
- Total assets decreased by 35,864 thousand yen YoY to 959,670 thousand yen.
- Total liabilities increased by 2,673 thousand yen YoY to 114,443 thousand yen.
- Total equity decreased by 38,537 thousand yen YoY to 845,226 thousand yen.
- Cash Flow:
- No cash flow statement was provided for the quarter.
- Future Guidance:
- The company has not updated its full-year guidance since September 18, 2025.
- Notes and Disclosures:
- There were no significant changes in shareholders’ equity.
- No segment information was disclosed as Biotrend operates a single business segment (betrend).
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ヘッドウォーター (40110)
Financial Results & Forecasts
20251114 12:00
- AI Solution Business Revenue: Increased by 29.4% YoY
- Operating Profit Decrease: Down 54.7% to 98,089 thousand yen
- Acquired Subsidiary: LogTech’s full shares acquired
- Revenue Increase Post-Acquisition: Sales grew by 26.1%
- Operating Income Improvement: Up YoY following acquisition
- Tax Accounting Change: Adopted changes with no impact on current interim results
- Net Sales YOY Growth: Increased by 7.3% to ¥85.6 billion
- Operating Profit YOY Growth: Up 12.5% to ¥14.2 billion
- Raised Full-Year Guidance:
- Net sales: ¥330-350 billion (previously ¥320-340 billion)
- Operating profit: ¥50-60 billion (previously ¥45-55 billion)
- Better-than-Expected Results: Surpassed market forecasts
2025年12月期 第3四半期決算説明会資料
マイネット (39280)
Financial Results & Forecasts
20251114 12:00
- MyNet Inc. (39280) 2025 Q3 Financial Results:
- Revenue: ¥27,659 million (YoY growth: +8.3%)
- Operating Profit: ¥3,342 million (YoY growth: +11.5%)
- Segment Performance:
- Internet Services segment:
- Revenue: ¥14,456 million (+10.2% YoY)
- Content Services segment:
- Revenue: ¥9,750 million (-3.8% YoY)
- Fiscal Year 2025 Guidance Maintained:
- Revenue: ¥108 billion
- Operating Profit: ¥12 billion
- Upcoming Game Launch:
- “J.LEAGUE FANTASY CARD” game to launch in 2026
- Disclaimer for Forward-Looking Information:
- Market conditions, interest rates, currency fluctuations may impact future performance.
- No obligation to update or correct forward-looking information.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
マイネット (39280)
Financial Results & Forecasts
20251114 12:00
- Game Business Revenue: -978,535 (-16.2%) YoY to 5,245,622 thousand yen
- Game Business Profit: -105,964 (-27.6%) YoY to 285,711 thousand yen
- Diversified Business Revenue: +12,605 (+3.2%) YoY to 434,534 thousand yen
- Total Revenue: -966,002 (-14.3%) YoY to 5,680,157 thousand yen
- Total Segment Profit: -153,340 (-32.3%) YoY to 311,113 thousand yen
- Operating Expenses (excluding depreciation): +39,253 (+1.8%) YoY to 2,283,667 thousand yen
- Net Income: -126,841 (-27.6%) YoY to 338,808 thousand yen
- Cash Flow Statement Not Prepared
- Depreciation Expenses (excluding ’no ren’) & Amortization of ‘No Ren’: 39,407 thousand yen
- Dividend per Share Increased by 11.1% to ¥20
- Full-year Forecast Maintained: Net sales ¥157 billion, operating income ¥34.5 billion
2026年3月期 第2四半期(中間期)決算説明資料
ツカモト (80250)
Financial Results & Forecasts
20251114 12:00
- Summary of the Report:
- Business Performance (Interim):
- Revenue: ¥9,798 million (YTD), projected ¥10,000 million by March 2024.
- Operating Income: ¥956 million (YTD), projected ¥1,000 million by March 2024.
- Net Income: ¥732 million (YTD), projected ¥800 million by March 2024.
- Key Performance Indicators:
- Gross Margin: 56.9% (YTD)
- Operating Margin: 10.1% (YTD)
- Return on Equity (ROE): 7.6% (YTD)
- Segment-wise Performance:
- Wagasa (Japanese Traditional Clothing) Business: Decreased sales due to fewer events and lower demand for formal wear.
- Apparel Business: Mixed performance across different brands and retail channels.
- Home Furnishing Business: Decline in revenue due to decreased sales of licensed brands and restructuring efforts.
- Health & Lifestyle Business: Sales decline attributed to reduced demand for seasonal electronics and lower foot traffic at Sauna facilities.
- Future Initiatives:
- Wagasa Business: Structural reforms to improve profitability, expand sales channels, and develop new products.
- Apparel Business: Review and focus on core business areas; transition from product-centric to value-added approach in the Uniforms division.
- Home Furnishing Business: Expand distribution of licensed brands, launch new YASHICA camera line, and optimize retail store performance.
- Health & Lifestyle Business: Introduce new autumn/winter electronics, promote wearable sauna products, and strengthen B2B sales.
- Forward-Looking Statements:
- The company’s projections are based on current information and assumptions judged reasonable; actual results may differ significantly due to various factors.
- No guarantee is provided for achieving the projected performance figures.
2025年12月期 第3四半期決算説明資料
日水コン (261A0)
Financial Results & Forecasts
20251114 12:00
- Summary:
- Company Information:
- Name: Nissui Confectionery Group (Nissui Konguroupu)
- Ticker Symbol: 2297
- Financial Highlights (FY 2023-2025):
- Revenue: JPY 1,068 billion (forecast), +5% YoY
- Operating Income: JPY 142 billion (forecast), +3% YoY
- Net Income: JPY 79.6 billion (forecast), +1% YoY
- Business Strategies:
- Core Business Expansion & Profitability Improvement: Strengthen capabilities for high-difficulty projects to increase profit margins, leveraging favorable external environment.
- Public-Private Partnerships (PPP/PFI) Promotion: Actively participate in PPP/PFI schemes as both public and private sector, aiming to expand project formation scope and accelerate growth.
- Domestic & International Expansion in Industrial Water Infrastructure: Collaborate with overseas technology providers to address industrial wastewater improvement needs, fostering revenue diversification.
- “Water × Region” Initiatives for ESG & SDGs: Effectively utilize water infrastructure’s untapped resources to enhance regional value and stimulate local activity through new business ventures.
- Future Growth Vision:
- The company aims to achieve sustainable growth by proactively expanding business domains in response to environmental changes, targeting an unspecified scale from 2026 to 2030.
- “Nissui Konguroupu Vision 2030” is currently being drafted and will be published in late December 2025 (outline) and February 2026 (detailed version).
- Disclaimer:
- Future outlook information contains uncertainties, and actual performance may differ significantly.
- No guarantees are provided for the realization of future prospects or business outcomes.
- Note on Information Disclosure & Investment Decisions:
- This document serves as information about Nissui Confectionery Group and is not intended for securities, financial products, or transactions.
- Investors should make decisions based on Nissui’s official disclosure documents (e.g., prospectus) after consulting with their handling securities companies.
剰余金の配当(中間配当金)に関するお知らせ
トーイン (79230)
Financial Results & Forecasts
20251114 12:00
- Interim dividend of 5 yen per share approved for 2025 Q3.
- Total interim dividend amounting to 2.5 billion yen.
- Effective date of dividend: December 1, 2025.
- Source of funds: Profit and loss reserve.
- No changes in annual dividend forecast.
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
日水コン (261A0)
Financial Results & Forecasts
20251114 12:00
- Total Q3 sales: 18.0 billion JPY (+3.07% YoY)
- Nine-months total sales: 51.2 billion JPY (+4.29% YoY)
- Q3 operating profit (EBIT): 1.9 billion JPY (margin: 10.46%)
- Nine-months EBIT: 5.8 billion JPY (margin: 11.26%)
- Q3 operating cash flow (OCF): 2.5 billion JPY
- Nine-months OCF: 8.0 billion JPY
- Cash & equivalents (Sep 2025): 5.2 billion JPY
- Share repurchases: 166,200 shares through a trust; own shares increased by 413 million JPY
- Depreciation expenses: 276 million JPY (+38.3% YoY)
- Auditor approval: PwC Japan reviewed and approved financial statements
2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)
日本新薬 (45160)
Financial Results & Forecasts
20251114 12:00
- Financial Results (Interim):
- Sales: 168,000 million yen (+1.2% YoY)
- Operating Profit: 33,700 million yen (+10.1% YoY)
- Net Income: 26,300 million yen (+9.6% YoY)
- Cash Flow:
- Cash and Cash Equivalents Increase: 100,500 million yen
- Operating Activities Cash Inflows: 139,420 million yen (-21.0% YoY)
- Investing Activities Net Cash Inflow: 7,430 million yen (Turnaround from last year’s outflow of 133,400 million yen)
- Balance Sheet:
- Total Assets Increase: 297,037 million yen (+5.0% YoY)
- Total Liabilities and Equity: 297,037 million yen
- Business Outlook Adjustment:
- Revised full-year forecast due to changes in “Arilida” sales contract
2025年12月期 第3四半期決算説明資料 スマホ向けサマリ版
G-リベロ (92450)
Financial Results & Forecasts
20251114 12:00
- Q3 Results: Revenue ¥9.8 billion (+41.1%), Operating Income ¥1.4 billion (+1.5%)
- Key Indicators: Number of households served +24.5%, number of corporate clients +8.9%, number of main support cases +14.8%
- Full Year Guidance (YoY): Revenue increase of 130% planned, operating income increase of 70.0% expected in Q4
- Dividend Policy: No changes from previous plans; target dividend payout ratio of 30%, ¥10,000 QOO Card bonus per shareholder
- Dividend Details: Ordinary dividend increased to ¥18 per share (from ¥12), payable in March 2026 if shareholders are recorded as of December 31, 2025
2025年12月期第3四半期決算説明資料
G-リベロ (92450)
Financial Results & Forecasts
20251114 12:00
- Q3 2025 Results: Revenue ¥12.4B (forecast: ¥13.7B), +41.1% YoY; Operating Profit ¥300M (forecast: ¥350M), +70.0% YoY
- Sales Growth: Driven by increases in supported clients and service volume, notably from law firms
- Operational Expenses: Personnel costs (-14.3%), Software development costs (+9.8%)
- Business Highlights: Updated sales record, positive Q4 outlook, dividend plans unchanged, progress in inbound business initiatives, new CTO position established
- FY25 Guidance Update: Revenue guidance raised to ¥14.3B
- Dividend Increase: Increased to ¥2.5 per share, +10%
- New Executives Appointed: Nakanishi Takashi (Director, Business Division Head) and Yamada Yu (External Director)
- No Material Changes: Financial performance or guidance (Chunk 3), business outlook or segment performance explained (Chunk 4)
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-リベロ (92450)
Financial Results & Forecasts
20251114 12:00
- Revenue: ¥3,454,959 (up from ¥2,827,330 YTD)
- Gross Profit: ¥2,503,047
- Operating Income: ¥699,511
- Net Income: ¥466,085
- Revenue Growth: ~22.2% YTD compared to previous period
- Operating Income Growth: ~38.1% YTD compared to previous period
- New CTO Appointment for digital transformation
- Market Expansion: New domestic and international markets targeted
- Revenue Beat Guidance: Exceeded by 3%
- Operating Profit Improvement: Up 5% QoQ, better than expectations
- Net Income Increase: Up 6% QoQ due to cost efficiency
- Full-Year Revenue Guidance Update: Revised up by 2%
- EPS Guidance Maintained for FY2025
2026年3月期 第2四半期(中間期)決算説明資料
ゼネテック (44920)
Financial Results & Forecasts
20251114 12:00
- Revenue & Profit:
- Total Revenue: Increased by 31.1% YoY.
- Systems and Software (SS) Segment:
- Revenue increased, but profit decreased by 30.4% due to lower FlexSim margins and higher R&D expenses.
- Products and Services Group (PSG):
- Revenue decreased by 11.3%, with ‘Sogo Toku’ segment’s profit dropping by 92.4% due to reduced revenue share in ‘Koko Da Yo’ app.
- Cash Flow:
- Operating Cash Flow (OCF): Increased slightly by 4%.
- Capital Expenditure (CapEx) increased significantly, leading to a decrease in Free Cash Flow (FCF).
- Total cash and cash equivalents: Decreased by 269 million yen YoY.
- Balance Sheet:
- Total assets increased by 674 million yen due to increases in both current and non-current assets.
- Total liabilities increased by 663 million yen, mainly driven by an increase in current liabilities.
- Shareholder equity remained relatively stable with a slight decrease of 11 million yen.
- Business Outlook:
- Strengthening sales force for FlexSim and expanding into mid-sized market.
- Integrating Flash Systems post-acquisition.
- Focusing on growing store revenue for ‘Koko Da Yo’.
- Revised Full-year Guidance (Q2 Results):
- Net sales now expected to be ¥240-260B (previously ¥250-270B).
- Operating income now expected to be ¥23-28B (previously ¥26-30B).
- Revisions due to weak consumer demand and market uncertainty.
2025年9月期 決算短信〔日本基準〕(連結)
コナカ (74940)
Financial Results & Forecasts
20251114 12:00
- Financial Results (FY ended 9/20XX):
- Total revenue: 554,870,000 JPY (down 12.1% YoY)
- Operating loss: 76,600,000 JPY (improved from a 13,480,000 JPY loss the previous year)
- Net income attributable to parent: 47,800,000 JPY (turned profitable from a 30,620,000 JPY net loss)
- Cash Flow:
- Cash and cash equivalents increased by 10,220,000 JPY YoY to 31,980,000 JPY.
- Positive cash flow from operating activities: 12,160,000 JPY (vs. a 2,280,000 JPY usage last year)
- Negative cash flow from investing activities: 3,340,000 JPY (down from a 20,190,000 JPY gain)
- Business Activities:
- Fashion business revenue declined by 13.1%.
- Food service business grew revenue by 7.8%.
- Education business increased revenue by 6.1%.
- Future Outlook:
- Company acknowledges economic uncertainties and plans to review its business portfolio and allocate resources effectively.
- Plans to leverage digital technology for operational efficiency and customer experience enhancement.
- Going Concern Concerns: Despite improved results, operating loss raises going concern questions.
2026年3月期第2四半期累計期間の業績予想値と実績値との差異に関するお知らせ
石光商事 (27500)
Financial Results & Forecasts
20251114 12:00
- Revenue and Profit Beat Expectations: Revenue for the second half of 2026 (Apr-Sep 2025) was JPY 36,817 million, exceeding the previous forecast of JPY 33,409 million by 10.2%. Operating income also surpassed expectations, reaching JPY 1,263 million, a 29.5% increase.
- Net Income Surpassed Expectations: Net income for the same period came in at JPY 1,037 million, up by 24.5%, compared to the earlier projection of JPY 832 million.
- Coffee Price Inflation and New Business Driving Growth: The positive variance was driven by increased sales from new business developments and successful price increases due to rising coffee commodity prices.
- No Change in Full Year Guidance: Despite the revision, current full year (2026 March period) consolidated earnings forecasts and dividend predictions remain unchanged from those announced on May 15, 2025.
2025年10月度 月次売上高(速報)に関するお知らせ
石光商事 (27500)
Financial Results & Forecasts
20251114 12:00
- Ishikumi Shoten (27500) reported October 2025 monthly sales (preliminary): ¥6,704 million (+13.4% YoY)
- Cumulative sales for the past three months and year-to-date: ¥43,521 million (+20.7% YoY)
- Sales growth rates for August and September 2025 were 113.1% and 115.6% respectively
- Preliminary nature of data; final figures may vary upon formal announcement
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
石光商事 (27500)
Financial Results & Forecasts
20251114 12:00
- Revenue up 22.0% to ¥36.8B
- Gross profit up 29.9% to ¥4.9B
- Operating income (EBITDA) up 36.1% to ¥1.7B
- Operating income (before interest and tax) up 185.7% to ¥1.3B
- Cash & cash equivalents increased slightly by 4.1%
- Inventory up 38.9% to ¥9.1B
- Total assets up 6.6% to ¥42.2B
- Equity rose by roughly 3.5% to ¥14.4B
- Dividends paid out decreased significantly, exact figures not provided
- R&D expenses increased slightly by 2.8%
- SG&A expenses grew moderately by 8.4% to ¥3.6B
- Net income attributable to shareholders decreased by 17.1% YoY to ¥2.6B in the latest quarter (Chunk 3)
- Full-year guidance revised downwards due to slower sales in consumer goods segment
2025年9月期 決算説明会資料
GMO-FG (40510)
Financial Results & Forecasts
20251114 12:00
- Revenue Growth: +41.4% YoY in processing volume; ARPU grew +12.6% YoY
- Strategic Initiatives:
- Expanded daily life category alliances (8 to 14 top 30 allies)
- Leveraged major events for GMV boost
- Financial Outlook: Projected Q4 2025 revenue of 3,738 billion yen; daily life category GMV: 63%
- Growth Strategy: Continue high ARPU alliance expansion; explore event growth and new contract opportunities
- Recurring Revenue & Gross Margin Growth
- Shift in Profit Structure Towards Large-scale Projects
- New Service Launch: GMO Digital Wallet targeting digital currency users
- International Expansion Plans leveraging digital currency tech and fintech strengths
2026年03月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
ツカモト (80250)
Financial Results & Forecasts
20251114 12:00
- Total revenue increased to ¥4,740,742 (6M ended Sep 30)
- Operating income decreased to ¥151,517 due to Consumer Electronics’ wider loss
- Home Appliances segment sales up (¥3,784,569) and positive operating income (¥77,038)
- Consumer Electronics segment sales down (¥625,703) and wider operating loss (¥212,766)
- Operating cash flow increased by ¥823,333 YOY
- Cash flow from investing activities net outflow of ¥179,315
- Financing activities cash inflow decreased to ¥109,384
- Healthcare & Living segment profit down ¥185,792 YOY
- Consolidated operating revenue up 8% YOY to ¥93.4 billion
- Operating income rose 6% YOY to ¥7.5 billion (8.1% margin)
- Net income attributable to shareholders down 2% YOY to ¥4.2 billion
- Retail segment revenue grew 9% YOY, driven by apparel and accessories
- Wholesale segment revenues up 5%, boosted by overseas markets
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
サンエー化研 (42340)
Financial Results & Forecasts
20251114 12:00
- Revenue up 4% YoY to ¥15.53B
- Net profit up 68% YoY to ¥397M
- Adhesive Tape & Industrial Materials segment revenue/profit improved significantly
- Automotive Parts segment profit improved despite slight revenue decrease
- Consumer Products segment revenue/decline affected total growth but had lesser impact on profits
- Operating cash flow improved significantly to ¥943M
- Interim dividend increased 10% YoY to ¥30 per share
- Full-year guidance maintained for revenue growth and profit improvement
- Debt-to-equity ratio below 1.5x, maintaining healthy balance sheet
業績予想の修正に関するお知らせ
サンエー化研 (42340)
Financial Results & Forecasts
20251114 12:00
- Revenue Upgrade: Revenue expected to be ¥30,600 million, up from previous forecast of ¥29,920 million.
- Operating Profit Increase: Operating profit expected to be ¥900 million, up from previous forecast of ¥100 million.
- Ordinary Income Upgrade: Ordinary income expected to be ¥675 million, up from previous forecast of ¥230 million.
- Net Income Surprise: Net income expected to be ¥70.08 billion, significantly higher than previous forecast of ¥16.60 billion.
- Reason for Upgrade: Improved profitability and higher-than-expected sales from a newly acquired protective film business and price transmission.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
トーイン (79230)
Financial Results & Forecasts
20251114 12:00
- Based on the provided information, here’s a summary:
- Toyo Ink Group (TYO:JP) Half-Year Financial Results (April to September 2025)
- Revenue & Profit:
- Revenue: ¥7,471.9 billion (+1.3% YoY)
- Operating Income: ¥574.9 billion (+7.6% YoY)
- Net Income: ¥379.6 billion (+8.2% YoY)
- Segment Performance:
- Packaging Segment: Revenue +3.1%, Operating Income +10.2%
- Paper Segment: Revenue -2.4%, Operating Income -5.9%
- Other Segments (Including Electronics & Specialty): Revenue +1.7%, Operating Income +6.8%
- Cash Flow:
- Operating Activities: ¥729.3 billion (+3.0% YoY)
- Investing Activities: ¥-45.6 billion (-¥29.5 billion YoY)
- Balance Sheet:
- Total Assets: ¥1,859.1 billion (+1.9% QoQ)
- Total Liabilities & Equity: ¥1,367.0 billion (-1.4% QoQ)
2026年3月期第2四半期決算説明会資料
FCC (72960)
Financial Results & Forecasts
20251114 11:30
- Revenue YTD 2024: ¥256,619 million (-¥12,619 million vs forecast)
- Operating Income YTD 2024: ¥17,329 million (-¥1,329 million vs forecast)
- Revenue FY 2025 Forecast: ¥237,000 million (-¥19,619 million vs 2024)
- Operating Income FY 2025 Forecast: ¥15,000 million (-¥2,329 million vs 2024)
- Basic EPS FY 2025 Forecast: ¥264.29 (-¥59.48 or -18.3% vs 2024)
- Motorcycle Business Operating Income Increase: ¥1,683 million (+7.4%)
- Automobile Business Operating Income Decrease: ¥-6,635 million (-20.0%)
2025年9月期決算短信〔日本基準〕(連結)
G-みらいワークス (65630)
Financial Results & Forecasts
20251114 11:30
- Revenue in 2025 was ¥11,144,579,000.
- Operating profit in 2025 was ¥284,179,000.
- Net income attributable to parent in 2025 was ¥91,164,000.
- Total assets as of Sep 30, 2025 were ¥3,105,490,000.
- Total liabilities as of Sep 30, 2025 remained at ¥1,798,742,000.
- Shareholders’ equity increased to ¥1,306,747,000 by Sep 30, 2025.
- Revenue for FY 2026 is forecasted at ¥13,000 million.
- Operating profit for FY 2026 is expected to be ¥600 million.
- Net income attributable to parent for FY 2026 is projected at ¥360 million.
2025年9月期業績予想値と決算数値の差異に関するお知らせ
G-みらいワークス (65630)
Financial Results & Forecasts
20251114 11:30
- Revenue in line with plan, profits exceeded expectations by ¥46M (17.2%), ¥58M (21.4%), and ¥44M (55.8%) respectively for operating income, ordinary income, and net income.
- Excessive expenses not eliminated due to delayed onboarding of new hires led to lower selling and general management expenses than expected.
- Full-year results exceeded previous year’s figures by ¥635M (17.9%), ¥408M (23.4%), and ¥58M (87.9%) for revenue, operating income, and net income respectively.
- No material changes stated regarding guidance or expectations.
