Financial Summary
Financial Highlights (Consolidated Statement)(Unit: million yen)
|
2018/12 |
2019/12 |
2020/12 |
2021/12 |
2022/12 |
Net sales |
272,257 |
281,763 |
288,332 |
317,695 |
352,300 |
Operating income |
25,045 |
28,018 |
31,290 |
34,518 |
33,807 |
Ordinary income |
25,644 |
27,487 |
31,425 |
33,618 |
32,813 |
Net income attributable to owners of parent |
21,939 |
16,885 |
20,186 |
23,945 |
19,937 |
Total net assets |
146,226 |
159,295 |
175,081 |
194,222 |
206,724 |
Total assets |
210,737 |
221,696 |
232,984 |
260,113 |
277,365 |
Net assets per share (yen) |
1,099.78 |
1,198.08 |
1,316.81 |
1,460.77 |
1,554.8 |
Net income per share (yen) |
165.01 |
127.00 |
151.83 |
180.1 |
149.96 |
Equity ratio (%) |
69.4 |
71.9 |
75.1 |
74.7 |
74.5 |
Return on shareholder's equity (%) |
15.9 |
11.1 |
12.1 |
13.0 |
9.9 |
All Stores Sales (System-Wide Sales)(Unit: million yen)
Consolidated Net Income(Unit: million yen)
Consolidated Balance Sheet (Summary)(Unit: million yen)
Item |
The 52nd As of December 31, 2022 |
Assets |
Current assets |
90,768 |
Non-current assets |
186,597 |
Total assets |
277,365 |
Liabilities |
Current liabilities |
63,826 |
Non-current liabilities |
6,814 |
Total liabilities |
70,641 |
Net assets |
Shareholder’s equity |
210,815 |
Accumulated other comprehensive income loss |
△4,091 |
Total net assets |
206,724 |
Total liabilities and net assets |
277,365 |
Consolidated Statements of Income (Summary)(Unit: million yen)
Item |
The 52nd From January 1, 2022 to December 31, 2022 |
Net sales |
352,300 |
Cost of sales |
287,969 |
Gross profit |
64,330 |
Selling, general and administrative expenses |
30,523 |
Operating income |
33,807 |
Non-operating income |
757 |
Non-operating expenses |
1,752 |
Ordinary income |
32,813 |
Special income |
41 |
Special loss |
1,676 |
Income before income taxes |
31,177 |
Current taxes |
10,899 |
Deferred taxes |
340 |
Net Income attributable to non-controlling interest |
19,937 |
Net income attributable to owners of parent |
19,937 |
Consolidated Statement in Cash Flows (Summary)(Unit: million yen)
Item |
The 52nd From January 1, 2022 to December 31, 2022 |
Net cash provided by operating activities |
23,775 |
Net cash used in investing activities |
△32,222 |
Net cash used in financing activities |
△5,459 |
Cash and cash equivalents at end of period |
36,362 |