2025年9月期(第1期)通期決算 補足説明資料
ETSグループ (253A0)
Financial Results & Forecasts
20251114 11:30
- Fiscal Year Ending Sep 2025 Results:
- Sales up 38.2%
- Orders up 150%
- Key Projects (Electricity & Facility Business):
- Special high-voltage transformer station construction: 3,266 million yen
- Transmission line stringing work: 2,750 million yen
- Replacement of aged towers and other works: 2,110 million yen
- Solar power plant installation work: 267 million yen
- Financial Targets & Dividend:
- Operating profit margin: 7%
- Return on equity (ROE): 12%
- Return on assets (ROA): 8%
- Dividend per share: 35 yen (+10.9% YoY)
- Market Environment & ETS Group’s Strategies:
- Increasing electricity demand
- Accelerating renewable energy adoption
- Growing need for aging infrastructure replacement
- Leverage strong ties with major power companies
- Invest in R&D and safety culture
- Expect to surpass mid-term plan targets by 2026
2025年度第2四半期 業績説明会資料
ソニーFG (87290)
Financial Results & Forecasts
20251114 11:30
- FY25.1H Financials (SFGI Group):
- Tax-included Profit: ¥172B → ¥254B
- Tax-excluded Profit: ¥684B → ¥172B
- Adjusted Net Income: ¥482B → ¥459B
- Segment Performance (YTD, FY25.1Q):
- Life Insurance Business:
- Revenue: ¥670.3T
- Tax-excluded Profit: ¥112.2T
- Adjusted Net Income: ¥47.9T
- Non-Life Insurance Business (including P&C and banking):
- Revenue: ¥86.1T
- Tax-excluded Profit: ¥16.3T
- Adjusted Net Income: ¥12.4T
- Key Indicators:
- Equity Ratio: FY24.1H → FY25.1H: 20% → 27%
- Return on Equity (ROE): FY24.1H → FY25.1H: -13% → 16%
- Interest Rate & Currency Exchange Rate Changes:
- 10-year JGB yield: ~0.8% → ~0.6%
- Yen/USD exchange rate: ¥137/USD → ¥142/USD
- Stock Performance:
- SFGI Group stock price decreased from ¥6,800 to ¥5,600
- FY25 Guidance Revision (Sony Life Holdings):
- Net sales down to ¥2.9T
- Operating income expected: ¥60B (previously ¥80B)
2026年6月期 第1四半期_決算説明資料
G-ファインズ (51250)
Financial Results & Forecasts
20251114 11:30
- TAM for DX investments by SMEs in Japan projected at JPY 9.26 trillion by 2030
- Fines Corp has 0.19% of target market share, with potential growth opportunities among untapped SMEs
- Active customers increased from 6983 to 7716 between FY2023 and FY2026
- Revenue grew from JPY 2.68 billion in FY2023 to an estimated JPY 4.09 billion by FY2026
- Client retention rate was approximately 87% during FY2023, with focus on improving retention strategies
- Fines Incorporated’s services include Digital Marketing, DX Consulting, Video Cloud Platform, and Data Management Tool
- Company aims to address market challenges such as digital divide, data complexity, and workforce scarcity
- Reduced guidance for FY2027: net sales expected to grow 3% (down from 5%), operating income growth rate revised to 6% (from 8%)
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-ファインズ (51250)
Financial Results & Forecasts
20251114 11:30
- Revenue up 1.44% YoY
- Gross Profit up 3.72%
- Operating Income (EBITDA) up 89.16%
- Net Income up 87.42%
- Video Cloud Service revenue up 4.03%
- DX Consulting revenue up 30.61%
- Other Services revenue down 25.82%
- Store cloud business revenue up 15% YoY
- Operating income up 20% due to cost optimization
- Net income down 8% YoY primarily due to higher taxes
- Full-year revenue guidance revised upward by 3%
- Revenue down 8% YoY to ¥7.6 billion
- Operating income down 15% YoY to ¥1.2 billion
- Asset management fees increased by 4% YoY
2026年3月期 第2四半期(中間期)決算説明資料
KVK (64840)
Financial Results & Forecasts
20251114 11:30
- Revenue: Targeting ¥305B in FY2026 (¥297B in FY2024)
- Operating Profit Margin: Aiming for 10.0% in FY2026 (8.5% in FY2024)
- ROE: Targeting 10.0% in FY2026 (7.7% in FY2024)
- Launched new products: KIERRE and REUNA shower faucets
- Interim dividend increased to ¥40 per share, aiming for ¥80 annually
- Revenue growth YoY: 7.8%, operating profit up 6.5% YoY
- Full-year revenue guidance revised upward due to strong performance
- No significant changes in business outlook or risks discussed
2025年12月期第3四半期決算説明資料
G-ユミルリンク (43720)
Financial Results & Forecasts
20251114 11:30
- Revenue: FY2024 Q3 - ¥1,981M, FY2025 Q3 - ¥2,236M (+12.9%)
- Gross Profit: FY2024 Q3 - ¥1,309M, FY2025 Q3 - ¥1,455M (+11.1%)
- Operating Income (EBIT): FY2024 Q3 - ¥469M, FY2025 Q3 - ¥462M (-1.4%)
- Net Income: FY2024 Q3 - ¥324M, FY2025 Q3 - ¥306M (-5.4%)
- Revenue Growth: Mainly driven by mail service (+¥84M, +3.9%)
- Operating Margin Decrease: Due to increased personnel expenses and lower SMS & SNS revenues
- Profit Margins Down: Gross (1.0%), Operating (3.0%), Net (2.6%) compared to FY2024 Q3
- Revenue Growth Slowed: 7.8% YoY in FY2025 Q3 vs. FY2024 Q3
- Operating Profit Margin Improved: To 9.2%
- Full-Year Guidance Revised Down: Revenue lowered to ¥540B - ¥560B, operating income maintained at ¥50B
- Competition Increase Expected: In the online advertising sector
2026年6月期 第1四半期 決算補足資料
G-AeroEdge (74090)
Financial Results & Forecasts
20251114 11:30
- Q1 FY2026 Results: Sales up 55.7% YoY to 1,157 million yen; Operating Income up 390.7% YoY to 245 million yen
- Drivers of Growth: Increased sales of TiAl Blades for A320neo and 737MAX engines
- New Agreement: AeroEdge to sign agreement with SAFRAN for new materials supply and market share expansion in TiAl Blades
- Project Progress: Existing projects advancing as planned, some expected to be recognized in Q2
- Revenue Guidance Revision: FY2026 revenue guidance revised down to ¥8,700m from ¥8,900m
- Operating Profit Miss: Q1 operating profit ¥540m, below consensus of ¥600m due to lower-than-expected sales in certain products
- Full-year Guidance Maintained: Full-year guidance for operating profit maintained at ¥3,200m
- New Product Launch Delay: New product launch schedule slipped by 3 months, now expected in Q2 FY2027
- Stock Repurchase Increase: Stock repurchase plan increased to ¥500m from ¥300m
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(連結)
三住建設 (18210)
Financial Results & Forecasts
20251114 11:30
- Revenue and Profit Decline YoY: Revenue decreased to ¥189,250 million, Gross Profit improved to ¥19,119 million, Operating Income declined to ¥4,749 million, Net Income decreased to ¥2,631 million.
- Asset and Liability Changes: Total Assets decreased to ¥375,342 million, with Current Assets at ¥189,068 million and Non-Current Assets at ¥186,274 million. Equity ratio decreased, indicating higher debt reliance.
- Cash Flow Analysis: Net cash provided by operating activities was ¥21,468 million. Investing and financing activities’ cash flows were not explicitly stated but can be inferred from asset changes.
- Disputes and Asset Sales: Ongoing disputes/lawsuits (“special losses” and “disputes”) may impact future performance. Planned fixed asset sales could generate additional cash inflows.
- Stock Consolidation and Articles of Incorporation Changes: Company plans to consolidate stocks (1:20 ratio) and change articles of incorporation, including shareholder rights, board size (10-15 directors), and extraordinary meeting procedures.
- Segment Information: Construction (Earth and Building) segments’ sales were ¥218.3 billion, profit was ¥6.3 billion; Others segment had sales of ¥3.2 billion and a loss of ¥0.5 billion.
- No Material Changes in Guidance: No explicit changes to guidance or revisions to expectations stated in the provided chunks.
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-AeroEdge (74090)
Financial Results & Forecasts
20251114 11:30
- Revenue up significantly YOY (1,157,046 vs 743,113 thousand yen)
- Operating income surge from loss to profit (245,589 vs -50,046 thousand yen)
- Net income improved significantly (156,508 vs -7,073 thousand yen)
- Successfully renegotiated CFTO loan agreement
- Implemented 1:100 share split and adjusted Articles of Incorporation accordingly
- Total assets: 9,064,355 thousand yen; total liabilities & net assets: 5,002,048 & 4,062,307 thousand yen respectively
- Stock split announced (3:1) on Dec 31, 2025, increasing issued shares from 3.9 million to 11.8 million
- Revenue up 8.7% YoY to ¥6,754 million; operating income up 12.2% YoY to ¥1,364 million; net income rose 10.5% YoY to ¥792 million
2026年6月期 第1四半期決算短信〔日本基準〕(非連結)
G-グリッド (55820)
Financial Results & Forecasts
20251114 11:30
- Summary of Grid Corporation’s First Half Year Results (FY2026)
- Sales Growth: Sales increased by 34.5% to ¥602,797 thousand compared to the previous year’s first half.
- Profitability:
- Gross profit margin improved to 75.8% (YoY: +1.3%) due to better cost control.
- Operating profit grew by 194.7% YoY to ¥114,876 thousand, with an operating profit margin of 19.1% (YoY: +12.0%).
- Net income surged by 231.6% YoY to ¥79,123 thousand, resulting in a net profit margin of 13.1% (YoY: +8.5%).
- Cash Flow: No cash flow statement was provided for the first half.
- Assets & Liabilities:
- Current assets decreased by 2.6% YoY to ¥4,063,392 thousand.
- Total assets grew by 1.0% YoY to ¥4,404,545 thousand.
- Current liabilities fell by 23.7% YoY to ¥384,917 thousand.
- Future Outlook: The company expects sales and operating profits to remain stable in the second half. However, due to increased investment in AI development and blue energy projects, profitability may decrease temporarily.
- Note:
- All figures are rounded to the nearest thousand yen.
- YoY indicates year-over-year comparison.
- The cash flow statement was not provided for the first half of FY2026.
2026年6月期 第1四半期決算説明資料
G-グリッド (55820)
Financial Results & Forecasts
20251114 11:30
- Revenue Growth: Revenue increased by 34.5% to 3,450 million yen.
- Profit Increase: Profit rose to 659 million yen (up 10.3 points from the previous term).
- Operating Margin Improvement: Operating margin increased to 19.1%.
- Customer Base Expansion: The number of customers grew by five, with average revenue per customer up by 2.2 million yen.
- AI Services Growth: Proportion of AI development services increased significantly, driving sales growth.
- Balance Sheet Strengthening: Equity ratio improved to 91.2% due to profit growth.
- Major Project Successes:
- Pacific Cement: Launched AI-based shipping plan optimization system for significant cost savings and efficiency improvements.
- Hokkaido Electric Power Network: Collaborating on priority power supply instruction support system development.
- Revenue Guidance Revision: Lowered full-year revenue guidance to ¥4,900 - ¥5,000 million from ¥5,100 - ¥5,300 million.
2026年3月期 第2四半期(中間期)決算短信[IFRS](連結)
ソフィアHD (69420)
Financial Results & Forecasts
20251114 11:30
- Sales decreased from ¥4,178,641 (H1 2024) to ¥4,006,138 (H1 2025), resulting in a loss of ¥2,327
- Operating profit down YoY due to decrease in segment profit for “Internet-related business”
- Total segment profit before tax was ¥263,610 thousand, down ¥2,327 thousand YoY
- Revenue up 8% YoY to ¥19.7B, operating profit up 10% YoY to ¥6.3B
- Guidance raised for FY2026: Revenue ¥79.5-81.5B, OP ¥24.5-25.5B
- Gross margin expanded to 39.6%, up 1.5pp YoY
2025年9月期 決算短信〔日本基準〕2024年9月期 決算短信〔日本基準〕
ETSグループ (253A0)
Financial Results & Forecasts
20251114 11:30
- Assets (as of 2025-09-30):
- Current: ¥6,867B, including Cash ¥1,673B and Accounts Receivable ¥3,983B
- Non-current: ¥23,647B, including Tangible Assets ¥13,150B and Land ¥10,669B
- Liabilities (as of 2025-09-30):
- Current: ¥42,728B, including Accounts Payable ¥10,742.5B and Short-term Loans ¥16,000B
- Non-current: ¥15,533.4B, including Bonds ¥8,500B and Long-term Loans & Leases ¥7,033.4B
- Equity (as of 2025-09-30):
- Shareholders’ Equity: ¥34,412.6B, including Retained Earnings ¥18,600B
- Cash Flow Statement (YE 2025-09-30):
- Operating activities: Net cash used in operating activities: -¥10,607B
- Investing activities: Net cash provided by investing activities: ¥2,350B
- Financing activities: Net cash provided by financing activities: ¥7,948B
- Future Outlook (FYE 2026-09-30):
- Revenue: ¥11,850M (105.2% increase)
- Operating income: ¥777M (108.3% increase)
- EBITDA: ¥747M (108.2% increase)
- Net income: ¥496M (106.4% increase)
- Revenue and Profit Changes (YoY):
- Revenue up 7% to ¥8,2B
- Operating profit down 3% to ¥650M
- Dividend Increase:
- Dividend per share revised upwards by ¥1 to ¥40
- Semiconductor Segment Performance:
- Revenue grew 9% YoY but margin decreased due to higher material costs
- Guidance Maintenance:
- The company maintained its guidance for the next fiscal year
2026年6月期第1四半期決算説明資料
G-Zenken (73710)
Financial Results & Forecasts
20251114 11:30
- Mid-term Business Plan “Road to 250” by 2030:
- Target sales: 130 billion yen
- Target operating income: 30 billion yen
- Target net income: 20 billion yen
- Target ROE: 13% or higher
- Growth Strategy:
- Overseas human resources segment to account for 43% of sales by 2030
- Expand WEB marketing business and improve shared service sector productivity
- M&A Investment Framework:
- Allocate 100 billion yen for strategic acquisitions contributing positively to EPS after amortization period
- Segment-wise Sales Outlook:
- Increase overseas human resources segment sales, aiming for a 43% composition in the final fiscal year
- Revenue and Earnings Revision (2025/6):
- Revenue: ¥39.8 billion (-12% YoY)
- Operating income: ¥4.5 billion (-35% YoY)
- Net income: ¥2.7 billion (-38% YoY)
2026年6月期第1四半期決算短信〔日本基準〕(連結)
G-Zenken (73710)
Financial Results & Forecasts
20251114 11:30
- Q1 Results (Japan GAAP):
- Net Sales: ¥78.6 billion (+5.2% YoY)
- Operating Income: ¥9.3 billion (+12.5% YoY)
- Ordinary Profit: ¥8.4 billion (+11.8% YoY)
- Revised Guidance for FY2026:
- Net Sales: ¥315-335 billion
- Operating Income: ¥37-41 billion
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ソニーFG (87290)
Financial Results & Forecasts
20251114 11:30
- Life Insurance Revenue Up: ¥1,532.4B (up 15.7%), driven by premiums & reinsurance (+3.4%) and investment income (+106.7%)
- Non-Life Insurance Revenue Up: ¥93.0B (up 12.9%), with net premiums up 10.5% and investment income up 18.6%
- Banking Revenue Up: ¥62.4B (up 7.5%)
- Life Insurance Net Income Down: ¥55.8B (-14.2%)
- Non-Life Insurance Net Income Up: ¥6.5B (+13.7%)
- Banking Net Income Up: ¥9.0B (+17.5%)
- Re-insurance Deal Boosted Net Income: Approximately 1.1T yen (~9B USD)
- Share Buyback: ¥40.43B (around 320M USD) for approximately 252.24 million shares
- Bond Issue Planned: Up to ¥1.5T yen (around 12B USD), initial interest rate no more than 3% for first five years
2026年3月期 第2四半期決算説明資料
G-ハンモック (173A0)
Financial Results & Forecasts
20251114 11:30
- Financial Performance:
- Revenue increased by 6.9% YoY, driven by non-OEM sales growth.
- Profit grew YoY, with a steady increase in the second quarter cumulative period.
- Annual Recurring Revenue (ARR):
- ARR (excluding OEM) showed a stable growth rate of 14.7% YoY due to large enterprise adoptions and upselling activities.
- Churn Rate:
- The churn rate remained low at around 1% (excluding OEM).
- Product Enhancements:
- Focusing on AI-driven enhancements in the Sales DX solution.
- Evolving Hot Profile feature into an AI-integrated next-generation sales platform by June 2025.
- Cloud Services Adoption:
- Increased adoption of cloud services due to the launch of AssetView Cloud+.
- Financial Projections:
- Projected annual profit of 30 billion yen by the end of the fiscal year, based on current trends.
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
G-ハンモック (173A0)
Financial Results & Forecasts
20251114 11:30
- Revenue up ~104% YoY in H1 2026
- Operating Profit up ~90.5% YoY in H1 2026
- Net Income up ~92.6% YoY in H1 2026
- Network Security Business revenue grew 106.9% YoY, OP margin ~50%
- AI Data Entry Solution revenue grew 94.5% YoY, OP margin ~100%
- Total assets increased by 5.8% YoY as of Dec 31, 2025
- Cash and cash equivalents increased by 11.7% YoY to 3,528.86 thousand yen
- Revenue for Q2 FY2026 (vs Q2 FY2025) up 5.7%
- Operating income down 29.4% YoY in Q2 FY2026 due to higher operating expenses
- Full-year revenue guidance revised down to ¥34 billion from ¥36 billion
業績予想及び配当予想の修正に関するお知らせ
インフロニアHD (50760)
Financial Results & Forecasts
20251114 11:30
- Revised Revenue Forecast: Increased by ¥2 billion to ¥1,133 million for the 2026 Q3 period.
- Revised Operating Profit Forecast: Up by ¥19 billion to ¥71.5 billion.
- Revised Net Income Forecast: Improved by ¥44 billion to ¥554 billion, mainly due to additional construction projects and evaluation gains from financial assets.
- Revised Dividend Forecast: Increased interim dividend from ¥78 to ¥85 per share, aligning with the company’s medium-term vision for dividends exceeding 40% of net income and a minimum payout of ¥60.
FACT BOOK 2026年3月期第2四半期決算
インフロニアHD (50760)
Financial Results & Forecasts
20251114 11:30
- Total Assets: Increased from ¥435.3B (Mar ‘22) to ¥605.6B (Dec ‘25)
- Net Debt Decreased slightly: ¥176.9B (Mar ‘22) to ¥168.3B (Dec ‘25)
- Construction Segment Sales Up: ¥88.2B to ¥184.4B, Profitability Improved (-0.2% to 4.4%)
- Civil Engineering Steady Growth & Profitability: Sales ¥68.6B to ¥80.7B (Margin: 10.0% to 10.2%)
- Pavement Works Sales Up, Profitability Improved: Sales ¥111.2B to ¥127.6B (-1.6% to 7.5%)
- Q2 Revenue: ¥847,548 million
- Gross Profit Margin: 14.1%
- Maintained Full-Year Guidance for Revenue and Operating Profit
2026年3月期第2四半期アナリスト向け決算説明会資料
インフロニアHD (50760)
Financial Results & Forecasts
20251114 11:30
- Financial Performance:
- Q2 FY2026: Revenue increased by 5% YoY, Operating Income decreased by 3% YoY.
- FY2026 Guidance: Raised revenue guidance to ¥37.5B (+4%), maintained operating income guidance at ¥7.0B (-1%).
- Acquisition: Announced acquisition of a data center business for ¥50B to expand into new segment.
- R&D Expenses: Increased R&D expenses led to a decrease in operating income.
- No Significant Surprises: No material changes or extremely good/bad results stated.
2026年3月期第2四半期アナリスト向け決算説明会資料 プレゼンテーション資料
インフロニアHD (50760)
Financial Results & Forecasts
20251114 11:30
- Based on the provided text, here’s a summary:
- Business Performance:
- The company is expecting a significant increase in sales, with new business contracts contributing to this growth.
- Operating income and net income are also projected to increase, driven by higher revenue and improved profit margins.
- Stock Information:
- The company has issued green convertible bonds (CBs), which will be converted into shares if certain conditions are met. As of the 2nd quarter, the PBR is 1.12.
- If all CBs are converted into shares, ROE for ordinary shareholders would decrease to around 11.9%, and EPS would be approximately 212.0 yen per share.
- Infrastructure Projects:
- 豊橋浄水場再整備事業 (BT + Concession): The company has been selected as the fall-low contractor for this project, which involves a total investment of around 335 billion yen over approximately 10 years. The operation period is set for around 20 years.
- 豊橋アリーナ建設再開: After a hiatus due to a live public opinion poll, the project has been restarted with changes in the contract agreement.
- 新国立競技場コンセッション事業 (Concession): The company aims to recover the 528 billion yen operation right fee through sponsorship income, including naming rights. They also plan to sell other stadium rights in the future.
- General Information:
- The company is working towards becoming a net-zero greenhouse gas emitter by FY2030 and promoting ESG initiatives.
- It continues to invest in digital transformation and innovation, aiming to challenge the status quo in the infrastructure industry.
2026年3月期第2四半期(中間期)決算短信〔IFRS〕(連結)
インフロニアHD (50760)
Financial Results & Forecasts
20251114 11:30
- Financial Performance:
- Revenue: ¥424,506 million (up by 11.3% YoY)
- Operating Income: ¥24,357 million
- Net Income Attributable to Parent: ¥24,558 million
- Segment Performance:
- Construction Business Revenue: ¥183,905 million (up by 17.2% YoY)
- Civil Engineering Business Revenue: ¥78,972 million (up by 16.9% YoY)
- Revised Guidance:
- FY2026/3 revenue growth rate expected to slow down to mid-single digits in the second half
- Operating profit margin likely to decrease
- EPS guidance revised downward from ¥40 to ¥38 per share
- No material changes stated regarding business outlook or segment performance
2025年12月期 第3四半期決算短信〔日本基準〕(連結)
G-ユミルリンク (43720)
Financial Results & Forecasts
20251114 11:30
- Summary of the Financial Statements for Yumi Link Corporation (2nd Quarter of Fiscal Year 2025)
- Profit and Loss Statement:
- Revenue: ¥2,236,187
- Cost of Goods Sold: ¥780,503
- Gross Profit: ¥1,455,684
- Operating Expenses (Sales, General & Administrative): ¥992,776
- Operating Income: ¥462,908
- Non-operating Income/Expenses:
- Interest Income: ¥3,224
- Interest Expense: ¥137
- Stock Compensation Expense (reversed): ¥567
- Net Income Before Taxes: ¥464,877
- Income Taxes: ¥174,557
- Net Income: ¥306,968
- Balance Sheet:
- Assets:
- Current: ¥2,862,618
- Cash & Cash Equivalents: ¥2,406,775
- Non-current: ¥603,715
- Tangible Fixed Assets: ¥261,118
- Intangible Fixed Assets: ¥136,401
- Liabilities:
- Current: ¥521,575
- Non-current: ¥50,040
- Shareholders’ Equity: ¥2,944,758
- Cash Flow Statement:
- No cash flow statement was provided for the quarter.
- Notes to Financial Statements:
- The company operates a single business segment.
- There were no significant changes in shareholders’ equity or going concern assumptions to disclose.
- The company did not provide depreciation and amortization schedules, but they were ¥78,167 and ¥16,224 respectively for the quarter.
2026年3月期第2四半期決算短信 補足説明資料
雪印メグ (22700)
Financial Results & Forecasts
20251114 11:00
- Sales grew by 14% YoY to 2,803 billion yen
- Operating Income increased by 9% YoY to 657 billion yen
- Beverages segment led growth in both sales and profit
- Gross margin decreased by 1% YoY to 42%, operating margin improved by 1% YoY to 23%
- Cash flow from operations up 4% YoY to 80 billion yen, free cash flow down 3% YoY to 32 billion yen
- Debt-to-equity ratio improved to 0.97
- EPS up 7% YoY to 328 yen, ROE steady at 14%
- Dividend payout ratio increased by 2% YoY to 30%
- Company maintains full-year guidance
2026年3月期 連結業績予想の修正に関するお知らせ
雪印メグ (22700)
Financial Results & Forecasts
20251114 11:00
- Revenue Revision: Revenue forecast for 2026 Q3 revised down by ¥10,000 million to ¥630,000 million.
- No Change in Profit Forecasts: Earnings forecasts remain unchanged at ¥19,000 million for operating profit and ¥20,600 million for ordinary profit.
- Price Increase Impact: Price increase implementation led to lower-than-expected sales volume for certain categories.
- Cost Management: Despite revenue revision, profit expectations maintained due to cost management efforts and price increase benefits.
- Dividend Forecast Unchanged: Dividend forecast remains the same as previously announced.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
雪印メグ (22700)
Financial Results & Forecasts
20251114 11:00
- Revenue down by ¥49B YoY (-6.8%) to ¥678B
- Operating income down by ¥18B YoY (-19.5%) to ¥74B
- Net income down by ¥8B YoY (-20%) to ¥32B
- Milk & Beverage segment revenue down by ¥15B (-6.5%)
- Ice Cream segment revenue down by ¥7B (-4.9%)
- Ingredients & Others segment revenue up by ¥9B (+8.6%)
- Cash flow from operations around ¥65B
- Total assets ¥1.2T, total liabilities & equity ¥890B
- Discontinuing Excitment Factory production with ¥2.1B impairment loss
- Selling head office property for ¥236B gain of ¥175B after expenses
- Revenue guidance maintained at ¥340B, operating income guidance revised down to ¥27B
- One-time restructuring cost of ¥2B expected in Q4
その他資本剰余金を原資とした中間配当に関するお知らせ
ダイヤHD (66990)
Financial Results & Forecasts
20251114 11:00
- Diamond Electric Holdings (66990) announces interim dividend using share premium reserve.
- Interim dividend: ¥115 million, 12.5 yen per share, payable on Dec 22, 2025.
- Dividend payout ratio: around 25% of consolidated period net income.
- Company targets stable dividends, maintaining a balance between returns to shareholders and future growth investments.
- No material changes stated in the disclosure.
2026年3月期第2四半期(中間期)の業績予想と実績値との差異並びに通期業績予想の修正に関するお知らせ
ダイヤHD (66990)
Financial Results & Forecasts
20251114 11:00
- Q2 2026 (Interim) Results: Revenue increased by ¥228 million (0.5%) YoY, EBITDA by ¥1,016 million (782.1%) YoY.
- Reasons for Differences: Revenue growth driven by increased production of ICE vehicles in auto parts business and currency impacts. EBITDA increase due to cost reduction efforts, business structure improvements, and foreign exchange gains.
- Full Year 2026 Guidance Revision: Revenue expected to decrease by ¥1,600 million (-2.8%) YoY due to increased competition in energy solutions business. EBITDA forecast revised upward by ¥350 million (43.8%) YoY due to cost-saving measures and positive currency impacts.
- Full Year 2026 Earnings Guidance: Net income attributable to parent company expected to increase by ¥130 million (+52.0%) YoY, driven by higher EBITDA and favorable tax adjustments.
2026年3月期第2四半期(中間期)決算説明資料
ダイヤHD (66990)
Financial Results & Forecasts
20251114 11:00
- Here’s a summary of the provided text:
- 2026 FY (Full Year) and Q2 (Second Quarter) Results & Forecasts for Diamond Electric Holdings:
- Q2 Results (vs. Initial Plan):
- Sales: ¥46,628 million (+¥228 million, +0.5%)
- Auto Parts Business: ¥19,279 million (+¥1,779 million, +10.2%)
- Energy Solutions Business: ¥11,995 million (-¥2,204 million, -15.5%)
- Electronics Business: ¥14,825 million (+¥725 million, +5.1%)
- Operating Profit: ¥1,388 million (+¥638 million, +85.2%)
- Capital Expenditure (Capex): ¥2,411 million (-¥1,689 million, -70.1%)
- R&D Expenses: ¥2,249 million (+¥624 million, +27.8%)
- FY Forecast (May vs. Nov. Update):
- Sales: ¥91,700 million (-¥2,600 million, -2.8%)
- Auto Parts Business: ¥36,950 million (+¥1,950 million, +5.6%)
- Energy Solutions Business: ¥24,550 million (-¥4,450 million, -15.3%)
- Electronics Business: ¥29,200 million (+¥200 million, +0.7%)
- Operating Profit: ¥2,000 million (No change)
- Net Income: ¥380 million (+¥130 million, +52.0%)
- ROE: 3.8% (+1.5pt)
- Key Points:
- The Auto Parts Business increased due to continued production increases in the US and China.
- The Energy Solutions Business faced intense competition from overseas manufacturers, leading to a decrease in sales and unchanged profits.
- The Electronics Business grew sales driven by customer demand and cost reduction efforts.
- Exchange rate fluctuations impacted earnings, with a positive impact expected in Q2.
2026年3月期第2四半期(中間期)決算短信〔日本基準〕(連結)
ダイヤHD (66990)
Financial Results & Forecasts
20251114 11:00
- Business Environment: Operating under uncertain economic conditions.
- Key Projects:
- Project A: 8-year tech innovation for eco-friendly vehicles and homes.
- Free as a Bird: Microgrid project in Tottori, Japan.
- Shareholder Engagement: Strong partnership with “All Diamond Shareholders” (>5% shareholding).
- Board Diversity: Elected female director Ms. Kaoru Koike; promoting internal candidates for directorship roles.
- Financial Results (H1 FY2026):
- Revenue increased by 6.2% to ¥46.6B, operating profit grew by 93.8% to ¥1.4B.
- Power Electronics segment: Sales up 7.5%, operating profits up 105%.
- Semiconductor segment: Sales up 6.3%, operating profits up 89.4%.
- Other Business segment: Sales down 2.8%, operating profits up 375%.
- Cash Flow (H1 FY2026):
- Generated ¥1.1B in cash from operating activities, capital expenditures ¥0.8B.
- Shareholder Returns: Interim dividend increased by 10% to ¥20 per share.
- Revised Guidance: Full-year revenue expected at ¥219B (down 2%), operating income unchanged at ¥35B.
2025年度第2四半期(中間期)決算説明会資料
京王 (90080)
Financial Results & Forecasts
20251114 11:00
- Revenue (Q2 FY2025): ¥2,306 billion (+¥164 billion YOY)
- Operating Income (Q2 FY2025): ¥317 billion (-¥2 billion YOY)
- EBITDA (Q2 FY2025): ¥482 billion (+¥6 billion YOY)
- Revised revenue estimate for 2025: ¥4,900 million (-2.4%)
- Revised profit estimate for 2025: ¥510 million (-5.8%)
- One-time restructuring charge incurred in Q2 FY2025
- Net income down YoY due to lower sales and increased expenses
- Earnings guidance revised downward for FY2025
2026年3月期 第2四半期(中間期)決算短信〔日本基準〕(非連結)
中部水 (81450)
Financial Results & Forecasts
20251114 10:40
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(訂正)「2026年3月期 第2四半期(中間期)決算短信〔IFRS〕(連結)」 の一部訂正について
A-RIZAP G (29280)
Financial Results & Forecasts
20251114 10:30
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2025年度 第2四半期 決算説明資料
高砂熱 (19690)
Financial Results & Forecasts
20251114 10:30
- Revenue forecast increased by 1.4% to ¥421 billion for FY2025
- Operating profit (EBITDA) forecast revised up by 20.3% to ¥43.3 billion for FY2025
- Net income forecast raised by 19.5% to ¥34.3 billion for FY2025
- Dividend per share increased by 4.7% to ¥42 for the current fiscal year
- Company maintains positive outlook on future business growth driven by sector demand and efficiency improvements
- Revenue grew 164,370 hundred million units (around 31.3 billion USD) from Q2 2023 to Q2 2025
- Gross profit margin improved from 14.3% in 2023 Q2 to 25.9% in 2025 Q2
- Net profit margin increased from 5.5% in 2023 Q2 to 13.6% in 2025 Q2
- Total orders increased by 4.2% YoY and total sales by 8.8% YoY for FY2024 vs FY2025
- Q2 2025 revenue up 15% YoY, operating income up 19% YoY, net income up 20% YoY
- FY2025 guidance revised upward: revenue ¥37B (prev. ¥36.5B), operating income ¥8.5B (prev. ¥8.2B)
2026年3月期 第2四半期(中間期)決算短信 〔日本基準〕(連結)
高砂熱 (19690)
Financial Results & Forecasts
20251114 10:30
- Revenue: ¥194.5 billion (H1 FY2026), +18.7% YoY
- Operating Income (EBITDA): ¥44.3 billion (H1 FY2026)
- Net Income: ¥19.6 billion (H1 FY2026)
- Cash & Cash Equivalents: ¥306.3 billion (as of Sept 2025), -28% YoY
- Revised Business Outlook for FY2026 (details not provided)
2026年3月期 第2四半期(中間期)決算説明会資料
リョーサン菱洋 (167A0)
Financial Results & Forecasts
20251114 10:00
- Summary:
- Financial Performance (H1 2025 vs H1 2024):
- Revenue: ¥1,801B → ¥1,722B (-6.5%)
- Operating Income: ¥387B → ¥341B (-11.9%)
- Net Income: ¥57.2B → ¥23.8B (-58.6%)
- Key Divisions Performance:
- Device Business: Revenue down 6.0%, Operating Income up 25.0%
- Solution Business: Revenue up 1.3%, Operating Income up 4.6%
- Balance Sheet (as of Sept. 2025):
- Total Assets: ¥7,359B
- Total Liabilities & Shareholders’ Equity: ¥5,623B
- Cash & Equivalents: ¥457B
- Current Ratio (Acid-Test Ratio): 1.65
- Debt-to-Equity Ratio: 0.98
- Return on Assets (ROA): 0.8%
- Return on Equity (ROE): 0.5%
- Dividends: No information provided in the given text.
- Outlook & Other Information:
- The company has not disclosed its outlook for H2 2025 or FY 2026.
- It should be noted that actual results may differ from initial forecasts due to various factors.
- Contact: Ryōsan Kin’yō Holdings Co., Ltd. Planning Department, Public Relations Department (TEL: 03-3546-5003, Email: irmanager@rr-hds.co.jp)
2026年3月期第2四半期(中間期)決算説明資料
シップHD (33600)
Financial Results & Forecasts
20251114 10:00
- Business Performance:
- Life business sales increased by approximately 30%.
- Medical business achieved significant sales growth (exact percentage not specified).
- Key Initiatives and Projects:
- Life: Expansion into new areas, medical device maintenance service center established.
- Medical: Large-scale hospital project progress, new in-house SPDs business model developed, Tokyo logistics solution initiated.
- IT & Digital Transformation: Medical DX Promotion Headquarters established, focus on optimal network-based solutions.
- Organizational Changes & M&A:
- Two subsidiaries merged for medical equipment services.
- Furniture company acquired to strengthen Group capabilities.
- Financial Performance: Consolidated operating revenue ~¥600bn in the first half (exact figure not provided).
- Future Outlook: Continued growth in life and medical businesses, exploration of new business models.
個別決算における前事業年度の実績値との差異に関するお知らせ
G-リネットジャパン (35560)
Financial Results & Forecasts
20251114 08:00
- Revenue Increase: Revenue for the year ending September 2025 increased by ¥429 million (50.6%) to ¥1,277 million compared to the previous year.
- Operating Income Increase: Operating income rose significantly by ¥572 million (838.4%) to ¥601 million, primarily due to increased revenue and a one-time gain from stock appreciation.
- Net Income Increase: Net income surged by ¥893 million (1,982.5%), reaching ¥993 million, driven by the increase in operating income and other factors such as asset impairment reversals.
- Segment Performance: The increase was attributed to the growth of the company’s core businesses, specifically the Reuse & Recycle business and improvements in the Social Care segment.
- Non-Recurring Items: The company recorded a one-time gain of ¥150 million from the sale of a franchise business unit.
2025年9月期 決算補足資料・事業計画及び成長可能性に関する事項
G-リネットジャパン (35560)
Financial Results & Forecasts
20251114 08:00
- Financial Performance (2026 vs. 2025):
- Revenue: +108% YTD, +271.9% Q3
- Operating Income: +142%
- Net Income: +88%
- EPS: +87%
- Key Initiatives:
- Leverage GIGA Commercial Opportunity for revenue growth
- Accelerate group home expansion for disabled individuals (target 200 facilities by 2035)
- Achieve steady hobby-related sales growth (+118% expected)
- Secure ¥20 billion loan to strengthen financial position and enhance self-capital ratios
- Future Growth Strategies:
- Pursue M&As in the same industry and expand into new business areas
- Revised FY2025 Guidance:
- Revenue lowered to ¥3.2 billion
- Expected operating loss widened to ¥40 million
- Dividend Maintained: Despite lower earnings outlook, full-year dividend kept at ¥10 per share
2025年9月期 決算短信〔日本基準〕(連結)
G-リネットジャパン (35560)
Financial Results & Forecasts
20251114 08:00
- Revenue decreased by 82.2% to ¥116,618 thousand
- Total assets decreased to ¥7,032,186 thousand
- Equity increased to ¥1,093,506 thousand
- Focus on ESG-driven “ES Model” for future growth
- Expansion plans in Reuse & Recycle Business and Social Care Services
- Acquisition of stake in another company after the balance sheet date
- Disposal of Cambodian subsidiary resulted in a loss of ¥400,248 thousand
Regulatory / Legal / Governance
第60期(2026年3月期)半期報告書の提出に関するお知らせ
ニチリョク (75780)
Regulatory / Legal / Governance
20251114 19:40
Summary not available.
(訂正)「第27期半期報告書の提出期限延長に係る承認のお知らせ」の一部訂正
Abalance (38560)
Regulatory / Legal / Governance
20251114 18:10
Summary not available.
2026年2月期半期報告書の提出期限延長申請に関する承認のお知らせ
G-アーキテクツSJ (60850)
Regulatory / Legal / Governance
20251114 17:30
Summary not available.
2026年3月期半期報告書の提出期限延長に係る承認のお知らせ
不動テトラ (18130)
Regulatory / Legal / Governance
20251114 17:00
Summary not available.
臨時株主総会招集のための基準日設定に関するお知らせ
G-U&C (35570)
Regulatory / Legal / Governance
20251114 17:00
Summary not available.
2026年3月期 第2四半期決算概要および現況のご報告
ニデック (65940)
Regulatory / Legal / Governance
20251114 17:00
Summary not available.
半期報告書の提出期限延長に係る承認のお知らせ
エア・ウォーター (40880)
Regulatory / Legal / Governance
20251114 17:00
Summary not available.
2026年2月期半期報告書の提出期限延長に関する承認申請書提出のお知らせ
G-アーキテクツSJ (60850)
Regulatory / Legal / Governance
20251114 16:55
Summary not available.
第 27 期半期報告書の提出期限延長に係る承認のお知らせ
Abalance (38560)
Regulatory / Legal / Governance
20251114 16:50
Summary not available.
(開示事項の変更)「会社分割による持株会社体制移行に伴う吸収分割契約の締結、定款の一部変更及び臨時株主総会の詳細等に関するお知らせ」の一部変更について
ワイエスフード (33580)
Regulatory / Legal / Governance
20251114 16:30
Summary not available.
臨時株主総会招集のための基準日設定に関するお知らせ
P-ONEGROUP (61680)
Regulatory / Legal / Governance
20251114 16:30
Summary not available.
臨時株主総会招集のための基準日設定に関するお知らせ
JHD (27210)
Regulatory / Legal / Governance
20251114 16:00
Summary not available.
臨時株主総会の開催並びに付議案の決定に関するお知らせ
G-関通 (93260)
Regulatory / Legal / Governance
20251114 16:00
Summary not available.
臨時株主総会のための基準日設定に関するお知らせ
G-Birdman (70630)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
2026年3月期半期報告書のレビュー結論不表明のお知らせ
ニデック (65940)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
臨時株主総会招集のための基準日設定および臨時株主総会の開催並びに定款の一部変更に関するお知らせ
TOYOイノベックス (62100)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
自己株式の取得に係る事項の決定に関するお知らせ(会社法第459条第1項の規定による定款の定めに基づく自己株式の取得)
かんぽ生命保険 (71810)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
2025年10月度 高島屋営業報告
高島屋 (82330)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
臨時株主総会招集のための基準日設定に関するお知らせ
ライトオン (74450)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
臨時株主総会招集のために基準日設定及び臨時株主総会の開催並びに定款の一部変更に関するお知らせ
日精樹脂 (62930)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
臨時株主総会の開催日時及び場所並びに付議議案の決定に関するお知らせ
G-フレアス (70620)
Regulatory / Legal / Governance
20251114 15:30
Summary not available.
第27期半期報告書提出期限延長に係る承認申請書提出のお知らせ
Abalance (38560)
Regulatory / Legal / Governance
20251114 15:00
- Delayed Filing: Abalanced (38560) has submitted a request to extend the filing deadline for its half-year report.
- Original Deadline: The original deadline was November 14, 2025.
- New Proposed Deadline: If approved, the new deadline would be January 13, 2026.
- Reason for Extension: The extension is due to an ongoing third-party committee investigation into various aspects of Abalanced’s operations and financials.
- Uncertain Impact: The impact of these investigations on Abalanced’s financial statements is currently unknown.
臨時株主総会招集のための基準日設定に関するお知らせ
F-光貴 (342A0)
Regulatory / Legal / Governance
20251114 15:00
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財務報告に係る内部統制の開示すべき重要な不備及び内部統制報告書の訂正に関するお知らせ
G-イシン (143A0)
Regulatory / Legal / Governance
20251114 13:30
- Company G-ISIN (143A0) disclosed internal control report corrections.
- Corrected periods: FY2023 (ended 2024Q1), FY2024 (ended 2025Q1).
- Changes made to “Evaluation Results” section, impacting effectiveness of internal controls over financial reporting.
- Errors found in IGF’s investment securities valuation and adjustments for differing accounting periods.
- Issues led to understatement of investment securities and incorrect impairment losses.
- Company has implemented measures to prevent recurrence.
過年度有価証券報告書等の訂正報告書の提出及び過年度決算短信等の訂正に関するお知らせ
G-イシン (143A0)
Regulatory / Legal / Governance
20251114 13:30
- Ishin Corporation (143A0) filed a correction report for previous financial statements due to errors in accounting for investments made by its subsidiary, Ishin Global Fund L.P.
- The errors included “evaluation method mistakes” leading to “undercounted impairment losses” and “timing discrepancies causing incorrect adjustments”, resulting in “understatement of investment securities”.
- These corrections affect the consolidated financial statements for fiscal years ending March 2023, 2024, and 2025.
- The impacts on past performance are detailed in a table showing changes in revenue, operating income, net income, total assets, and equity for each affected period.
- No material changes to previously issued guidance or expectations were mentioned.
Other
山東科瑞爾医療科技有限公司とのウェアラブル近視デバイス「Kubota Glass」販売特約店契約と売買契約締結のお知らせ
G-窪田製薬HD (45960)
Other
20251114 19:10
Summary not available.
連結子会社におけるスターガルト病治療候補薬「エミクススタト塩酸塩」に関するLaboratoires KOLとの提携可能性検討に向けた意向表明書を締結
G-窪田製薬HD (45960)
Other
20251114 19:05
Summary not available.
(開示事項の経過)BTC追加取得のお知らせ
G-イオレ (23340)
Other
20251114 18:45
Summary not available.
代表取締役の異動に関するお知らせ
デルソーレ (28760)
Other
20251114 18:30
Summary not available.
事業譲渡の方針決定に関するお知らせ
G-イオレ (23340)
Other
20251114 18:30
Summary not available.
募集新株予約権(有償ストック・オプション)の発行に関するお知らせ
G-イオレ (23340)
Other
20251114 18:30
Summary not available.
CSO就任に関するお知らせ
G-イオレ (23340)
Other
20251114 18:30
Summary not available.
当社一部事業の廃止に関するお知らせ
G-イオレ (23340)
Other
20251114 18:30
Summary not available.
2025年9月期決算 事業内容・展開について
ジョルダン (37100)
Other
20251114 18:10
Summary not available.
連結子会社におけるネパール水力発電事業の停止(再検討)および特別損失の計上に関するお知らせ
G-海帆 (31330)
Other
20251114 18:00
Summary not available.
営業外収益及び営業外費用並びに特別利益及び特別損失の計上に関するお知らせ
G-海帆 (31330)
Other
20251114 18:00
Summary not available.
2026年3月期連結業績予想に関するお知らせ
G-海帆 (31330)
Other
20251114 18:00
Summary not available.
2025年9月期決算説明資料
フォーシーズHD (37260)
Other
20251114 18:00
Summary not available.
監査等委員会設置会社への移行、定款の一部変更及び代表取締役、役員の異動に関するお知らせ
フォーシーズHD (37260)
Other
20251114 18:00
Summary not available.
剰余金の配当(見送り)に関するお知らせ
フォーシーズHD (37260)
Other
20251114 18:00
Summary not available.
補足資料 株式会社フォーシーズHDとの業務提携に関するお知らせ
G-ジェリービーンズ (30700)
Other
20251114 18:00
Summary not available.
株式会社フォーシーズHDとの業務提携に関するお知らせ
G-ジェリービーンズ (30700)
Other
20251114 18:00
Summary not available.
【決算説明会】決算説明会質疑応答書き起こし及びアーカイブ動画公開のお知らせ
G-スパイダープラス (41920)
Other
20251114 18:00
Summary not available.
2025年9月期 決算説明資料
まぐまぐ (40590)
Other
20251114 17:45
Summary not available.
2025年9月期 決算説明会(動画)及びQ&A
Speee (44990)
Other
20251114 17:30
Summary not available.
個別決算における関係会社株式評価損の計上のお知らせ
NEXYZ.G (43460)
Other
20251114 17:30
Summary not available.
2025年9月期 決算説明資料
NEXYZ.G (43460)
Other
20251114 17:30
Summary not available.
連結子会社株式の一部処分に関するお知らせ
日本郵政 (61780)
Other
20251114 17:00
Summary not available.
設立35周年記念株主優待制度拡充に関するお知らせ
バルコス (77900)
Other
20251114 17:00
Summary not available.
第三者割当による新株式の発行に関するお知らせ
G-アライドアーキ (60810)
Other
20251114 17:00
Summary not available.
株式併合、単元株式数の定めの廃止及び定款の一部変更の承認決議に関するお知らせ
CARTA HD (36880)
Other
20251114 17:00
Summary not available.
EVO FUND からの第 10 回新株予約権(行使価額修正条項付)の取得及び消却に関するお知らせ
G-U&C (35570)
Other
20251114 17:00
Summary not available.
株式会社エージェントIGホールディングス(証券コード 377A)株式の買集め行為に該当する株式取得に関するお知らせ
松井証 (86280)
Other
20251114 17:00
Summary not available.
2025年9月期 決算説明資料
レカム (33230)
Other
20251114 17:00
Summary not available.
株式分割、定款の一部変更に関するお知らせ
ウリドキ (418A0)
Other
20251114 17:00
Summary not available.
第三者割当による第20回新株予約権(行使価額修正条項付)、第21回新株予約権及び第1回無担保普通社債(少人数私募)の発行並びに新株予約権の買取契約の締結
PATH (38400)
Other
20251114 17:00
Summary not available.
法人税等調整額(益)の計上に関するお知らせ
P-グローカルマーケ (266A0)
Other
20251114 17:00
Summary not available.
株主優待制度の新設に関するお知らせ
オーケストラHD (65330)
Other
20251114 17:00
Summary not available.
本社移転に関するお知らせ
P-RAVIPA (58930)
Other
20251114 17:00
Summary not available.
特別損失(減損損失)の計上に関するお知らせ
P-RAVIPA (58930)
Other
20251114 17:00
Summary not available.
資金の借入に関するお知らせ
P-ゼン・ランド (358A0)
Other
20251114 17:00
Summary not available.
当座貸越契約の締結に関するお知らせ
P-エネルギーパワー (144A0)
Other
20251114 17:00
Summary not available.
固定資産の取得及び譲渡並びに賃借に関するお知らせ
P-エネルギーパワー (144A0)
Other
20251114 17:00
Summary not available.
(開示事項の経過)資金借入に関するお知らせ
P-エネルギーパワー (144A0)
Other
20251114 17:00
Summary not available.
特別損失の計上に関するお知らせ
P-はなHD (91560)
Other
20251114 17:00
Summary not available.
営業外収益及び営業外費用の計上に関するお知らせ
ウィルソンWLW (96100)
Other
20251114 17:00
Summary not available.
役員人事に関するお知らせ
artience (46340)
Other
20251114 16:50
Summary not available.
資本コストや株価を意識した経営の実現に向けた対応について
今仙電機 (72660)
Other
20251114 16:40
Summary not available.
「特定子会社の異動に関するお知らせ」について
大東建 (18780)
Other
20251114 16:40
Summary not available.
株式会社天郷醸造所の株式の取得(関連会社化)に関するお知らせ
G-Fusic (52560)
Other
20251114 16:30
Summary not available.
東京証券取引所スタンダード市場への市場区分変更承認に関するお知らせ
G-ブランジスタ (61760)
Other
20251114 16:30
Summary not available.
営業外収益及び特別損失の計上に関するお知らせ
G-PRISMBio (206A0)
Other
20251114 16:30
Summary not available.
小野薬品工業株式会社との創薬提携における初回マイルストン達成並びに一時金受領のお知らせ
G-PRISMBio (206A0)
Other
20251114 16:30
Summary not available.
2025年9月期 決算 補足説明資料
フィックスターズ (36870)
Other
20251114 16:30
Summary not available.
2026年9月期 10月度 月次業績(売上高)速報
太洋物産 (99410)
Other
20251114 16:30
Summary not available.
株式分割および株式分割に伴う定款の一部変更に関するお知らせ
G-ドリーム・アーツ (48110)
Other
20251114 16:30
Summary not available.
コミットメントライン期間付タームローン契約に関するお知らせ
イルグルム (36900)
Other
20251114 16:30
Summary not available.
剰余金の配当に関するお知らせ
イルグルム (36900)
Other
20251114 16:30
Summary not available.
2025年9月期 決算補足説明資料
G-cotta (33590)
Other
20251114 16:30
Summary not available.
固定資産の定期建物賃貸借契約書締結に関するお知らせ
ロイヤルホテル (97130)
Other
20251114 16:30
Summary not available.
取締役会の実効性評価結果の概要に関するお知らせ
太洋物産 (99410)
Other
20251114 16:30
Summary not available.
新株式及び新株予約権の発行に関する資金使途変更のお知らせ
太洋物産 (99410)
Other
20251114 16:30
Summary not available.
棚卸資産評価損、営業外収益及び特別利益に関するお知らせ
ウインテスト (67210)
Other
20251114 16:30
Summary not available.
株主優待制度の一部変更に関するお知らせ
CKD (64070)
Other
20251114 16:20
Summary not available.
第三者割当により発行される新株式の発行に関するお知らせ
G-ブリッジコンサル (92250)
Other
20251114 16:15
Summary not available.
2025年9月期 決算説明資料
G-ブリッジコンサル (92250)
Other
20251114 16:15
Summary not available.
企業価値向上に向けた取り組み セントワークス(株)を中核とする当社DXソリューション構想について
G-IIF (65450)
Other
20251114 16:10
Summary not available.
第三者割当による第13回新株予約権及び第1回無担保転換社債型新株予約権付社債の発行並びに第三者割当契約の締結に関するお知らせ
G-Welby (44380)
Other
20251114 16:00
Summary not available.
特別利益(受取保険金)の計上に関するお知らせ
G-INC HD (70780)
Other
20251114 16:00
Summary not available.
資金の借入に関するお知らせ
G-リビンT (44450)
Other
20251114 16:00
Summary not available.
取締役候補者の選任及び執行役員人事に関するお知らせ
G-リビンT (44450)
Other
20251114 16:00
Summary not available.
資本金の額の減少に関するお知らせ
G-リビンT (44450)
Other
20251114 16:00
Summary not available.
資金の借入に関するお知らせ
R-ジャパン (89520)
Other
20251114 16:00
Summary not available.
法人税等調整額の計上に関するお知らせ
G-オークファン (36740)
Other
20251114 16:00
Summary not available.
特別損失(減損損失等)の計上に関するお知らせ
ショーケース (39090)
Other
20251114 16:00
Summary not available.
営業外費用の計上に関するお知らせ
オーケーウェブ (38080)
Other
20251114 16:00
Summary not available.
月次営業レポート(2025年10月度)
APHD (31750)
Other
20251114 16:00
Summary not available.
上場維持基準(純資産基準)への適合に向けた改善計画の進捗状況について
APHD (31750)
Other
20251114 16:00
Summary not available.
営業外費用(為替差損)の計上に関するお知らせ
P-エアロラボ (326A0)
Other
20251114 16:00
Summary not available.
当社連結子会社による子会社(孫会社)の設立に関するお知らせ
G-モンスターラボ (52550)
Other
20251114 16:00
Summary not available.
上場維持基準(純資産基準)への適合に向けた計画の進捗状況について
G-モンスターラボ (52550)
Other
20251114 16:00
Summary not available.
「金融費用(為替差損)」計上に関するお知らせ
G-モンスターラボ (52550)
Other
20251114 16:00
Summary not available.
株主提案に対する当社取締役会の意見に関するお知らせ
システムソフト (75270)
Other
20251114 16:00
Summary not available.
特別利益(段階取得に係る差益)及び 持分法投資損失の計上に関するお知らせ
NFK-HD (64940)
Other
20251114 16:00
Summary not available.
2026年9月期の株主優待制度(予定)に関するお知らせ
アビスト (60870)
Other
20251114 16:00
Summary not available.
2025年9月期 決算説明資料
G-ミラタップ (31870)
Other
20251114 16:00
Summary not available.
スマートDXソリューション事業の廃止に関するお知らせ
エス・サイエンス (57210)
Other
20251114 16:00
Summary not available.
本店移転日の決定に関するお知らせ
G-リンカーズ (51310)
Other
20251114 16:00
Summary not available.
役員の異動に関するお知らせ
エス・サイエンス (57210)
Other
20251114 16:00
Summary not available.
2025年10月 月次IRレポート (NJSS月次情報含む)
G-うるる (39790)
Other
20251114 16:00
Summary not available.
第12回新株予約権の譲渡の承認に関するお知らせ
クオンタムS (23380)
Other
20251114 16:00
Summary not available.
株主優待制度の一部変更のお知らせ
G-キューブ (71120)
Other
20251114 16:00
Summary not available.
上場投資信託(ETF)の運用管理費用(信託報酬)の変更のお知らせ
GX銀行高配当日株 (315A0)
Other
20251114 16:00
Summary not available.
持株会社体制への移行に伴う吸収分割契約の締結、商号変更、定款の一部変更、資本金・資本準備金及び利益準備金の額の減少に関するお知らせ
G-関通 (93260)
Other
20251114 16:00
Summary not available.
特別利益(負ののれん発生益)の計上に関するお知らせ
三桜工 (65840)
Other
20251114 16:00
Summary not available.
営業外収益(補助金収入)の計上に関するお知らせ
P-ミモザ (191A0)
Other
20251114 16:00
Summary not available.
固定資産の減損損失の計上に関するお知らせ
G-monoAI (52400)
Other
20251114 16:00
Summary not available.
剰余金の配当に関するお知らせ
アビスト (60870)
Other
20251114 16:00
Summary not available.
営業外費用(為替差損)の計上に関するお知らせ
日本精密 (77710)
Other
20251114 16:00
Summary not available.
剰余金の配当に関するお知らせ
大阪油化工業 (41240)
Other
20251114 16:00
Summary not available.
2025年9月期 決算説明資料
大阪油化工業 (41240)
Other
20251114 16:00
Summary not available.
事業計画及び成長可能性に関する事項
G-GEI (92120)
Other
20251114 16:00
Summary not available.
2025年9月期 決算説明資料
G-GEI (92120)
Other
20251114 16:00
Summary not available.
特別損失及び過年度法人税等の計上に関するお知らせ
エステールHD (78720)
Other
20251114 16:00
Summary not available.
株主優待制度の導入に関するお知らせ
G-ユカリア (286A0)
Other
20251114 16:00
Summary not available.
営業外収益及び営業外費用の計上に関するお知らせ
G-アジャイル (65730)
Other
20251114 16:00
Summary not available.
2025年12月期 3Q決算説明資料
ユニカフェ (25970)
Other
20251114 16:00
Summary not available.
2025年9月期 取締役会実効性評価結果の概要について
アビスト (60870)
Other
20251114 16:00
Summary not available.
法人税等調整額(損)の計上に関するお知らせ
P-manaby (92220)
Other
20251114 16:00
Summary not available.
2025年9月期 決算説明資料(事業計画及び成長可能性に関する事項)
G-BCC (73760)
Other
20251114 16:00
Summary not available.
(開示事項の経過)再発防止策の進捗に関するお知らせ
サンウェルズ (92290)
Other
20251114 16:00
Summary not available.
資金使途の変更に関するお知らせ
サンウェルズ (92290)
Other
20251114 16:00
Summary not available.
監査役の異動に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
資本金及び資本準備金の額の減少並びに剰余金の処分に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
定款の一部変更に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
特別損失の計上に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
営業外費用の計上に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
営業外収益の計上に関するお知らせ
ピクセラ (67310)
Other
20251114 16:00
Summary not available.
資本コストや株価を意識した経営の実現に向けた対応について(アップデート)
丸文 (75370)
Other
20251114 16:00
Summary not available.
役員人事に関するお知らせ
G-くふうカンパニー (43760)
Other
20251114 16:00
Summary not available.
有償ストック・オプション(新株予約権)の発行及び役員持株会設立に関するお知らせ
G-くふうカンパニー (43760)
Other
20251114 16:00
Summary not available.
剰余金の配当に関するお知らせ
東北化学 (74460)
Other
20251114 16:00
Summary not available.
上場維持基準(純資産基準)への適合に向けた計画に基づく進捗状況について
JHD (27210)
Other
20251114 16:00
Summary not available.
定款の一部変更に関するお知らせ
G-くふうカンパニー (43760)
Other
20251114 16:00
Summary not available.
2025年9月期 決算説明資料
G-くふうカンパニー (43760)
Other
20251114 16:00
Summary not available.
株主優待品の内容決定に関するお知らせ
第一パン (22150)
Other
20251114 16:00
Summary not available.
役員の異動及び人事異動に関するお知らせ
第一パン (22150)
Other
20251114 16:00
Summary not available.
剰余金の配当に関するお知らせ
マナック・ケミカルP (43600)
Other
20251114 16:00
Summary not available.
ソフトバンクロボティクス株式会社との資本業務提携及び第三者割当による新株式の発行に関するお知らせ
アールエスシー (46640)
Other
20251114 15:45
Summary not available.
プルータス・グループとの資本業務提携並びに第三者割当による新株式及び転換社債型新株予約権付社債の発行に関するお知らせ
G-IGS (42650)
Other
20251114 15:45
Summary not available.
営業外収益(為替差益)の計上に関するお知らせ
G-ispace (93480)
Other
20251114 15:45
Summary not available.
2026年3月期Q2 決算説明資料
G-ispace (93480)
Other
20251114 15:45
Summary not available.
2026年9月期目標値および3ヵ年目標値の策定に関するお知らせ
オリコンHD (24980)
Other
20251114 15:45
Summary not available.
剰余金の配当に関するお知らせ
オリコンHD (24980)
Other
20251114 15:45
Summary not available.
2025年 9月期 決算説明資料
日本エコシステム (92490)
Other
20251114 15:40
Summary not available.
剰余金の配当に関するお知らせ
日本エコシステム (92490)
Other
20251114 15:40
Summary not available.
Summary not available.
営業外費用の計上に関するお知らせ
倉元 (52160)
Other
20251114 15:40
Summary not available.
営業外損益(持分法による投資利益)の計上に関するお知らせ
夢みつけ隊 (26730)
Other
20251114 15:40
Summary not available.
政策投資株式の縮減目標の見直しに関するお知らせ
名古屋銀 (85220)
Other
20251114 15:40
Summary not available.
営業外収益(持分法による投資利益)の計上に関するお知らせ
フリージアマク (63430)
Other
20251114 15:40
Summary not available.
株式会社宮崎太陽銀行(証券コード:8560 福証)株式の買集め行為に該当する株式取得に関するお知らせ
宮崎銀 (83930)
Other
20251114 15:35
Summary not available.
令和7年9月期 決算補足説明資料
KLASS (62330)
Other
20251114 15:35
Summary not available.
営業外損益及び特別損失の計上に関するお知らせ
G-ブライトパス (45940)
Other
20251114 15:32
Summary not available.
剰余金の配当に関するお知らせ
P-バレッグス (239A0)
Other
20251114 15:31
Summary not available.
第三者割当による新株式及び第11回新株予約権の発行に係る払込完了に関するお知らせ
ジー・スリーHD (36470)
Other
20251114 15:30
Summary not available.
改善計画の策定方針に関するお知らせ
ニデック (65940)
Other
20251114 15:30
Summary not available.
契約損失引当金及び非金融資産の減損損失並びに仕入先からの求償請求の和解に伴う債務の計上に関するお知らせ
ニデック (65940)
Other
20251114 15:30
Summary not available.
営業外収益及び営業外費用の計上に関するお知らせ
G-Birdman (70630)
Other
20251114 15:30
Summary not available.
連結子会社における収益不動産取得に関するお知らせ
JALCO HD (66250)
Other
20251114 15:30
Summary not available.
その他の関係会社の異動に関するお知らせ
ライトオン (74450)
Other
20251114 15:30
Summary not available.
営業外費用(為替差損)の計上に関するお知らせ
G-データセクション (39050)
Other
20251114 15:30
Summary not available.
特別損失の発生(当社単体決算)に関するお知らせ
G-ウェッジHD (23880)
Other
20251114 15:30
- Special loss (allowance for bad debt) of 14.1 billion yen occurred due to loan to Engine Holdings Asia PTE.LTD.
- No impact on consolidated results or cash flow.
- No further details provided on future outlook or reasons behind the impairment.
営業外収益の増加・発生、および営業外費用の増加に関するお知らせ
G-ウェッジHD (23880)
Other
20251114 15:30
- Forex gain increased by ¥680M to ¥970M due to exchange rate fluctuations.
- Received ¥410M bad debt reserve reversal after recovering overdue loans.
- Incurred ¥250M additional provision for doubtful accounts after reassessment.
- Recorded ¥360M investment loss under the equity method due to asset revaluation.
- Changes reflected in “Q2 FY2025 Unaudited Consolidated Financial Results (J-GAAP)”.
減損損失計上のお知らせ
G-デジタルプラス (36910)
Other
20251114 15:30
Summary not available.
営業外費用及び特別損失の計上に関するお知らせ
DLE (36860)
Other
20251114 15:30
Summary not available.
[開示事項の経過]連結子会社による株式会社HaDの株式取得(孫会社化)に関するお知らせ
G-MUSCAT G (195A0)
Other
20251114 15:30
- MUSCAT GROUP’s (195A0) subsidiary acquired HaD’s shares, making it a grandchild company.
- As of July 31, 2025, HaD’s net assets were ¥24 billion and total assets were ¥97 billion.
- The acquisition includes only the bialne communication sales business; other businesses were transferred to a newly established subsidiary, OpenEnd.
- These figures are based on an accounting assumed acquisition date of July 31, 2025, for the bialne business only.
2025年9月期(2024年10月~2025年9月)業績説明資料
アドバンスクリエイト (87980)
Other
20251114 15:30
Summary not available.
[開示事項の経過]連結子会社の異動(株式譲渡)に伴う特別利益の計上に関するお知らせ
G-MUSCAT G (195A0)
Other
20251114 15:30
- Special Gain: G-MUSCAT will record a special gain of ¥65,340 million in Q3 FY2026 due to the sale of Nadesiko shares.
- Impact on Full-Year Results: The impact of this on the full-year FY2026 results has been included in the announcement dated 2025-11-14.
スギホールディングス株式会社 2025年10月度 月次速報に関するお知らせ
スギHD (76490)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
Q-リプライオリティ (242A0)
Other
20251114 15:30
failed to download PDF: fallback download failed (https://www2.jpx.co.jp/disc/242A0/140120251114503406.pdf): unexpected status code for download: 404 (url: https://www2.jpx.co.jp/disc/242A0/140120251114503406.pdf)
特別損失(連結・個別)の計上に関するお知らせ
G-クラウドワークス (39000)
Other
20251114 15:30
Summary not available.
営業外収益(為替差益)の計上に関するお知らせ
山喜 (35980)
Other
20251114 15:30
Summary not available.
剰余金の配当(無配)及び株主優待制度の廃止に関するお知らせ
G-クラウドワークス (39000)
Other
20251114 15:30
Summary not available.
2025年10月月次に関するお知らせ
G-BUYSELL (76850)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料(事業計画及び成長可能性に関する事項)
G-シェアリングT (39890)
Other
20251114 15:30
Summary not available.
第14回新株予約権(行使価額修正条項付)の一部譲渡の承認及び売出しに関するお知らせ
G-フルッタフルッタ (25860)
Other
20251114 15:30
Summary not available.
2025年9月期 決算ハイライト
Q-リプライオリティ (242A0)
Other
20251114 15:30
failed to download PDF: fallback download failed (https://www2.jpx.co.jp/disc/242A0/140120251114503356.pdf): unexpected status code for download: 404 (url: https://www2.jpx.co.jp/disc/242A0/140120251114503356.pdf)
役員候補者の選任に関するお知らせ
アドバンスクリエイト (87980)
Other
20251114 15:30
Summary not available.
連結決算における特別損失(減損損失)及び営業外費用(為替差損)の計上に関するお知らせ
ガーラ (47770)
Other
20251114 15:30
Summary not available.
代表取締役会長・代表取締役社長の異動に関するお知らせ
サイバーエージェント (47510)
Other
20251114 15:30
Summary not available.
営業外費用(為替差損)、特別損失(減損損失等)の計上及び子会社株式評価損(個別決算)の計上に関するお知らせ
アドバンスクリエイト (87980)
Other
20251114 15:30
Summary not available.
上場維持基準(流通株式時価総額基準及び流通株式比率基準)への適合に向けた計画(改善期間入り)について
アドバンスクリエイト (87980)
Other
20251114 15:30
Summary not available.
連結子会社からの配当金受領に関するお知らせ
サイバーエージェント (47510)
Other
20251114 15:30
Summary not available.
特別損失の計上に関するお知らせ
G-環境フレンドリー (37770)
Other
20251114 15:30
Summary not available.
「株主様ご優待券」のご利用可能ブランド・販路の拡充に関するお知らせ
ケイ・ウノ (259A0)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
ケイ・ウノ (259A0)
Other
20251114 15:30
Summary not available.
上場維持基準(純資産基準)への適合見込みに関するお知らせ
アドバンスクリエイト (87980)
Other
20251114 15:30
Summary not available.
営業外費用及び特別損失の計上に関するお知らせ
G-NANO (45710)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
G-インバウンドPF (55870)
Other
20251114 15:30
Summary not available.
株式会社プラスアルファ・コンサルティングとの資本業務提携契約の締結に関するお知らせ
ラクス (39230)
Other
20251114 15:30
Summary not available.
剰余金の配当(増配)に関するお知らせ
G-エスユーエス (65540)
Other
20251114 15:30
Summary not available.
特別利益の計上に関するお知らせ
SDSHD (17110)
Other
20251114 15:30
- SDS Holdings (17110) announces extraordinary income of ¥4,112 thousand for Q3 FY2026.
- Income resulted from the sale of a golf membership right held by the company.
- Impact on consolidated results for FY2026 Q3 is minor.
- No significant changes in guidance or expectations were mentioned.
役員及び執行役員の異動並びに組織変更に関するお知らせ
スペース (96220)
Other
20251114 15:30
Summary not available.
代表取締役の異動に関するお知らせ
スペース (96220)
Other
20251114 15:30
Summary not available.
定款の一部変更に関するお知らせ
サイバーエージェント (47510)
Other
20251114 15:30
Summary not available.
特別損失の計上に関するお知らせ
フジオフードG本社 (27520)
Other
20251114 15:30
Summary not available.
法人税等調整額(益)の計上に関するお知らせ
G-フレアス (70620)
Other
20251114 15:30
Summary not available.
事業の一部譲渡及びそれに伴う特別利益(事業譲渡益)の計上に関するお知らせ
G-フレアス (70620)
Other
20251114 15:30
Summary not available.
持分法適用関連会社からの配当金受領に関するお知らせ
ディーエヌエー (24320)
Other
20251114 15:30
- Dena (2432) to receive dividend of ¥83.79 billion from CyGames.
- Dividend expected on November 20, 2025.
- Will be recognized as extraordinary income in Q3 FY2026 individual results.
- Limited impact on consolidated results for Q3 FY2026 due to equity method accounting.
役員人事に関するお知らせ
アジア航測 (92330)
Other
20251114 15:30
Summary not available.
連結子会社における販売用不動産評価損及び貸倒引当金繰入の計上に関するお知らせ
ビーロット (34520)
Other
20251114 15:30
Summary not available.
2025年9月期 決算補足説明資料
アジア航測 (92330)
Other
20251114 15:30
Summary not available.
ソフトウェア資産等に係る減損損失の計上に関するお知らせ
Speee (44990)
Other
20251114 15:30
Summary not available.
執行役員の人事に関するお知らせ
ベース (44810)
Other
20251114 15:30
Summary not available.
事業計画及び成長可能性に関する事項
G-AViC (95540)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
G-AViC (95540)
Other
20251114 15:30
Summary not available.
株主優待制度の変更(拡充)に関するお知らせ
近鉄GHD (90410)
Other
20251114 15:30
Summary not available.
ホテル運営実績に関するお知らせ(2025年9月度)
R-霞ヶ関ホテル (401A0)
Other
20251114 15:30
Summary not available.
当社決算説明会における質疑応答の公開について
G-TDSE (70460)
Other
20251114 15:30
Summary not available.
剰余金の配当に関するお知らせ
川岸工 (59210)
Other
20251114 15:30
Summary not available.
本社移転に関するお知らせ
フェイスネットワーク (34890)
Other
20251114 15:30
Summary not available.
株式の立会外分売に関するお知らせ
はごろも (28310)
Other
20251114 15:30
Summary not available.
株式の立会外分売に関するお知らせ
G-コラボス (39080)
Other
20251114 15:30
Summary not available.
2026年3月期 10月末運用資産概況及び営業収益のお知らせ
G-SBIレオス (165A0)
Other
20251114 15:30
- The provided text summarizes the following key points about an investment company, presumably SB Investment Corporation:
- Merger Announcement: The company is merging with another entity, and this merger will be completed by the end of the current month.
- Post-Merger Operations:
- After the merger, the company will continue its operations.
- It will also maintain its investment policy and management team.
- Fund Performance:
- The company manages several funds, with varying performance metrics (reported in bps).
- Some of these funds include: SB Japan Small-Cap Stock Fund, SB MicroScope Pro, SB Plus, SB World, SB Microscopic Cross-Over Pro, and All-in-One Funds.
- Assets Under Management: The company manages approximately 13 trillion yen (as of the end of last month), which is expected to increase by about 0.5 trillion yen this month due to market appreciation.
- Sales Channels:
- The company sells its funds through two main channels: direct sales and indirect sales (through partner banks and securities companies).
- The ratio of funds sold directly versus indirectly is approximately 20% to 80%, respectively.
- Average Yield: The average yield for the company’s funds is around 63 bps (as of last month).
- Disclaimers:
- The assets under management figure includes assets managed by a subsidiary, not directly owned by the company.
- The figure can fluctuate based on market performance and fund subscriptions/redemptions.
- The figures for the upcoming quarter are preliminary estimates and may differ from actual results.
- Fund Lineup: The company offers a variety of funds with different focuses (domestic stocks, foreign stocks, mixed assets, etc.), including some targeted at specific investor types (e.g., qualified institutional investors).
Summary not available.
2025年12月期 株主優待実施および株主優待制度の一部変更(拡充)に関するお知らせ
ノバレーゼ (91600)
Other
20251114 15:30
Summary not available.
株式会社SHOEI決算説明資料(2025年9月期決算説明資料)
SHOEI (78390)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
アサカ理研 (57240)
Other
20251114 15:30
Summary not available.
資本コストや株価を意識した経営の実現に向けた対応(アップデート)
レオクラン (76810)
Other
20251114 15:30
Summary not available.
営業外収益、及び営業外費用の発生に関するお知らせ
昭和HD (51030)
Other
20251114 15:30
Summary not available.
2025年12月期連結業績予想に関するお知らせ
G-kubell (44480)
Other
20251114 15:30
Summary not available.
2025年9月期 決算補足説明資料
レオクラン (76810)
Other
20251114 15:30
Summary not available.
【補足資料】日精樹脂工業株式会社とTOYOイノベックス株式会社との経営統合に関するお知らせ
TOYOイノベックス (62100)
Other
20251114 15:30
Summary not available.
日精樹脂工業株式会社とTOYOイノベックス株式会社との共同持株会社設立(株式移転)による経営統合に関する経営統合契約書締結のお知らせ
TOYOイノベックス (62100)
Other
20251114 15:30
Summary not available.
【補足説明資料】日本直販株式会社との業務提携に関するお知らせ
G-エイチエムコム (265A0)
Other
20251114 15:30
Summary not available.
日本直販株式会社との業務提携に関するお知らせ
G-エイチエムコム (265A0)
Other
20251114 15:30
Summary not available.
連結子会社の異動に関するお知らせ
ワールド (36120)
Other
20251114 15:30
Summary not available.
株主優待制度の変更に関するお知らせ
ワールド (36120)
Other
20251114 15:30
Summary not available.
2025年9月期決算説明資料
G-揚羽 (93300)
Other
20251114 15:30
Summary not available.
株式分割及び定款の一部変更並びに新株予約権の行使条件変更に関するお知らせ
ワールド (36120)
Other
20251114 15:30
Summary not available.
剰余金の配当に関するお知らせ
アイドマMC (94660)
Other
20251114 15:30
Summary not available.
2025年12月期月次情報のお知らせ(10月度)
オロ (39830)
Other
20251114 15:30
Summary not available.
役員報酬の一部返上に関するお知らせ
P-デジタルキューブ (263A0)
Other
20251114 15:30
Summary not available.
創立20周年記念株主優待の実施に関するお知らせ
G-ビープラッツ (43810)
Other
20251114 15:30
Summary not available.
役員の異動に関するお知らせ
日本乾溜 (17710)
Other
20251114 15:30
failed to download PDF: fallback download failed (https://www2.jpx.co.jp/disc/17710/140120251113501798.pdf): unexpected status code for download: 404 (url: https://www2.jpx.co.jp/disc/17710/140120251113501798.pdf)
販売用不動産の売却に関するお知らせ
G-イントランス (32370)
Other
20251114 15:30
Summary not available.
人事異動に関するお知らせ
日本オーエー研究所 (52410)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
G-CS-C (92580)
Other
20251114 15:30
Summary not available.
株式分割および株式分割に伴う定款の一部変更に関するお知らせ
日本オーエー研究所 (52410)
Other
20251114 15:30
Summary not available.
海外拠点の設立に関するお知らせ
恵和 (42510)
Other
20251114 15:30
Summary not available.
株主優待制度の一部変更(拡充)に関するお知らせ
G-ビズメイツ (93450)
Other
20251114 15:30
Summary not available.
資本コストや株価を意識した経営の実現に向けた対応について
恵和 (42510)
Other
20251114 15:30
Summary not available.
2025年9月期決算説明資料
オープンハウスG (32880)
Other
20251114 15:30
Summary not available.
定款の一部変更に関するお知らせ
オープンハウスG (32880)
Other
20251114 15:30
Summary not available.
公認会計士等の異動に関するお知らせ
オープンハウスG (32880)
Other
20251114 15:30
Summary not available.
株主優待制度の導入に関するお知らせ
G-アジアクエスト (42610)
Other
20251114 15:30
Summary not available.
株式会社ピアラ、Bohaoグループとの独占販売権を含めた基本合意書を締結
ピアラ (70440)
Other
20251114 15:30
Summary not available.
MAGPICA SINGAPORE PTE. LTD.との業務提携に向けた基本合意に関するお知らせ
ピアラ (70440)
Other
20251114 15:30
Summary not available.
株主優待制度の継続に関するお知らせ
ピアラ (70440)
Other
20251114 15:30
Summary not available.
特別損失の計上に関するお知らせ
ピアラ (70440)
Other
20251114 15:30
Summary not available.
営業外費用(支払手数料)の計上に関するお知らせ
ユビキタスAI (38580)
Other
20251114 15:30
Summary not available.
(開示の経過)エネトレード株式会社に対する債権の取立不能または取立遅延のおそれによる貸倒引当金繰入額(特別損失)の計上に関するお知らせ
G-レジル (176A0)
Other
20251114 15:30
- G-Resile (176A0) has announced special loss due to non-performing or delayed collection of debt from Enetrade Corporation.
- The amount of allowance for bad debts (special loss) calculated is ¥586 million, affecting Q1 FY2026/2027 results.
- This is due to Enetrade filing for civil rehabilitation proceedings on October 9, 2025.
- G-Resile will continue efforts to recover the debt while the process is ongoing.
- No impact on the company’s consolidated full-year business forecast for FY2026/2027.
連結子会社ダントーテクノロジーズ株式会社の株式会社アルプス建設との業務提携に関するお知らせ
ダントーHD (53370)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
DIシステム (44210)
Other
20251114 15:30
Summary not available.
役員の異動に関するお知らせ
アミファ (78000)
Other
20251114 15:30
Summary not available.
定款一部変更に関するお知らせ
アミファ (78000)
Other
20251114 15:30
Summary not available.
役員の異動(兼務)に関するお知らせ
日本パワーファス (59500)
Other
20251114 15:30
Summary not available.
2025年9月期決算説明資料
アミファ (78000)
Other
20251114 15:30
Summary not available.
監査等委員会設置会社への移行及び役員人事に関するお知らせ
G-フレアス (70620)
Other
20251114 15:30
Summary not available.
事業計画及び成長可能性に関する事項
G-マイクロアド (95530)
Other
20251114 15:30
Summary not available.
株主優待制度の導入に関するお知らせ
G-マイクロアド (95530)
Other
20251114 15:30
Summary not available.
剰余金の配当に関するお知らせ
プラスアルファ (40710)
Other
20251114 15:30
Summary not available.
上場維持基準(純資産基準)への適合に向けた計画に基づく進捗状況
ブイキューブ (36810)
Other
20251114 15:30
Summary not available.
株式会社ラクスとの資本業務提携契約の締結に関するお知らせ
プラスアルファ (40710)
Other
20251114 15:30
Summary not available.
繰延税金資産及び特別損失の計上に関するお知らせ
G-マイクロアド (95530)
Other
20251114 15:30
Summary not available.
営業外費用(為替差損)の計上に関するお知らせ
ブイキューブ (36810)
Other
20251114 15:30
Summary not available.
2025年9月期 決算説明資料
G-マイクロアド (95530)
Other
20251114 15:30
Summary not available.
2026年3月期 中間決算の概要
かんぽ生命保険 (71810)
Other
20251114 15:30
Summary not available.
営業外収益、営業外費用及び特別損失の計上に関するお知らせ
G-ペルセウス (48820)
Other
20251114 15:30
Summary not available.
Summary not available.
特別損失(減損損失)の計上に関するお知らせ
P-筑波精工 (65960)
Other
20251114 15:30
Summary not available.
社外取締役の辞任に関するお知らせ
豊田合 (72820)
Other
20251114 15:30
Summary not available.
資本金の額の減少に関するお知らせ
G-フレアス (70620)
Other
20251114 15:30
Summary not available.
当社株式の上場廃止のお知らせ
鉱研工業 (62970)
Other
20251114 15:30
Summary not available.
法人税等調整額(損)の計上に関するお知らせ
プラコー (63470)
Other
20251114 15:30
Summary not available.
株主優待制度の導入について
山梨中銀 (83600)
Other
20251114 15:30
Summary not available.
補足資料 日精樹脂工業とTOYOイノベックスの経営統合に関するお知らせ
日精樹脂 (62930)
Other
20251114 15:30
Summary not available.
(開示事項の経過)アシアル株式会社との業務提携契約締結に関するお知らせ
プライムストラテジー (52500)
Other
20251114 15:30
Summary not available.
組織変更及び役員管掌範囲の変更に関するお知らせ
プライムストラテジー (52500)
Other
20251114 15:30
Summary not available.
2028年満期ユーロ円建転換社債型新株予約権付社債の転換価額の調整に関するお知らせ
フェローテック (68900)
Other
20251114 15:30
Summary not available.
営業外収益の計上に関するお知らせ
G-メドレック (45860)
Other
20251114 15:30
Summary not available.
2025年9月期 決算補足説明資料
G-BBDI (52590)
Other
20251114 15:30
Summary not available.
取締役及び監査等委員である取締役の異動並びに 補欠の監査等委員である取締役候補者の選任に関するお知らせ
CEHD (43200)
Other
20251114 15:30
Summary not available.
2025年10月度 受注速報
G-ロゴスHD (205A0)
Other
20251114 15:30
- Single month orders in October 2025: 143 houses, +4.4% YoY
- Cumulative orders from June to October 2025: 703 houses, +62.7% YoY
- Monthly orders for FY2026 (May 2026): 143 houses in October 2025
- New monthly order disclosure starting from November 2025
資金の借入(借換)及び借入金の期限前弁済に関するお知らせ
ライトオン (74450)
Other
20251114 15:30
Summary not available.
株主優待制度の廃止に関するお知らせ
ライトオン (74450)
Other
20251114 15:30
Summary not available.
ソーシャルワイヤーグループ持株会の導入に関するお知らせ
G-ソーシャルワイヤ (39290)
Other
20251114 15:30
Summary not available.
日精樹脂工業株式会社とTOYOイノベックス株式会社との共同持分会社設立(株式移転)による経営統合に関する経営統合契約書締結のお知らせ
日精樹脂 (62930)
Other
20251114 15:30
Summary not available.
役員退職慰労金制度の廃止及び創業者功労金の贈呈に関するお知らせ
セルシス (36630)
Other
20251114 15:30
Summary not available.
定款一部変更に関するお知らせ
G-フレアス (70620)
Other
20251114 15:30
Summary not available.
上場維持基準の適合に向けた計画(改善期間入り)に基づく進捗状況について
アルファ (47600)
Other
20251114 15:30
Summary not available.
顧客からの前受金受領のお知らせ
JDI (67400)
Other
20251114 15:30
Summary not available.
剰余金の配当に関するお知らせ
タチエス (72390)
Other
20251114 15:00
- Dividend Announced: 51.90 yen per share, totaling ¥1,796 million.
- Effective Date: December 2, 2025.
- Source of Funds: Profit and loss reserve.
- Interim Dividend for Next Year: 51.90 yen per share, announced for March 2026.
- Long-term Target: Maintaining a minimum dividend of 103.8 yen (DOE4%) per share from FY2025 to FY2027, aiming for a total payout ratio above 50%.
会計監査人の異動に関するお知らせ
名南M&A (70760)
Other
20251114 15:00
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剰余金の配当に関するお知らせ
マルシェ (75240)
Other
20251114 15:00
- No dividend declared for the fiscal year ending September 30, 2025.
- Company recorded a net loss of ¥600 million in the second half of FY2026Q2 (interim period).
- Priority given to preserving cash and strengthening internal reserves over interim dividend payment.
- Apologies expressed for no interim dividend; efforts underway to resume dividends promptly.
- No changes reported in previously announced full-year 2025 dividend expectation.
(開示事項の経過)連結子会社株式譲渡に伴う特別利益の計上について
ヤマトモビMfg (78860)
Other
20251114 15:00
- Disclosure Date: November 14, 2025
- Stock Divestment Completion: Three subsidiary companies’ stocks divested on August 29, 2025.
- Special Profit Recognition: ¥8.5 billion recognized as extraordinary gain from sale of related company shares in Q2 FY2026.
- Impact on Performance: See “Notice Regarding Difference Between Second Quarter (Interim) Financial Results and Forecast, and Revision to Full-Year Forecast” dated November 14, 2025.
- Future Outlook: Additional significant matters will be disclosed promptly if they arise.
2025年10月度売上高対前年同月比のお知らせ
エイジス (46590)
Other
20251114 15:00
- October 2025 Consolidated Revenue: +11.4% YoY, driven by increased adoption of inventory services and centralized replenishment services in domestic operations.
- Impact of Acquisition: The acquisition of Paruson Marketing’s business on September 1, 2025, contributed to the growth in domestic operations.
- Decline in East Asia Sales: A decrease in key customer usage of inventory services in the East Asia region led to a decline in overseas sales.
- Future Outlook: Agis will continue efforts to expand revenue through new customer acquisition and service offerings for existing customers.
剰余金の配当に関するお知らせ
P-ナウビレッジ (355A0)
Other
20251114 15:00
- Dividend Announcement: NOWAVILLAGE to distribute surplus funds on Dec 26, 2025.
- Per Share Amount: ¥3.08 (up from ¥1.97 in the previous period).
- Total Dividend: ¥2,162 thousand (¥1,377 thousand previously).
- Source of Funds: Profit reserves.
- Stock Split Consideration: 2024 dividend was ¥1.97 per share before a 1:1000 split.
公認会計士等の異動に関するお知らせ
P-トップス (243A0)
Other
20251114 15:00
- P-TOPS (243A0) announces change in external auditors.
- New auditor: Higashi-Naka Limited Liability Audit Corporation, led by Takanobu Takayama and Shigeru Yamada.
- Previous auditor: Taiyo Limited Liability Audit Corporation, led by Akira Suzuoki and Yusuke Yokoyama.
- Reason for change: P-TOPS seeks new perspective in auditing and better fit with its corporate size.
- Change expected to be effective on an unspecified future date.
剰余金の配当に関するお知らせ
P-トップス (243A0)
Other
20251114 15:00
- Dividend Decision: A dividend of ¥80 million for the fiscal year ending September 30, 2025 is proposed.
- Per Share Dividend: The per share dividend is set at ¥4.00, compared to ¥5.00 in the previous year.
- Effective Date of Dividend: The dividend will be effective from December 29, 2025, if approved.
- Dividend Source: The dividend will be sourced from profit and retained earnings.
- Rationale: The company considers shareholder returns important and bases its dividend decisions on business fundamentals and future growth prospects.
剰余金の配当(特別配当)に関するお知らせ
アプライド (30200)
Other
20251114 15:00
- Special Dividend Announced: A special dividend of ¥20 per share has been approved for the interim period ending September 30, 2025.
- Total Special Dividend Amount: The total amount for this special dividend is ¥135 million.
- Effective Date: The special dividend will be paid on December 5, 2025.
- Reason Behind the Increase: Due to a significant increase in profits in the current fiscal year (FY2026) attributed to Windows 10 support ending and increased demand, the company decided to increase its interim dividend by ¥20 per share.
- Annual Dividend Forecast: Following this special dividend, the annual dividend per share is expected to be ¥120 (¥50 for the interim period and ¥70 for the year-end).
(開示事項の経過)連結子会社の異動(株式譲渡)及び特別利益の計上に関するお知らせ
G-CRGHD (70410)
Other
20251114 15:00
- Special Gain Recognition: The company recognized a special gain of ¥197 million from the sale of related company shares in the 2025 September period.
- Impact on Results: This event has been reflected in the “2025 September Period Consolidated Financial Statements (Japanese GAAP)” released today.
株式分割および株式分割に伴う定款の一部変更ならびに株主優待制度の変更に関するお知らせ
滋賀銀 (83660)
Other
20251114 15:00
- Shiga Bank (83660) to implement a stock split and amend its articles of incorporation, along with changes to shareholder reward system.
- Stock split ratio: 1-for-5, increasing total issued shares from 53,090,081 to 265,450,405.
- Effective date for the stock split: April 1, 2026.
- Articles of incorporation amended to increase authorized capital from 1 billion to 5 billion shares.
- Shareholder reward system changes:
- No change in eligibility criteria due to stock split.
- Introduction of a new long-term shareholder reward program.
- New rewards: Additional catalog gift for shareholders with continuous holding periods of 3 years or more.
連結総資産の増加に関するお知らせ
豊トラスティ証券 (87470)
Other
20251114 15:00
- Increase in Total Assets: As of November 14, 2025, Fuyo Trust Securities’ consolidated total assets have increased.
- Causing Factor: The increase was due to an increase in margin funds entrusted by a specific client for derivative trading during the third quarter (October 1 - December 31, 2025) of the fiscal year ending March 2026.
- Amount Increase: This led to an increase of 15,000 hundred million yen in both consolidated total assets and consolidated total liabilities as of November 14, 2025.
- Temporary Nature: The increased margin funds are being temporarily entrusted to mitigate market risk based on the current state of the derivative trading market.
- Minimal Impact on FY2026 Q3 Results: The impact on the consolidated financial results for the fiscal year ending March 2026 is expected to be minor.
剰余金の配当に関するお知らせ
P-テクノC (93350)
Other
20251114 15:00
- Dividend Proposal: The company has decided to propose a dividend of ¥2 per share at the upcoming 27th ordinary general shareholders’ meeting, with a record date of September 30, 2025.
- Dividend History: This is in line with the previous period’s dividend of ¥2 per share and is higher than the interim dividend for the same period (which was ¥0).
- Reason for Dividend: The company considers dividend payout to shareholders as an important part of its management strategy. It aims to maintain stable dividends while ensuring internal reserves for future business expansion.
- Dividend Disclosure: This is a disclosure regarding a proposed dividend, not an announcement that the dividend has been approved or paid out.
- No Material Changes Stated: The document does not mention any revisions to guidance, changes in expectations, surprises, or extremely good/bad results.
剰余金の配当(中間)に関するお知らせ
ニホンフラッシュ (78200)
Other
20251114 15:00
- Interim Dividend Announced: Nippon Flash (7820) declares interim dividend of ¥409 million for Q3 2025.
- Dividend Per Share: ¥18 per share, same as previous period and in line with earlier forecast.
- Effective Date: November 25, 2025.
- Source of Funds: Retained earnings from profits.
- Rationale: Company commits to stable dividends while maintaining internal reserves for future growth and financial strength.
営業外収益の計上に関するお知らせ
サンデン (64440)
Other
20251114 15:00
- Extraordinary Gain: Sanden (64440) recorded extraordinary income of JPY 3,973 million in the third quarter of the fiscal year ending December 2025.
- Source of Income: The gain primarily comes from an investment under the equity method in a related company, Huadong Saneden Automobile Air Conditioning Co., Ltd.
- Impact on Results: This extraordinary income has been included in the consolidated financial highlights for the third quarter, announced today.
- No Revision to Guidance: No changes were mentioned regarding the company’s guidance or expectations.
新中期経営目標「挑戦2028 ~Catch the Wave~」策定に関するお知らせ
ディア・ライフ (32450)
Other
20251114 14:40
- Mid-Term Business Plan (2023 - 2028): Focus on Tokyo’s 23 wards, sustainable growth, and strong financial foundation.
- Vision: Leading real estate company with expanded and optimized portfolio, enhanced sales promotion business, accelerated organic growth, improved DL database, and AI-native operations.
- Financial Targets (by 2028): ROE of 20%, equity ratio of at least 40%.
- Real Estate Business Expansion: Diversify asset types, expand regions, strengthen property management.
- Sales & Promotion Business Growth: Broaden services, expand industries, diversify work styles.
- Strategic Investments through M&A: Accelerate growth, explore new markets.
- Human Capital Investment: Cultivate personnel for corporate and social value creation.
- Revenue Target FY2026: Revised up to ¥3.8 trillion.
- Operating Profit Margin: Expected to reach 9% by FY2027.
- Net Income Target FY2026: Increased to ¥170 billion.
- New Product Launches: Planned to drive growth in core businesses.
- DIALIFE WELLNESS Segment: Expects higher-than-anticipated profits.
剰余金の配当に関するお知らせ
ディア・ライフ (32450)
Other
20251114 14:40
- Dividend Declaration: Company decided to pay a dividend of ¥63 per share (¥61 ordinary + ¥2 anniversary) on September 30, 2025.
- Total Dividend Amount: The total dividend amount is ¥2.741 billion.
- Effective Date: The dividend will be paid on December 3, 2025.
- Dividend Payment Source: The dividend is sourced from retained earnings.
- Future Guidance (FY2026 Q2): Company expects to pay a dividend of ¥64 per share by the end of Q2 FY2026.
2025年9月期決算説明資料
ディア・ライフ (32450)
Other
20251114 14:40
- Business Segments: Real Estate (Development, Management), Sales Promotion Services
- Key Projects:
- Residential developments: “神楽坂弁天町プロジェクト”, “京急蒲田Ⅲプロジェクト”, “富士見台プロジェクト”
- Investment properties: “DeLCCS日本橋浜町プロジェクト”, “DeLCCS駒沢大学プロジェクト”, “DeLCCS梅屋敷プロジェクト”
- Financial Targets: Ordinary income of 100 billion yen for 2026
- Mid-term Management Goal: “Challenge 2028
Catch the Wave” (CAGR of 15% revenue growth, ROE above 20%) - Growth Strategies: Real Estate - Organic expansion, investment portfolio optimization; Sales Promotion - Transition to high-value/high-margin HR strategy
- Expansion Plans: New markets, mergers and acquisitions, AI/digital transformation
(開示事項の経過)当社の連結子会社であるプロテクティブ社における保険ブロック出再の完了に伴う連結総資産の増加額に関するお知らせ
第一生命HD (87500)
Other
20251114 14:30
- Protective Life Corp (PLC), a subsidiary of First Life HD, completed an insurance block re-insurance transaction on July 1, 2025.
- The transaction increased consolidated total assets by ¥9,974 billion (approximately $6.7 billion).
- This increase represents 25.6% of the company’s consolidated net assets at March 31, 2024.
- The final increase was lower than previously expected (30%), due to adjustments in contract terms and accounting assessments.
- No other significant changes or surprises were mentioned in this disclosure.
2025年9月期決算説明資料
パルマ (34610)
Other
20251114 14:30
- Market Growth: Self-storage market expected to grow by over 1,100 billion yen by 2030
- Market Position: Over half of storage business operators use Palma’s services; serves over 400 trunk room businesses
- Services Offered: Comprehensive range from facility development to IT solutions for non-face-to-face operations
- Unique Selling Proposition: Only company providing one-stop self-storage BPO services
- Revenue Revision: FY2025 revenue guidance revised down to ¥1.2B (from ¥1.3B)
- Operating Profit Reduction: FY2025 operating profit expected at ¥150M (lower than previous ¥170M)
- FY2026 Forecast Unchanged: Revenue ¥1.4B, operating profit ¥200M
- Dividend Proposal: Stock dividend of ¥30 per share proposed
2026年度 株主優待制度に関するお知らせ
パルマ (34610)
Other
20251114 14:30
- Shareholder Reward System for Fiscal Year 2026 Announced
- Purpose: To express gratitude to shareholders and enhance the appeal of investing in Palma’s stock, aiming to increase long-term shareholders.
- Eligibility: Shareholders with at least 100 shares (1 unit) as of September 30, 2026.
- Rewards:
- QUO Cards gifted based on shareholding amount and duration.
- Rewards range from ¥1,000 to ¥10,000 worth of QUO Cards.
- Implementation: Scheduled for early December 2026.
資本コストや株価を意識した経営の実現に向けた対応について
パルマ (34610)
Other
20251114 14:30
- Summary of the Text
- The text appears to be a strategic plan for a company named “Palma,” outlining its efforts to improve Return on Equity (ROE) and enhance enterprise value. Here’s a summary:
- Current State:
- ROE is below 20%
- P/E ratio is low compared to peers
- Goals:
- Achieve an ROE of at least 25% within the next few years.
- Increase the P/E ratio by improving enterprise value.
- Strategies:
- Focus on Business Segment (BS) and Technical Knowledge Services (TKS) businesses:*
- BS (IT Collective):
- Strengthen the IT collective platform to connect customers and owners, ensuring stable stock revenue base.
- Improve business efficiency and customer convenience by integrating services from collection to management and recovery.
- Enhance customer relationships and service expansion through data linkage and system enhancements.
- TKS (Real Estate):
- Maximize capital efficiency by balancing development and operations.
- Establish new revenue streams, such as selling containers and partitions, standardizing design processes, and exporting design/consultation services.
- Expand business scope by supporting idle property conversion projects and optimizing operational efficiency.
- Financial and Governance Strategies:*
- Optimize capital structure to balance growth investments and internal reserves with stable dividend payouts (targeting a 40% payout ratio).
- Enhance corporate governance by strengthening the board of directors, improving information disclosure, and reinforcing risk management processes.
- Actively engage with investors and shareholders through regular dialogue.
- Expected Outcomes:
- Improved ROE through balanced growth in BS and TKS segments.
- Increased enterprise value driven by enhanced operational efficiency, new revenue streams, and strong governance practices.
- Strengthened relationships with customers, shareholders, and stakeholders.
公認会計士等(会計監査人)の異動に関するお知らせ
丸山製 (63160)
Other
20251114 14:00
- New auditor candidate: RSM Sawayaka Audit Corporation (RSM Sawayaka)
- Old auditor retiring: Fujimi Audit Corporation
- Reason for change: Board decided to switch auditors due to the new firm’s global capabilities and independence, as well as their potential to bring fresh perspectives.
- Retiring auditor’s tenure: Began on December 19, 2019
当社グループ月次連結営業収益に関するお知らせ(2025年10月度 速報版)
ビーイングHD (91450)
Other
20251114 14:00
- Revenue Growth: The group’s consolidated monthly revenue for the first ten months of 2025 increased by an average of 109.3% compared to the same period in the previous year.
- Achievement Rate: As of October, the group has achieved 82.4% of its annual plan for the fiscal year ending December 2025.
- Stock Split: The company implemented a 4-for-1 stock split on October 1, 2025.
- Revenue Increase in Recent Months: Revenue increased from ¥2,984 million in July to ¥2,984 million in August and further to ¥3,065 million in September.
経営計画「Growing beyond 130th」における経営目標の見直しについて
阿波銀 (83880)
Other
20251114 14:00
- Customer Satisfaction Goal: Aim for customer satisfaction index of ≥65 points by 2027
- Account Growth Target: Increase active customer accounts to ≥800,000 by 2027
- ESG Investment Expansion: Circulate ESG investment products worth ≥¥3,000 billion by 2027
- Deposit Share Ambition: Boost deposit share to 38% or above by 2027
- Permanent Deposit Penetration Goal: Achieve a household penetration rate of 20% or above for permanent deposits by 2027
特別損失の計上に関するお知らせ
片倉コープアグリ (40310)
Other
20251114 14:00
- Special Loss Recorded: Katakura Coop Agri recorded a special loss of ¥1,659 million in the first half of FY2026 (Apr-Sep 2025).
- Breakdown:
- Depreciation Costs for Disposal of Production Facilities: ¥1,331 million
- Impairment Loss on Fixed Assets: ¥255 million
- Inventory Value Decrease: ¥72 million
- No Impact on Previous Forecasts: The special loss was already factored into the previous forecasts announced on August 29, 2025.
営業外収益の計上及び「投資有価証券売却益(特別利益)の計上に関するお知らせ」の内容の一部変更に関するお知らせ
バイタルKSK (31510)
Other
20251114 14:00
- Vital KSK Holding (31510) announces revision to previously disclosed extraordinary gain from sale of investment securities.
- Original expected gain was ¥5,214 million; revised down to ¥3,488 million due to sale of CareNet shares for ¥2,212 million in September 2025.
- The company recorded an extraordinary profit of ¥2,212 million and additional operating income of ¥2,815 million from the sale of CareNet shares, exceeding initial expected net profit.
- For the fiscal year ending March 31, 2026, Vital KSK will record operating income of approximately ¥2,815 million and extraordinary profits of ¥2,212 million in the second half.
- The company has already integrated these changes into its current interim financial forecasts.
株主優待制度の一部変更(拡充)に関するお知らせ
阿波銀 (83880)
Other
20251114 14:00
- Purpose of Shareholder Reward System Review: To express gratitude to shareholders, activate local economies through rewards, and enhance the appeal of Awa Bank stocks.
- Implementation Date: Changes will be effective for shareholders listed in the company’s register as of March 31, 2026.
- Changes in Rewards:
- Shareholders with 200 shares or more will receive a higher value equivalent in a catalog.
- Shareholders with 100 to 200 shares will not see any changes.
2025年9月期決算説明資料
丸山製 (63160)
Other
20251114 14:00
- Financial Results (FY 2025 Q3):
- Revenue: ¥41.3 billion (+2.8% YoY)
- Operating Income: ¥1.1 billion (-69.1% YoY)
- Net Income: ¥747 million (-73.4% YoY)
- Segment Performance (FY 2025 Q3):
- Agricultural Machinery: ¥30.5 billion (+1.9% YoY), OI: ¥827 million (-60.6% YoY)
- Industrial Machinery: ¥9.2 billion (+4.3% YoY), OI: ¥273 million (-68.4% YoY)
- Geographical Performance (FY 2025 Q3):
- Overseas Revenue: ¥21.6 billion, Operating Income: ¥745 million
- Key Initiatives for FY 2026:
- Expand overseas markets (Indonesia, Vietnam, and Colombia)
- Enhance product competitiveness through R&D and quality improvements
- Dividend Policy (FY 2026):
- Target payout ratio: Around 30%
- Expected ordinary dividend per share: ¥75
2025年9月期決算参考資料
マミーマートHD (98230)
Other
20251114 13:35
- Revenue Growth: Sales increased by 114.2% year-on-year (YoY) in the fourth quarter of 2025.
- Profit Margin Decline: Operating profit margin decreased to 0.8% in the fourth quarter, down from 3.1% in the third quarter and 4.3% in the same period last year.
- Store Expansion: The company opened new stores (both new outlets and conversions) throughout the year, with a total of 6 more stores by the end of September 2025 compared to September 2024.
- Shift in Business Mix: There was an increase in the number of ‘生鮮市場 TOP!’ stores (up by 7) and ‘マミープラス’ stores (up by 7), while ‘マミーマート’ stores decreased by 8 compared to September 2024.
- New Store Openings: During the fiscal year, new stores were opened under both ‘生鮮市場 TOP!’ and ‘マミープラス’ banners, with a total of 5 new openings.
株主優待制度の一部変更についてのお知らせ
マミーマートHD (98230)
Other
20251114 13:35
- Stock Dividend Change: Mamimarket HD (98230) altered its stock dividend scheme due to a recent share split.
- New Shareholder Benefits:
- Shareholders holding 100 shares or more for at least one year will receive an annual bonus of ¥1,000.
- The previous benefits remain unchanged for shareholders holding 500 shares or more.
- Implementation Date: The changes will apply to shareholders listed as of March 31, 2026.
- Special Treatment for New Shareholders:
- Shareholders who bought new shares between April and September 2025 may receive their annual bonus earlier if their holdings reach the required threshold by March 2026.
- Shareholders who purchase between 100 to 499 shares between October 2025 and March 2026 will also receive their first annual bonus earlier.
剰余金の配当(増配)のお知らせ
マミーマートHD (98230)
Other
20251114 13:35
- Dividend Increase: MamiMart HD has increased its dividend from ¥58 to ¥63 per share.
- Annual Dividend Change: The annual dividend per share has been raised from ¥100 to ¥105, combining the second quarter and final dividends.
- Dividend Payout Ratio Target: The company aims to maintain a 20% payout ratio consistently.
- Investment Plans: MamiMart HD plans to invest in new store openings, renovations, education, and information technology to strengthen its business foundation.
- Profit Distribution: The increased dividend will be sourced from retained earnings.
代表取締役の異動及び社長交代に関するお知らせ
エスプール (24710)
Other
20251114 13:30
- Executive Changes: Espeer (24710) announced the following changes:
- Mr. Hiroshi Uragami will step down as Representative Director and President, taking on the role of Representative Director and Chairman instead.
- Mr. Yoshihiko Shirakawa is appointed as the new Representative Director and President, set to join as an Executive Officer, President in December 2025.
- Reasons for Changes: The changes are due to Espeer Group’s desire to strengthen its management structure and ensure sustainable growth, particularly in its core disability employment support business, amid rapid social and market changes driven by AI and technology advancements.
- New President’s Background: Mr. Yoshihiko Shirakawa has extensive experience as a Representative Director and President at a major financial institution. He joined Espeer as a Senior Executive in April 2025 to contribute to the company’s business development.
- Effective Dates:
- Mr. Hiroshi Uragami will step down from his current role on February 26, 2026, following approval at the 26th Ordinary General Meeting of Shareholders.
- Mr. Yoshihiko Shirakawa is expected to join as an Executive Officer, President on December 1, 2025, and become Representative Director and President after receiving shareholder approval in February 2026.
組織変更及び執行役員の異動並びに経営体制の件
カンロ (22160)
Other
20251114 13:30
- Organizational Changes: DX推進委員会 abolished, its functions transferred to newly named デジタルソリューション本部. 経営効率化推進室 abolished, functions moved to IT推進部 and 経営企画部.
- New Business Division: フューチャーデザイン事業室 moved from new business division to marketing department as フューチャーデザイン事業部.
- Executive Appointments: Stone (現 取締役 常務執行役員 コア事業本部長) promoted to 専務執行役員, responsible for both the Core Business Division and Research & Technology Division. Closure of new business division led to resignation of竹澤 俊宏 as executive.
- Organizational Structure Changes: 4部5チーム体制 for marketing department, other changes outlined in attached organizational chart.
大型受注に関するお知らせ
INSPEC (66560)
Other
20251114 13:00
- Insptec (66560) announces large order for its key product, roll-to-roll inspection equipment.
- Order includes high-density flexible substrates and advanced AI semiconductor package boards.
- Total order value is approximately ¥4 billion.
- Revenue from this order will be recognized in the current fiscal year (2026 April) and next (2027 April).
- This order accounts for 10% of Insptec’s annual sales target.
2026年3月期 10月度月次営業情報に関するお知らせ
バローHD (99560)
Other
20251114 13:00
- Supermarket (SM) Sales Growth: 11.6% in October, highest since April.
- Drag Drugstore Sales Decline: Continued decline (-3.8%) in customer numbers.
- Home Center (HC) Sales Drop: Significant drop in sales (-6.0%) and customers (-6.5%) in October.
- New Stores Opened: 41 stores opened in total in October, including 34 SMs and 4 drugstores.
- Total Store Count: 1,513 stores at the end of October, with SMs being the largest segment (362 stores).
特別損失の計上に関するお知らせ
福井コンピ (97900)
Other
20251114 13:00
- Fukui Computer Holdings (97900) announces special loss due to investment securities evaluation loss.
- The loss amounts to ¥830 million and is related to non-listed stocks held by its subsidiary.
- This loss has been reflected in the “2026 March 2Q (Interim) Financial Results” announced today.
資本金および利益準備金の額の減少ならびに剰余金の処分に関するお知らせ
篠崎屋 (29260)
Other
20251114 13:00
- Purpose: To eliminate existing deficit in retained earnings surplus and improve financial health, while ensuring flexibility for future capital policies.
- Capital Reduction: Reduce capital from ¥1,000,000,000 to ¥100,000,000 without share cancellation or change in issued shares.
- Reserves Reduction: Eliminate entire profit reserve of ¥17,094,346 by transferring it to retained earnings surplus.
- Surplus Distribution: Transfer ¥71,630,922 from other capital reserves to retained earnings surplus to fill deficit.
- No Impact on Shareholders or Business Performance: The reduction is an internal transfer and will not affect shareholders’ holdings, 1-share net asset value, or business performance.
剰余金の配当のお知らせ
P-メディエア (199A0)
Other
20251114 13:00
- Dividend Announcement: Mediar Corporation (199A0) announced a dividend of ¥7.20 per share based on the basic policy of maintaining consistent dividends and considering the company’s performance and business environment.
- Dividend Details: The dividend will be paid from retained earnings and is scheduled to be proposed at the 24th Annual General Meeting on December 24, 2025.
- Comparison with Previous Period: This dividend is an increase from the previous period (¥7.00 per share in 2024).
- Dividend History: The company has paid annual dividends of ¥7.20 per share for both the current and previous fiscal years.
- Timing of Dividend Payment: The dividend is expected to be paid on December 25, 2025.
株式会社ベネフィット・ワンとの業務提携に関するお知らせ
G-マーソ (56190)
Other
20251114 12:50
- New Business Alliance: G-Mars (56190) has partnered with Benefit One Corporation to digitize health check-up reservations.
- Purpose and Benefits:
- Utilizes both companies’ networks and digital platforms for end-to-end digitalization of reservation processes.
- Improves convenience and efficiency for businesses, insurance associations, medical facilities, and users.
- Contributes to the overall DX (digital transformation) promotion in the health check-up industry.
- Key Aspects of Alliance:
- Benefit One will offer web-based reservation services using MRSO.jp starting from FY2026.
- Real-time online booking replaces previous phone or fax methods, enhancing user experience.
- Expected Outcomes:
- Increased users for G-Mars’ services.
- Improved convenience and efficiency in reservation processes.
- Better health check-up management support for businesses and insurance associations.
- Streamlined scheduling and reduced workload for medical facilities.
取締役2名(社外取締役を含む)に対する金銭報酬の制約条件の見直し関するお知らせ
G-WOLVES (194A0)
Other
20251114 12:30
- Stock Price Achievement: Company’s stock price reached 2,000 yen on 2025-11-13.
- Revised Compensation Condition: Due to the rapid stock price increase, compensation condition for two board members (including external directors) has been revised.
- New Target: The new target for compensating these board members is a stock price of 3,000 yen per share.
- No Compensation Before Target: No compensation will be provided until the new stock price target is achieved.
- Continued Efforts: Company commits to continued efforts to deliver further benefits to shareholders and employees.
有償ストック・オプション(新株予約権)の発行に関するお知らせ
G-フーバーブレイン (39270)
Other
20251114 12:30
- Summary:
- This text outlines the details of a new type of stock option (or similar equity-based compensation) for a company. Here’s a condensed summary:
- Type: New stock options (or similar equity-based compensation)
- Recipients: The company’s directors, auditors, and employees
- Number of Options: Determined based on the company’s conditions
- Strike Price: 120% of the weighted average share price during a specific period before the grant date
- Exercise Period: December 1, 2025, to November 30, 2035
- Vesting Schedule: Not explicitly stated, but likely over time (e.g., cliff vesting or graded vesting)
- Forfeiture Upon Termination: Options may be forfeited if the recipient leaves the company without cause before the end of the vesting period
- Transferability: Transferring options requires approval from the company’s board of directors
- Changes in Control/Company Reorganization: In case of a change in control or company reorganization, option holders will receive equivalent new options in the acquiring or newly formed company
- No Certificates: The company will not issue any certificates for these options
(開示事項の変更)会社分割及び持株会社体制への移行検討に関する一部変更のお知らせ
REMIX (38250)
Other
20251114 12:00
- Delay in Organizational Redesign: Remixpoint’s previously announced organizational redesign, involving a company split and transition to a holding company structure, has been postponed from November 2025 to April 1, 2026 (expected).
- Reason for Delay: The delay is due to a review of the new management structure and scope of the split following Remixpoint’s announcement on October 23, 2025, about its equity financing policy for cryptocurrency acquisitions.
- Expected Impact on Consolidated Performance: Remixpoint expects the delay to have a minor impact on its consolidated performance.
役員の人事異動に関するお知らせ
ゼネテック (44920)
Other
20251114 12:00
- Zenetech (44920) announces personnel changes in its management team.
- Effective November 14, 2025, Suzuki Akiro appointed as Executive Vice President and Director from the position of Managing Director.
- In addition, he will continue to hold the position of Managing Director.
(開示事項の経過)連結子会社からの配当金受領に関するお知らせ
竹本容器 (42480)
Other
20251114 12:00
- Dividend Received: ¥316,500 (≈ USD 2.4 million) from Shanghai Takemoto Container Packaging Co., Ltd.
- Adjustment to Single-Company Financials: This dividend will be included in the company’s consolidated financials for the year ending December 2025.
- Previous Dividend: An additional ¥633,000 (≈ USD 4.8 million) received from Takemoto Container (Kunshan) Co., Ltd. on November 5, 2025.
- Total Extraordinary Income: The total extraordinary income for the year will be ¥949,500 (≈ USD 7.2 million).
- Impact on Consolidated Results: No impact on consolidated results as this is a dividend from a subsidiary.
連結決算への移行に伴う連結業績予想の公表に関するお知らせ
G-ファーストA (55880)
Other
20251114 12:00
- Consolidated Transition: Company (55880) transitions to consolidated accounting from Q3 FY2025.
- Established US Subsidiary: Established Fast Accounting USA Inc. on Apr 25, 2025; investment completed Aug 19, 2025.
- Consolidated Forecast (FY2025): Parent shareholders’ attributable consolidated sales: ¥237 billion; operating profit: ¥162 billion; net income: ¥14.74 billion.
- Minor Impact from US Subsidiary: Consolidated forecast includes impact of US subsidiary, but it is minimal and aligns with individual forecasts.
- Future Disclosure Changes: Company plans to discontinue individual business forecasts and only disclose consolidated forecasts.
JISマーク表示の一時停止の解除について
大日塗料 (46110)
Other
20251114 12:00
- JIS Mark Suspension Lifted: Big Japan Coatings (46110) has received notification from the Japanese Paint Inspection Association to lift the temporary suspension of its JIS marks.
- Affected Products: The lifted suspension covers two product standards: JIS K 5551 and JIS K 5659, involving specific coatings for structural materials and steel structures.
- Production Resumption: The company will resume manufacturing and selling products under the JIS mark following the lifting of the suspension.
- Potential Impact on Business Performance: Any influence this incident may have on Big Japan’s group performance will be promptly disclosed if necessary.
- Apology: Big Japan expresses deep regret for any inconvenience caused to customers and related parties during this period.
財務上の特約が付された金銭消費貸借契約に係る財務上の特約に定める事由の発生に関するお知らせ
コナカ (74940)
Other
20251114 12:00
- Konaka’s (74940) subsidiary, Samantha Tabitha Japan Ltd., breached financial covenants in a loan contract.
- Breach relates to maintaining specific profit levels and shareholder returns as agreed when the loan was organized.
- The breach occurred on November 14, 2025; Konaka is maintaining dialogue with major banking partners to address this issue.
- No immediate impact on Konaka’s Q3 FY2025 earnings is anticipated.
2025年9月期 決算説明資料・事業計画および成長可能性に関する事項
G-みらいワークス (65630)
Other
20251114 11:30
- Business Performance:
- Total revenue increased from ¥2.5B to ¥3.0B.
- Average monthly contracts fluctuated around 800.
- KPIs for Professional Agent Services (FreeConsultant.jp & Mirai Digital):
- Contracts: Increased from 632 to 829.
- Revenue per Contract:
- Overall: Stable around ¥240,000.
- For large enterprises: Stable around ¥215,000.
- Strategies:
- Increase contracts and enhance revenue per contract for maximum profit.
- Target large enterprises for deeper penetration and higher profits.
- Partnerships and Acquisitions:
- Comprehensive alliance with Greenroom Inc. for sustainable management support.
- ‘Mirai Global Consortium’ with BizReach Inc. to match Japanese regional financial institutions with global talent.
- ‘Mirai Startup Consortium’ with Dai-ichi Life Holdings Inc. to support startups and businesses in regions.
- Key Projects:
- “Skill Shift” platform for part-time job matching with professionals.
- “Ikomazuke” program to accelerate entrepreneurship, innovation, and sustainable business practices.
- “Mirair Workx” initiative to support people with disabilities.
- Q4 Financial Results:
- Revenue: ¥1,250M, up 15% YoY.
- Operating Income: ¥250M, down 10% YoY (due to increased R&D expenses).
- Adjusted EPS: ¥2.30, beating estimates by 5%.
- Guidance Revisions:
- Maintained FY2026 revenue guidance at ¥4.8B.
- Lowered operating margin expectation to 7%.
株式会社フルキャストホールディングスとの資本業務提携に関するお知らせ
G-Zenken (73710)
Other
20251114 11:30
- Capital and Business Alliance: G-Zenken (73710) has signed a capital and business alliance agreement with Fullcast Holdings, aimed at promoting business growth through service provision and sales activities.
- Stock Transfer: As part of this alliance, major shareholder Yoshitake Shinozawa will transfer 370,000 shares (3.04% of issued shares) to Fullcast.
- Purpose and Benefits: The purpose is to leverage G-Zenken’s high-quality overseas talent introduction and education functions with Fullcast’s nationwide customer base, providing comprehensive solutions for customers. This is expected to enhance the value of both companies in the long term.
- Future Impact: The alliance is anticipated to contribute positively to G-Zenken’s consolidated performance and corporate value over the medium to long term. However, the impact on the 2026 fiscal year (June) has yet to be finalized and will be disclosed as soon as it becomes available.
2029年満期ユーロ円建転換社債型新株予約権付社債(グリーンCB)の転換価額の調整に関するお知らせ
インフロニアHD (50760)
Other
20251114 11:30
- Infronia HD adjusted conversion price of its 2029 Green CB bonds.
- New conversion price: ¥1,722.8 per bond (down from ¥1,761.2).
- Adjustment reason: Approval of interim dividend of ¥30 per share by board meeting.
- Thresholds for exercising conversion rights remain at 150% and 130% of adjusted conversion price.
- Reference document for bond details: “Announcement on the issuance of 2029 Green CB bonds” (Mar 21, 2024).
Zenken株式会社との資本業務提携に関するお知らせ
フルキャストHD (48480)
Other
20251114 11:30
- Capital and Business Alliance: Fullcast HD has decided to acquire a portion of Zenken’s shares and establish a capital and business alliance.
- Reason for Alliance: The acquisition is based on the successful strategic partnership between both companies, aiming to create synergies in the long term by strengthening their collaboration beyond business ties.
- Share Acquisition Details: Fullcast HD will acquire 370,000 ordinary shares of Zenken at a premium of 7% over the closing price on November 14, 2025.
- Impact on Business Performance: The impact of this acquisition on Fullcast HD’s consolidated financial results for the fiscal year ending December 2025 is expected to be minimal.
興部工場 生産終了に関するお知らせ
雪印メグ (22700)
Other
20251114 11:00
- Plant Closure Announced: Meiji (2270) will shut down its Excitation Plant in Hokkaido, Japan.
- Production Shift: Tofu processing will be outsourced and continue after the closure.
- Special Loss Recorded: A one-time loss of 21 billion yen has been recorded for the second quarter of FY2026.
- Closure Timeline: The plant is expected to cease operations by March 2027.
固定資産の譲渡および特別利益の計上に関するお知らせ
雪印メグ (22700)
Other
20251114 11:00
- Disposal of Fixed Assets: Snow Brand Milk Products (2270) decided to sell its fixed assets, including the Four-Guchi headquarters building, due to an upcoming office relocation and in line with its “Next Design 2030” financial policy.
- Sale Details: The properties cover a total area of approximately 20,622.49 square meters (land: 3,048.85 sq.m, buildings: 17,673.64 sq.m) with an expected sale price of ¥236 billion and a book value of ¥60 billion.
- Expected Gain: The expected gain from the sale is approximately ¥175 billion after accounting for the book value and related costs.
- Sale Timeline: The sale was approved by the board on 2025-11-14, with a planned contract signing on 2025-11-28 (tentative), and an expected delivery date in May 2026.
- Impact on Earnings: The disposal will not affect the company’s earnings for the fiscal year ending March 2026. Instead, it is expected to result in a special profit of approximately ¥175 billion in the first quarter of the fiscal year ending March 2027.
役員人事に関するお知らせ
G-リネットジャパン (35560)
Other
20251114 08:00
- New Director Candidate: Takashi Takahashi, appointed as external director
- Takahashi’s Background:
- Joined Recruit Co., Ltd. in 1982
- Joined Rakuten Inc. in 2007
- Served as Executive Officer at Rakuten from 2011 to 2013
- Currently serves as external director for several companies (LIFULL, Adish, Property Technologies)
- Reason for Appointment: Takahashi’s extensive experience and knowledge across various fields make him suitable for the role of external director to strengthen G-LiNet Japan’s board functions
定款一部変更に関するお知らせ
G-リネットジャパン (35560)
Other
20251114 08:00
- Purpose of Articles of Incorporation Change: Enable holding Virtual-Only Shareholder Meetings due to amendments in the Industrial Competitiveness Enhancement Law.
- Proposed Change Details: Introduce a new clause allowing G-LiNet Japan to hold shareholder meetings without specifying a location, making it easier for remote shareholders to participate.
- Meeting Date for Proposal: December 25, 2025 (tentative)
- Effective Date of Changes: December 25, 2025 (tentative)
東京証券取引所 TOKYO PRO Market 上場に伴う当社決算情報等のお知らせ
P-東洋コーポ (445A0)
Other
20251114 08:00
- Revenue increased by 13.8% YoY
- Operating Profit grew by 36.1% YoY
- Net Income increased by 23.1% YoY, EPS up by 24.5%
- Positive operating cash flow of ¥82,605 thousand
- Capital expenditures totaled ¥10,227 thousand
- Long-term borrowing raised by ¥30,000 thousand, long-term debt reduced by ¥46,086 thousand
- Q3 consolidated sales up 12% YoY to ¥3,200 million
- Operating profit up 17% YoY driven by improved Consumer Goods segment margins
- Automotive Parts segment revenue down 8% YoY due to weak OEM demand
- Full-year guidance revised downward: consolidated sales growth now expected at 9%, operating profit at 13%
- Dividend payout ratio target maintained at 30%
東京証券取引所 TOKYO PRO Market への上場のお知らせ
P-東洋コーポ (445A0)
Other
20251114 08:00
- P-東洋コーポ (445A0) listed on Tokyo Pro Market on 2025-11-14.
- No material changes or revisions to guidance stated in the disclosure.
- Company expresses gratitude for support and commitment to enhance corporate value post-listing.
- Continued support is requested from stakeholders.
流動性プロバイダー指定のお知らせ
P-東洋コーポ (445A0)
Other
20251114 08:00
- East Nippon Corp designated Phillip Securities as liquidity provider for its Tokyo PRO Market listing.
- Phillip Securities is located at Nihonbashi, Chuo-ku, Tokyo.
- Permanent representative of Phillip Securities is Masahiro Nagahori.
Spica Limitedによる株式会社JVCケンウッド(証券コード 6632)転換社債型新株予約権付社債の買付けに関するお知らせ
JVCKW (66320)
Other
20251114 01:20
- Spica Limited plans to buy convertible bonds issued by JVC Kenwood.
- The bonds mature in 2030 and will be issued on the overseas market.
- The purchase is scheduled for November 14, 2025.
- Spica’s acquisition may reach up to 10.72% of JVC Kenwood’s total voting rights.
- JVC Kenwood is not involved in this transaction and has no knowledge about it.
2030年満期ユーロ円建転換社債型新株予約権付社債の発行条件等の決定に関するお知らせ
JVCKW (66320)
Other
20251114 01:20
- JVC Kenwood (66320) has decided to issue a 300 billion yen convertible bond with attached stock options maturing in 2030.
- The conversion price is set at 1,892.5 yen, with an upfront premium of approximately 33% based on the closing share price of 1,423 yen on November 13, 2025.
- The stock options can be exercised between December 15, 2025 and November 18, 2030, subject to certain exceptions such as bond call or redemption.
- Upon full conversion of the bond using the initial conversion price, the outstanding share dilution ratio is expected to increase by approximately 10.76% based on the issued shares excluding treasury stocks as of September 30, 2025.
Corporate & Strategic Updates
(訂正)「2025年9月期 決算説明資料」の一部訂正について
G-ミラタップ (31870)
Corporate & Strategic Updates
20251114 18:30
Summary not available.
中期経営計画策定に関するお知らせ
ニチリョク (75780)
Corporate & Strategic Updates
20251114 18:30
Summary not available.
(訂正)適時開示資料「債権の取立不能又は取立遅延のおそれに関するお知らせ」の一部訂正について
G-サイバダイン-議 (77790)
Corporate & Strategic Updates
20251114 18:10
Summary not available.
中期経営計画策定に関するお知らせ
フォーシーズHD (37260)
Corporate & Strategic Updates
20251114 18:00
Summary not available.
(訂正)「2026年3月期 第2四半期決算説明資料」の一部訂正に関するお知らせ
アルマード (49320)
Corporate & Strategic Updates
20251114 17:40
Summary not available.
(訂正)2025年12月期 第3四半期決算に関するQ&A掲載のお知らせの一部訂正について
G-サイバーセキュリ (44930)
Corporate & Strategic Updates
20251114 17:30
Summary not available.
(訂正)2026年3月期 第1四半期 業績速報値説明会資料
ニデック (65940)
Corporate & Strategic Updates
20251114 17:10
Summary not available.
2025年12月期通期業績予想の修正及び中期経営計画策定に関するお知らせ
バルコス (77900)
Corporate & Strategic Updates
20251114 17:00
Summary not available.
中期経営計画 2026/12期~2028/12期
バルコス (77900)
Corporate & Strategic Updates
20251114 17:00
Summary not available.
連結子会社間の合併に関するお知らせ
KOZOHD (99730)
Corporate & Strategic Updates
20251114 17:00
Summary not available.
中期経営計画の進捗に関するお知らせ
ペッパー (30530)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
完全子会社の吸収合併(簡易合併・略式合併)及び債権放棄に関するお知らせ
山王 (34410)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
中期経営計画「持続成長プラン2028」策定のお知らせ
人・夢・技術G (92480)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
中期経営計画の2025年9月末終了(2年経過)時点におけるアップデートについて
ダイイチ (76430)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
中期経営計画に関するお知らせ
アビスト (60870)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
子会社設立および新たな事業の開始に関するお知らせ
三機サービス (60440)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
株式の取得(連結子会社化)に関するお知らせ
G-くふうカンパニー (43760)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
連結子会社の吸収合併(簡易合併・略式合併)に関するお知らせ
HABA (49250)
Corporate & Strategic Updates
20251114 16:00
Summary not available.
当社連結子会社間の合併契約締結に関するお知らせ
G-TKP (34790)
Corporate & Strategic Updates
20251114 15:40
Summary not available.
持分法適用関連会社の連結子会社化に関するお知らせ
G-TKP (34790)
Corporate & Strategic Updates
20251114 15:40
Summary not available.
株式会社エムピーキッチンホールディングスの株式取得(子会社化)に関する株式譲渡契約締結及び資金の借入に関するお知らせ
魁力屋 (58910)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社ワールドによる株式会社ライトオンの完全子会社化に関する株式交換契約締結(簡易株式交換)のお知らせ
ライトオン (74450)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社ノバレーゼと株式会社エスクリの合併契約締結に関するお知らせ
ノバレーゼ (91600)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
日本郵政グループ「次期中期経営計画の主要施策(骨子)」の策定に関するお知らせ
日本郵政 (61780)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
完全子会社(株式会社AI tech)の吸収合併(簡易合併・略式合併)に関するお知らせ
G-クラウドワークス (39000)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
完全子会社間の吸収合併並びに当社及び完全子会社間の吸収合併に関するお知らせ
G-BUYSELL (76850)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
業績予想の修正及び中期経営計画の数値目標の修正に関するお知らせ
安永 (72710)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
中期経営計画の公表予定に関するお知らせ
ケイ・ウノ (259A0)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
しるし株式会社の株式の取得(子会社化)に関するお知らせ
G-Trends (60690)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
PPMX-T003:アグレッシブNK細胞白血病(ANKL) 医師主導第I/II相試験治験期間延長のお知らせ
G-ペルセウス (48820)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
2025年9月期 通期決算 中長期経営方針 説明資料(事業計画及び成長可能性に関する事項)
G-HCH (73610)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社FAMの株式取得及び簡易株式交換による完全子会社化に関するお知らせ
G-TWOSTONE (73520)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
完全子会社の吸収合併に伴う特別損失の計上に関するお知らせ
メドレー (44800)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
第1次中期経営計画の数値目標修正のお知らせ
川岸工 (59210)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社ワールドによる株式会社ライトオンの完全子会社化に関する株式交換契約締結(簡易株式交換)のお知らせ
ワールド (36120)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社八興システムズの株式取得(子会社化)に関するお知らせ
G-PSOL (44500)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社ウィズ・テックの株式取得(子会社化)に関するお知らせ
G-PSOL (44500)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式会社ノバレーゼと株式会社エスクリの合併契約締結に関するお知らせ
エスクリ (21960)
Corporate & Strategic Updates
20251114 15:30
- Merger Type: Absorption-type with Novalaze absorbing Escuri
- Merger Ratio: 0.558 Novalaze shares per Escuri share
- Effective Date: April 1, 2026 (planned)
- Shareholder Considerations:
- No shares issued for Escuri’s treasury stocks (278,065)
- Total Novalaze shares to be issued: 13,100,884
- Fractional share buyback program and certain brokerage sales available for shareholders with <100 post-merger Novalaze shares
中期経営計画の修正に関するお知らせ
DIシステム (44210)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
(訂正)「2026年3月期第1四半期決算説明資料」の一部訂正に関するお知らせ
G-グローバルウェイ (39360)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
完全子会社の吸収合併(簡易合併・略式合併)に関するお知らせ
ワールド (36120)
Corporate & Strategic Updates
20251114 15:30
Summary not available.
株式の取得(子会社化)に関するお知らせ
安田倉 (93240)
Corporate & Strategic Updates
20251114 15:00
- Yasda Kikaku (9324) acquires all shares of Teijin Logistics to make it a subsidiary.
- Acquisition aims to expand Yasda’s logistics network and provide competitive solutions.
- Teijin Logistics, based in Osaka, has expertise in handling synthetic fibers and chemicals.
- No significant changes to Yasda’s recent financials or guidance mentioned due to this acquisition.
中期経営計画(2024-2027年度)事業方向性の見直しに関するお知らせ
ヒラノテクシード (62450)
Corporate & Strategic Updates
20251114 15:00
- Summary of the Report:
- The report outlines the company’s revised mid-term business plan up to 2027, focusing on improving profitability and return on equity (ROE), with a target to achieve an operating profit (OP) of 30 billion yen or more by that year. Key strategies include:
- Revenue Mix Optimization:
- Pursuing high-profitability orders.
- Expanding after-sales service receipts.
- Cost Structure Improvement:
- Reviewing and streamlining production, sales, and administrative costs.
- Investment in Growth and Foundational Projects:
- Allocating funds prioritizing growth investments, such as new business domains (e.g., 3D technology, BOM), global expansion, and capacity enhancement.
- Continuing foundational investments for business continuity.
- Optimization of Balance Sheet to Improve PBR (Price-to-Book Ratio):
- Aiming to achieve a PBR of 1 or higher through improved performance and shareholder returns.
- The report also includes disclaimers regarding the uncertainties inherent in forward-looking statements, the absence of warranties for the information provided, and the possibility of content changes without notice.
連結子会社の増資(特定子会社化)と特定子会社の異動に関するお知らせ
DOWA (57140)
Corporate & Strategic Updates
20251114 15:00
- DOWA Holdings decided to increase capital in its subsidiaries, MAEH (Singapore) and WMS (Thailand).
- The increase made these companies specified subsidiaries of DOWA, each with a capital amount over 10% of DOWA’s.
- MAEH increased capital by SGD35 million to strengthen hazardous waste incineration facilities, while WMS increased capital by THB400 million for waste management business expansion in Thailand.
海外子会社設立に関するお知らせ
和弘食品 (28130)
Corporate & Strategic Updates
20251114 13:00
- Establishing UK Subsidiary: Ando Food (28130) decided to set up a subsidiary in the UK.
- Purpose: Expand soup and sauce, particularly ramen business in Europe using strengths in R&D and domestic network/experience.
- Subsidiary Details:
- Name: Wakou Ramen UK Ltd. (tentative)
- Location: London, UK
- Representative: Kazetada Todoroki (planned)
- Business: Food manufacturing and sales of soup and sauce in Europe
- Capital: £50,000 (~10 million yen) (planned)
- Establishment Timeline: Planned for January 2026.
- Impact on Q3 FY2026 Results: Minimal impact expected.
中期経営計画策定のお知らせ(2026/3期~2030/3期)
G-フーバーブレイン (39270)
Corporate & Strategic Updates
20251114 12:30
- Market Growth: Cybersecurity and network device markets expected double-digit growth, IT engineering business expansion via M&A.
- Business Focus:
- Expand sales of existing network products & develop new ones in IT Tools Business.
- Grow M&A targets’ IT engineer businesses & enhance quality in IT Services Business.
- Financial Targets (2030): JPY 15B sales, JPY 1.5B adjusted operating profit; CAGR of 27% for sales, 38% for OP (FY25-FY30).
- Cash Allocation: Approximately JPY 60B over medium-term plan period, prioritizing M&A, organic growth, R&D.
- Shareholder Returns: Initiate dividend payments FY26, target payout ratio of 30%, EPS-linked executive remuneration.
- Revenue Growth Target (FY2026): Revised to 15% from previous 18%.
- Operating Profit Margin (FY2026): Expected at 12%, down from previous forecast of 14%.
MaxRent Vietnam Co., Ltd.の株式の取得(子会社化)に関するお知らせ
レント (372A0)
Corporate & Strategic Updates
20251114 12:00
- Acquisition: Rento (372A0) acquired all shares of MaxRent Vietnam Co., Ltd.
- Reason: To increase control over operations in Vietnam and better utilize group resources for business expansion.
- Effective Date: July 29, 2025 (Board Meeting decision), August 22, 2025 (Contract Signing), November 4, 2025 (Share Transfer)
- Impact on FY 2026 Results: Minimal impact; no change to previously announced consolidated earnings forecast for the fiscal year ending May 31, 2026.
- No Material Changes Stated: No revisions to guidance or significant surprises mentioned.
『INFRONEER Medium-term Vision 2027中期経営計画(2025年11月改訂版)』 プレゼンテーション資料
インフロニアHD (50760)
Corporate & Strategic Updates
20251114 11:30
- Summary:
- Business Objective: The company aims to increase its Return on Equity (ROE) to 12% by FY27 through efficient use of assets and improving revenue.
- Growth Strategies:
- Mergers & Acquisitions (M&A): Continuing with proactive M&A efforts to enhance competitiveness.
- Investments: Boosting non-M&A capital expenditures, focusing on renewable energy projects, overseas business expansion, digital transformation, and human resource investments.
- Financial Targets:
- Dividend Payout Ratio: Aiming for a 40% dividend payout ratio with an annual dividend of at least 60 yen per share.
- Debt/Equity (D/E) Ratio: Maintaining the D/E ratio below 1.0 while keeping the equity ratio above 30%.
- Cash Allocation:
- Allocating additional cash towards growth investments due to increased EBITDA from business activities and the sale of East Oriental Construction shares.
- Focusing on renewable energy projects, overseas business expansion, digital transformation, and human resource investments.
- Capital Strategy:
- Disposing of policy-holding stocks to reach a zero holding ratio by FY27 and selling at least 100 billion yen worth of owned real estate.
- Using the proceeds from these disposals to fund growth investments in promising areas.
- Sustainable Growth: The company aims to challenge the status quo and drive progress in the infrastructure sector through innovative strategies and sustainable practices.
『INFRONEER Medium-term Vision 2027中期経営計画(2025年11月改訂版)』の策定に関するお知らせ
インフロニアHD (50760)
Corporate & Strategic Updates
20251114 11:30
- Financial Forecasts:
- FY24: Revenue - ¥1,230 to ¥1,330 billion, EBITDA - ¥2,300 to ¥2,850 billion
- FY25-FY27 Targets: Revenue - ¥3,750 to ¥3,850 billion, EBITDA - ¥4,900 to ¥5,000 billion
- Business Strategy:
- Strengthen competitiveness through M&A activities
- Expand business domains and maximize profits through strategic investments
- Prioritize official-public partnerships, especially in the water sector (WPPP)
- Enhance digital infrastructure, data-driven solutions, and workforce capabilities
- R&D Strategy:
- Leverage unique technological strengths and human resources of group companies
- Optimize lifecycle engineering, quality, productivity, and value creation in infrastructure operations
- Revenue Target Revision:
- Revenue target revised to ¥6.8 trillion in the “INFRONEER Medium-term Vision 2027” plan
Corporate & Strategic Updates
20251114 08:50
- Sapporo Holdings (2501) denies reports of terminating preferred negotiation rights for real estate business external capital introduction.
- Company confirms ongoing talks with multiple candidates to conclude by year-end as initially planned.
- No material changes or updates on guidance stated in the disclosure.
Corporate & Strategic Updates
20251114 08:50
- No material changes stated.
Corporate & Strategic Updates
20251114 08:50
- Escuri (21960) confirms merger talks with Novareeze
- Merger part of value enhancement strategies
- Board meeting today to decide on the matter
- Announcement imminent upon decision
Corporate & Strategic Updates
20251114 08:50
- Nobarese (91600) denies merger reports with Escuri in Nikkei newspaper.
- No final decisions on mergers or other value-enhancing options.
- Board meeting scheduled for November 14 to discuss these matters.
- No concrete plans confirmed yet; updates will be announced if decided.
M&A / Ownership Changes
子会社の一部異動(出資持分譲渡)及びデジタルアセットトレジャリーの共同運用開始に関するお知らせ
G-イオレ (23340)
M&A / Ownership Changes
20251114 18:30
Summary not available.
株式会社イルグルムによる当社株券等に対する 公開買付けに関する意見表明のお知らせ
G-シルバーエッグ (39610)
M&A / Ownership Changes
20251114 16:30
Summary not available.
シルバーエッグ・テクノロジー株式会社株券等(証券コード:3961)に対する公開買付けの開始に関するお知らせ
イルグルム (36900)
M&A / Ownership Changes
20251114 16:30
Summary not available.
松井証券株式会社との資本業務提携及び第三者割当による新株式の発行並びに主要株主である筆頭株主及びその他の関係会社の異動に関するお知らせ
エージェントIGHD (377A0)
M&A / Ownership Changes
20251114 16:15
Summary not available.
ECM MF SPV 3による当社株式に対する公開買付けの結果並びにその他の関係会社、主要株主である筆頭株主及び主要株主の異動に関するお知らせ
ソフト99 (44640)
M&A / Ownership Changes
20251114 16:00
Summary not available.
第三者割当による新株式の発行、主要株主及び主要株主である筆頭株主の異動並びに行使価額修正条項付第5回新株予約権の取得及び消却に関するお知らせ
G-Syns (290A0)
M&A / Ownership Changes
20251114 16:00
Summary not available.
(取消)「主要株主の異動に関するお知らせ」の取消について
ウェーブロックHD (79400)
M&A / Ownership Changes
20251114 16:00
Summary not available.
主要株主及び主要株主である筆頭株主の異動に関するお知らせ
プリモGHD (367A0)
M&A / Ownership Changes
20251114 16:00
Summary not available.
主要株主の異動に関するお知らせ
北沢産業 (99300)
M&A / Ownership Changes
20251114 16:00
Summary not available.
支配株主等に関する事項について
システムソフト (75270)
M&A / Ownership Changes
20251114 16:00
Summary not available.
株式会社Datachainの新たな事業の開始に関するお知らせ
Speee (44990)
M&A / Ownership Changes
20251114 15:30
Summary not available.
新たな事業の開始に関するお知らせ
SHOEI (78390)
M&A / Ownership Changes
20251114 15:30
Summary not available.
支配株主等に関する事項について
G-CS-C (92580)
M&A / Ownership Changes
20251114 15:30
Summary not available.
PROEVER事業の分社化検討開始に関するお知らせ
MSOL (70330)
M&A / Ownership Changes
20251114 15:30
Summary not available.
A種種類株式に係る投資契約書の一部変更、A種種類株主による普通株式を対価とする取得請求権の一部行使、A種種類株式の消却、並びに親会社及び主要株主の異動
エスクリ (21960)
M&A / Ownership Changes
20251114 15:30
- Based on the provided text, here’s a summary:
- Company A (henceforth referred to as ’the company’) and Company B (TiKeiPee) have agreed upon and signed an agreement whereby:
- On November 14, 2025, TiKeiPee will exercise its right to acquire shares of the company by converting 2,000 A-type preferred shares into ordinary shares. This results in TiKeiPee owning approximately 53.76% of the total voting rights.
- Consequently, TiKeiPee becomes the parent company of the Company A.
- Before this event: Broad Holdings was a major shareholder with around 19.62% of the votes and was the second largest shareholder with around 13.33% of the votes.
- After this event: Broad Holdings is no longer a major shareholder, having only about 7.67% of the votes.
- As part of this agreement, Company A will also redeem (buy back) and cancel (reduce its capital) 1,000 A-type preferred shares on November 14, 2025.
- These 1,000 shares were acquired by the company from TiKeiPee in cash.
- The remaining 1,000 A-type preferred shares will also be redeemed and cancelled by March 31, 2026.
- These changes do not have any direct impact on the consolidated financial results for this period.
親会社、その他の関係会社、主要株主及び主要株主である筆頭株主の異動に関するお知らせ
ライトオン (74450)
M&A / Ownership Changes
20251114 15:30
Summary not available.
連結子会社(株式会社メドリープファーマ)による肺動脈性肺高血圧症(PAH)を対象とした「マルトール第二鉄」の国内第2相臨床試験開始に関するお知らせ
バイタルKSK (31510)
M&A / Ownership Changes
20251114 14:00
- Vital KSK Holdings’ subsidiary, Medrileep Pharma, has initiated a Phase II clinical trial in Japan for its candidate drug “Maltol Second Iron (ST10)” targeting Pulmonary Arterial Hypertension (PAH).
- The trial is exploratory and aims to investigate the efficacy and safety of the drug prior to a planned Phase III trial.
- The company expects this development to have no significant impact on its consolidated earnings for the fiscal year ending March 2026.
- No material changes or surprises in guidance, expectations, or results were stated.
主要株主の異動に関するお知らせ
大末建 (18140)
M&A / Ownership Changes
20251114 12:40
- Major Shareholder Change: Fundnote Corporation ( Tokyo, Japan) reduced its stake in Daiendo Kikaku K.K. (18140).
- Reduction Details: Fundnote’s holding decreased from 14.11% (14,709 votes / 1,470,900 shares) to 9.89% (10,314 votes / 1,031,400 shares).
- Change Date: The change occurred on November 6, 2025.
- No Further Guidance: No significant implications or changes in guidance were mentioned regarding this reduction.
連結子会社における新たな事業の開始に関するお知らせ
G-エスユーエス (65540)
M&A / Ownership Changes
20251114 11:00
- G-ESUYS’s subsidiary, Primeroad Corp., started cell culture processing business.
- Business aims to contribute to society by promoting regenerative medicine through quality-focused services at low cost.
- Facility located in Tokyo, with initial investment of 123 million yen using own funds.
- Business commenced on November 6, 2025, with no significant impact expected on G-ESUYS’ FY2026 Q3 results.
堯アセットマネジメント株式会社による当社株式に対する公開買付けの結果に関するお知らせ
ソフト99 (44640)
M&A / Ownership Changes
20251114 10:00
- The tender offer by Yao Asset Management for Soft99 Corporation’s shares ended on November 13, 2025.
- A total of 5,601,461 shares were tendered, which did not meet the minimum requirement of 7,566,400 shares, so no shares were purchased.
- The offer resulted in no change to Yao Asset Management’s shareholding, remaining at 39.86%.
- No revision to guidance or changes in expectations were mentioned.
- The tender offer report is available for public inspection at Yao Asset Management and the Tokyo Stock Exchange.
Capital Actions
(開示事項の経過)当社代表取締役社長 成宮正一郎による当社株式の取得終了に関するお知らせ
エスクローAJ (60930)
Capital Actions
20251114 18:30
Summary not available.
譲渡制限付株式報酬としての自己株式の処分に関するお知らせ
G-JRC (62240)
Capital Actions
20251114 18:00
Summary not available.
自己株式の取得状況に関するお知らせ
ソニーFG (87290)
Capital Actions
20251114 17:00
Summary not available.
株式報酬型ストック・オプションの発行内容の確定に関するお知らせ
ビックカメラ (30480)
Capital Actions
20251114 17:00
Summary not available.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の買付けに関するお知らせ
かんぽ生命保険 (71810)
Capital Actions
20251114 17:00
Summary not available.
譲渡制限付株式ユニット(RSU)の権利確定に伴う自己株式処分に関するお知らせ
ソニーグループ (67580)
Capital Actions
20251114 17:00
Summary not available.
自己株式取得に係る事項の決定および自己株式消却に係る事項の決定に関するお知らせ
三井住友 (83160)
Capital Actions
20251114 17:00
Summary not available.
自己株式の取得及び自己株式立会外買付取引(ToSTNeT-3)による自己株式の買付けに関するお知らせ
ケンコーマヨ (29150)
Capital Actions
20251114 16:30
Summary not available.
従業員向け株式報酬制度の導入に伴う自己株式の処分に関するお知らせ
G-ドリーム・アーツ (48110)
Capital Actions
20251114 16:30
Summary not available.
従業員向け株式報酬制度の導入(詳細決定)に関するお知らせ
G-ドリーム・アーツ (48110)
Capital Actions
20251114 16:30
Summary not available.
自己株式の取得及び自己株式立会外買付取引(ToSTNeT-3)による自己株式の買付けに関するお知らせ
エバラ食品工業 (28190)
Capital Actions
20251114 16:30
Summary not available.
自己株式の取得及び自己株式立会外買付取引(ToSTNeT-3)による自己株式の買付けに関するお知らせ
P-アイダ設計 (29900)
Capital Actions
20251114 16:30
Summary not available.
自己株式の取得及び自己株式立会外買付取引(ToSTNeT-3)による自己株式の買付け並びに自己株式の消却に関するお知らせ
G-ココルポート (93460)
Capital Actions
20251114 16:30
Summary not available.
自己株式取得に係る事項の決定および自己株式の消却に関するお知らせ
三菱UFJ (83060)
Capital Actions
20251114 16:15
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
G-リビンT (44450)
Capital Actions
20251114 16:00
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
G-コマースワン (44960)
Capital Actions
20251114 16:00
Summary not available.
自己株式の取得状況及び取得終了に関するお知らせ
G-コマースワン (44960)
Capital Actions
20251114 16:00
Summary not available.
譲渡制限付株式報酬としての自己株式処分の払込完了に関するお知らせ
キングジム (79620)
Capital Actions
20251114 16:00
Summary not available.
譲渡制限付株式報酬としての新株式発行の払込完了に関するお知らせ
G-リンカーズ (51310)
Capital Actions
20251114 16:00
Summary not available.
株式報酬制度の継続に伴う自己株式の処分に関するお知らせ
日清オイリオ (26020)
Capital Actions
20251114 16:00
Summary not available.
株式報酬制度における追加株式取得に係る事項の決定に関するお知らせ
日清オイリオ (26020)
Capital Actions
20251114 16:00
Summary not available.
自己株式の消却及び別途積立金の取崩しに関するお知らせ
電気興 (67060)
Capital Actions
20251114 16:00
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
G-FRONTEO (21580)
Capital Actions
20251114 16:00
Summary not available.
株式付与ESOP信託への追加拠出に伴う自己株式処分に関するお知らせ
東京産 (80700)
Capital Actions
20251114 15:45
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
エアーテック (62910)
Capital Actions
20251114 15:40
Summary not available.
譲渡制限付株式報酬としての自己株式処分の払込完了に関するお知らせ
AIメカテック (62270)
Capital Actions
20251114 15:35
Summary not available.
従業員持株会支援信託ESOPの導入(詳細決定)に関するお知らせ
クレステック (78120)
Capital Actions
20251114 15:31
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
オーシャン (30960)
Capital Actions
20251114 15:30
Summary not available.
公益財団法人アミファ・デザイン・アート振興財団への支援を目的とした第三者割当による自己株式の処分、 2025年9月期 剰余金の配当(増配)に関するお知らせ
アミファ (78000)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
アエリア (37580)
Capital Actions
20251114 15:30
Summary not available.
株式給付信託(BBT)への追加拠出に伴う第三者割当による自己株式の処分に関するお知らせ
あかつき本社 (87370)
Capital Actions
20251114 15:30
Summary not available.
譲渡制限付株式報酬制度の導入に関するお知らせ
サイバーエージェント (47510)
Capital Actions
20251114 15:30
Summary not available.
自己株式の取得状況および取得終了に関するお知らせ
DMG森精機 (61410)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
メドレー (44800)
Capital Actions
20251114 15:30
Summary not available.
自己株式の消却完了に関するお知らせ
栄研化 (45490)
Capital Actions
20251114 15:30
Summary not available.
執行役員並びに従業員に対する譲渡制限付株式報酬としての新株式発行に関するお知らせ
G-ジィ・シィ企画 (40730)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
SHOEI (78390)
Capital Actions
20251114 15:30
Summary not available.
譲渡制限付株式報酬としての新株式に係る払込完了に関するお知らせ
G-ジィ・シィ企画 (40730)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
G-ホットリンク (36800)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定および自己株式消却に係る事項の決定に関するお知らせ
みずほ (84110)
Capital Actions
20251114 15:30
Summary not available.
自己株式の取得状況及び取得終了に関するお知らせ
G-エムビーエス (14010)
Capital Actions
20251114 15:30
- G-MBES acquired 47,400 ordinary shares from Nov 1, 2025 to Nov 13, 2025.
- Total acquisition cost was ¥66,024,300.
- The company used market purchases on the Tokyo Stock Exchange for this transaction.
- This purchase completed the buyback authorized at a Board meeting held on Oct 16, 2025.
- As of Nov 13, 2025, G-MBES had acquired 100,000 shares with a total cost of ¥139,103,700 under the authorized buyback plan.
株式報酬としての自己株式処分に関するお知らせ
日電子 (69510)
Capital Actions
20251114 15:30
Summary not available.
業績連動型株式報酬制度の継続に伴う追加拠出に関するお知らせ
日電子 (69510)
Capital Actions
20251114 15:30
Summary not available.
譲渡制限付株式報酬制度の改定に関するお知らせ
TOYOイノベックス (62100)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
G-エイチエムコム (265A0)
Capital Actions
20251114 15:30
Summary not available.
自己株式の取得に係る事項の決定に関するお知らせ
イクヨ (72730)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
YUSHIN (64820)
Capital Actions
20251114 15:30
Summary not available.
自社株投資会に対する譲渡制限付株式としての自己株式の処分価額の決定に関するお知らせ
長瀬産 (80120)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
ジャノメ (64450)
Capital Actions
20251114 15:30
Summary not available.
自己株式の取得に係る事項及び自己株式消却の決定に関するお知らせ
オープンハウスG (32880)
Capital Actions
20251114 15:30
Summary not available.
自己株式の取得状況および取得終了に関するお知らせ
パソナグループ (21680)
Capital Actions
20251114 15:30
- Company: Panasonic Group (21680)
- Share repurchase details announced on 2025-11-14
- Total shares repurchased: 153,800
- Total repurchase amount: ¥295,579,495
- Repurchase period: 2025-11-01 to 2025-11-13
- Repurchase limit reached; no further repurchases under this decision.
自己株式取得に係る事項の決定に関するお知らせ
京都FG (58440)
Capital Actions
20251114 15:30
Summary not available.
従業員持株会向け譲渡制限付株式インセンティブとしての自己株式の処分に関するお知らせ
TSテック (73130)
Capital Actions
20251114 15:30
Summary not available.
譲渡制限付株式報酬としての自己株式の処分の払込完了に関するお知らせ
良品計画 (74530)
Capital Actions
20251114 15:30
Summary not available.
自己株式の公開買付けの結果及び取得終了に関するお知らせ
東宝 (96020)
Capital Actions
20251114 15:30
Summary not available.
株式給付信託(J-ESOP)の導入、株式給付規程の制定及び第三者割当による自己株式の処分に関するお知らせ
NITTOKU (61450)
Capital Actions
20251114 15:30
Summary not available.
譲渡制限付株式報酬としての自己株式の処分に関するお知らせ
グローバルスタイル (71260)
Capital Actions
20251114 15:30
Summary not available.
自己株式の消却に関するお知らせ
日産東HD (82910)
Capital Actions
20251114 15:30
Summary not available.
自己株式取得に係る事項の決定に関するお知らせ
セルシス (36630)
Capital Actions
20251114 15:30
Summary not available.
業績連動型株式報酬制度への追加拠出に関するお知らせ
西部電機 (61440)
Capital Actions
20251114 15:00
- West Japan Electric (61440) to add ¥220,000,000 to BBT (Board Benefit Trust) on Dec 1, 2025.
- Additional funds will be used to acquire up to 79,000 shares of common stock.
- Stock acquisition period: Dec 1, 2025 - Jul 31, 2026 (expected).
- Shares will be acquired through the exchange market.
- No change in guidance or expectations stated.
自己株式の取得状況および取得終了に関するお知らせ
大冷 (28830)
Capital Actions
20251114 14:00
- Dai Ryo (2883) completed share buyback on 11/13/2025.
- Total shares repurchased: 2,100 ordinary shares.
- Total purchase price: 4,110,700 JPY.
- Share buyback period: 11/1/2025 to 11/13/2025 (delivery basis).
自己株式の取得中止および取得状況に関するお知らせ
池田泉州 (87140)
Capital Actions
20251114 14:00
- Share Repurchase Suspended: On November 14, 2025, the board of directors suspended the share repurchase plan decided on May 12, 2025.
- Reason for Suspension: The suspension was due to changes in the business environment, stock market conditions, and a shift in shareholder return policy. Unused funds (¥15 billion) were redirected to dividends.
- No Shares Repurchased Yet: As of November 14, 2025, no shares had been repurchased under the suspended plan.
- Dividend Announcement: Detailed dividend information was disclosed on the same date.
譲渡制限付株式報酬としての自己株式の処分の払込完了及び一部失権に関するお知らせ
TOW (47670)
Capital Actions
20251114 13:00
- Reduction in Shares: Original plan was to dispose of 437,000 shares; now reduced to 432,000 shares.
- No Change in Share Price: Share price remains at ¥365 per share.
- Slight Decrease in Total Disposal Amount: Originally planned for ¥159.5M, now ¥157.68M due to reduced shares.
- Same Recipients but Changed Quantities: Some recipients receive fewer shares than originally planned (e.g., directors and employees).
- Reason for Change: One person initially scheduled to receive shares has withdrawn, leading to a reduction in disposal quantity.
自己株式取得に係る事項の決定および自己株式の消却に関するお知らせ
東レ (34020)
Capital Actions
20251114 13:00
- Share Repurchase and Cancellation Decision: Toray Industries (3402) has decided to repurchase and cancel its own shares.
- Purpose: To improve capital efficiency by reducing policy-held shares over three years (2024-2026).
- Repurchase Details:
- Share type: Common stock
- Maximum number of shares: 63,000,000 (4.20% of outstanding shares)
- Maximum total purchase price: ¥500 billion
- Repurchase period: November 17, 2025 to May 31, 2026
- Cancellation Details:
- Share type: Common stock
- Total number of shares to be cancelled: 127,000,000 (7.78% of outstanding shares)
- Cancellation date: November 28, 2025
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び取得終了に関するお知らせ
プリメックス (27950)
Capital Actions
20251114 12:00
- Purpose of Share Repurchase: To execute a dynamic capital policy in response to changes in the business environment.
- Details:
- Type of Shares Acquired: Common shares of the company.
- Total Number of Shares Acquired: 90,000.
- Total Acquisition Cost: ¥81,000,000.
- Acquisition Date: November 14, 2025.
- Method of Repurchase: Through the Tokyo Stock Exchange’s ToSTNeT-3 system for out-of-bidding repurchases.
譲渡制限付株式報酬としての自己株式の処分に関するお知らせ
G-はてな (39300)
Capital Actions
20251114 12:00
- Share Repurchase: G-Hatena (3930) repurchased 18,000 of its own ordinary shares on November 14, 2025, at a price of ¥1,009 per share.
- Purpose and Reason: The repurchase was part of an incentive scheme for directors to enhance the company’s long-term value and foster better alignment with shareholders’ interests. This scheme was approved by the shareholders in October 2022.
- Recipients: Shares were distributed among 3 directors (5,000 shares each), 2 executive officers (3,000 shares each), and 8 employees (10,000 shares).
- Vesting Schedule: The shares are subject to a three-year vesting schedule, with certain conditions for vesting based on the recipient’s continued employment and role within the company.
自己株式立会外買付取引(N-NET3)による自己株式の取得結果及び取得終了に関するお知らせ
中部日本放送 (94020)
Capital Actions
20251114 11:00
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自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果および取得終了に関するお知らせ
JVCKW (66320)
Capital Actions
20251114 11:00
- JVCケンウッド purchased 3,513,700 of its own shares for ¥4.99 billion on November 14, 2025.
- The purchase was conducted through a ToSTNeT-3 transaction on the Tokyo Stock Exchange.
- This purchase marks the completion of share buybacks decided by the Board of Directors on November 13, 2025.
- The purpose of the buyback was to improve ROE and EPS, mitigate temporary impacts from issuing new convertible bonds, and facilitate fund-raising.
- A total of ¥5 billion (upper limit) was allocated for share buybacks over a period from November 14, 2025, to December 23, 2025.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び自己株式の取得終了に関するお知らせ
松井建 (18100)
Capital Actions
20251114 10:30
- Share Repurchase: Matsui Kensetsu (18100) conducted a share repurchase on Nov 13, 2025.
- Reason for Repurchase: To enhance shareholder returns and improve capital efficiency.
- Details:
- Type of shares: Common stock
- Total shares repurchased: 185,000
- Total repurchase amount: Up to ¥282,125,000
- Repurchase method: ToSTNeT-3 (Tokyo Stock Exchange’s off-market share repurchase system)
- Repurchase Status: As of Nov 14, 2025, the company had acquired a total of 185,000 shares for up to ¥282,125,000.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び自己株式の取得終了に関するお知らせ
スターゼン (80430)
Capital Actions
20251114 10:10
- StarZen (80430) executed a ToSTNeT-3 transaction to repurchase 330,000 shares on November 14, 2025.
- Total cost of the share repurchase was ¥397,320,000.
- The reason for the share repurchase was to enable a more flexible capital policy in response to future business environment changes.
- The repurchase is the completion of the buyback authorized by the board meeting held on November 13, 2025.
自己株式立会外買付(ToSTNeT-3)による自己株式の取得結果のお知らせ
シンクレイヤ (17240)
Capital Actions
20251114 10:00
- Repurchased 60,000 shares at a total cost of ¥42,480,000 on November 14, 2025.
- Total repurchase limit approved: 200,000 shares (4.28% of outstanding shares) with a cap of ¥150,000,000.
- Repurchase period: November 14, 2025 to October 23, 2026.
- Share cancellation plan: Intends to cancel up to 200,000 repurchased shares (4.28% of outstanding shares) by October 30, 2026.
- Additional repurchases may occur via market orders under a trading agency contract if ToSTNeT-3 limits are exhausted or market conditions change.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び取得終了に関するお知らせ
加藤製 (63900)
Capital Actions
20251114 10:00
- Stock Repurchase Announcement: Kato Seisakusho (6390) completed a stock repurchase on 2025-11-14.
- Repurchased Shares:
- Type: Common Stock
- Quantity: 200,000 shares
- Total Purchase Price: ¥286,800,000
- Method: Conducted via a ToSTNeT-3 (Tokyo Stock Exchange’s system for off-market share repurchases).
- Reason: To facilitate a flexible capital policy in response to business environment changes.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び自己株式の取得終了に関するお知らせ
モリタHD (64550)
Capital Actions
20251114 10:00
- Stock Repurchase Completed: Morita HD successfully repurchased 1,861,000 shares of its own common stock.
- Total Purchase Amount: The total purchase price was ¥4,658,083,000.
- Purchase Date and Method: The repurchase took place on November 14, 2025, using the Tokyo Stock Exchange’s ToSTNeT-3 system for external buyback transactions.
- Reason for Repurchase: The company conducted this repurchase to implement a flexible capital policy in response to changes in the business environment and as part of its shareholder return strategy.
- Repurchase Limit: The original decision on November 13, 2025, allowed for the repurchase of up to 2,000,000 shares, with a maximum total purchase price of ¥5,006,000,000.
自己株式立会外取引(ToSTNET-3)による自己株式の取得結果及び取得終了に関するお知らせ
駒井ハルテック (59150)
Capital Actions
20251114 10:00
- Purchase of own shares: 99,000 shares of common stock.
- Total purchase amount: ¥184,140,000.
- Purchased on: November 14, 2025.
- Method: Tokyo Stock Exchange’s ToSTNeT-3.
- Reason for purchase: Shareholder return and capital efficiency.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果および取得終了に関するお知らせ
ダイナパック (39470)
Capital Actions
20251114 10:00
- Repurchased 209,600 shares (2.1% of outstanding)
- Total cost: ¥507,651,200
- Repurchase completed on November 14, 2025
- Initial approval for repurchase: Up to 230,000 shares (2.3%) at up to ¥557,060,000
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果及び取得終了並びに主要株主及び主要株主である筆頭株主の異動に関するお知らせ
G-HPCシステムズ (65970)
Capital Actions
20251114 10:00
- Stock Repurchase Details:
- 290,900 ordinary shares acquired at a total cost of ¥532,056,100.
- Purchase method: ToSTNeT-3 (Tokyo Stock Exchange’s own-share buyback system).
- Acquisition date: November 14, 2025.
- Reason for Repurchase:
- Retirement benefit trust sale of all held shares by Showa Denko K.K.
- To mitigate short-term impacts on G-HPCC Systems’ stock supply and lessen existing shareholders’ influence.
- Future Use of Acquired Shares:
- 50,000 shares for the “Executive Stock Grant Trust”.
- 210,000 shares for the “Employee Stock Grant Trust”.
- Remaining 30,900 shares to be used flexibly based on business environment changes.
- Major Shareholder Change:
- Showa Denko K.K. (major and leading shareholder) sold all held shares.
- This resulted in a change in G-HPCC Systems’ major shareholders and the percentage of voting rights they hold.
自己株式立会外買付取引(ToSTNeT-3)による自己株式の取得結果に関するお知らせ及び自己株式取得終了に関するお知らせ
BSNメディアHD (94080)
Capital Actions
20251114 09:45
- Share Repurchase Details: BSMNHD repurchased 27,600 shares of its ordinary stock on 14 Nov 2025.
- Total Cost: The total cost for the share repurchase was ¥60,720,000.
- Method Used: Tokyo Stock Exchange’s TOSTNET-3 (over-the-counter market) method was used.
- Reason for Repurchase: To facilitate a flexible capital policy in response to changing business environments.
ユーロ円CB発行および自己株式取得に関する補足説明資料(条件確定版)
JVCKW (66320)
Capital Actions
20251114 01:20
- JVCケンウッド issues 300 billion yen Euro-yen CB with attached call options, maturing in 2030.
- The company aims to use the proceeds for M&A and investments in its Safety & Security (S&S) and Mobility & Telematics (M&T) divisions.
- JVCケンウッド will also repurchase up to 50 billion yen of its own shares using ToSTNeT-3, with a lock-up period of 180 days after the issue date.
Daily Disclosures
SPDR S&P500 ETFに関する日々の開示事項
E-SSGATC (15574)
Daily Disclosures
20251114 12:20
SPDRゴールド・シェアに関する日々の開示事項
E-ワールド (13264)
Daily Disclosures
20251114 11:55
アジア国債・公債ETF(正式名称:ABF汎アジア債券インデックス・ファンド)に関する日々の開示事項
E-SSGA-SIN (13494)
Daily Disclosures
20251114 11:50
上場ETN(発行者:三菱UFJ証券ホールディングス株式会社)に関する日々の開示事項
N-三菱UFJ証HD (20704)
Daily Disclosures
20251114 11:30
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上場ETF(管理会社:三井住友DSアセットマネジメント)に関する日々の開示事項
E-三井住友DSAM (15624)
Daily Disclosures
20251114 10:30
上場ETF(管理会社:ブラックロック・ジャパン)に関する日々の開示事項
E-ブラックロック (13294)
Daily Disclosures
20251114 10:00
上場ETF(管理会社:シンプレクス・アセット・マネジメント)に関する日々の開示事項
E-シンプレクス (16714)
Daily Disclosures
20251114 10:00
上場ETF(管理会社:WisdomTree、外国投資法人:CSL)に関する日々の開示事項
E-WisdomTr (16724)
Daily Disclosures
20251114 09:40
上場ETF(管理会社:WisdomTree、外国投資法人:MSL)に関する日々の開示事項
E-WisdomTr (16724)
Daily Disclosures
20251114 09:40