ビンゴ5結果

  • Financial Results
  • Results by Business Segment
  • Financial Position
  • Cash Flow

Financial Results

Net sales

Net sales

Operating ビンゴ5結果

Operating ビンゴ5結果

Ordinary ビンゴ5結果

Ordinary ビンゴ5結果

Net ビンゴ5結果 attributable to owners of parent

Net ビンゴ5結果 attributable to owners of parent

Quarterly (current year) net ビンゴ5結果 per share (EPS)

Quarterly (current year) net ビンゴ5結果 ビンゴ5結果 (EPS)

Return on ビンゴ5結果 (ROE)

Return on ビンゴ5結果 (ROE)

(¥bn)

2022/3 2023/3 2024/3 2025/3 2026/3
(plan)
Net sales 1,583 1,657.6 1,731.4 1,842.3 1,970
Operating ビンゴ5結果 99.5 100 104.8 118.8 125
Ordinary ビンゴ5結果 103.6 103.8 108.7 129.4 127
Net ビンゴ5結果 attributable to owners of parent 69.5 70.3 74.6 93.8 90
Quarterly (current year) net ビンゴ5結果 per share (EPS)(¥) 204.28 206.21 222.11 285.65 274.00
Return on ビンゴ5結果 (ROE)(%) 20.1 18.2 18.4 21.5 20.0

*

On October 1, 2025, the Company implemented a stock split at a ratio of 1 to 5. Earnings ビンゴ5結果 (EPS) for fiscal years prior to the fiscal year ending March 2025 have been adjusted to reflect the stock split.

Results by Business Segment

Construction business

(¥bn)

2022/3 2023/3 2024/3 2025/3 2026/3
(plan)
Net sales 432.8 459.5 492.4 540.9 550
Operating ビンゴ5結果 35.3 21.3 28.9 47.1 48
Gross profit margin 24.7% 21.3% 23.4% 25.3% 25.0%

Real Estate Leasing Business

(¥bn)

2022/3 2023/3 2024/3 2025/3 2026/3
(plan)
Net sales 1,064.2 1,103 1,129.1 1,164.6 1,200
Operating ビンゴ5結果 78 81.5 82 80.3 73.5
Gross profit margin 11.7% 11.7% 11.7% 11.4% 10.8%

Real Estate DeveIopment Business

(¥bn)

2022/3 2023/3 2024/3 2025/3 2026/3
(plan)
Net sales - - 31.1 51.3 130
Operating ビンゴ5結果 - - 2.1 5.1 14
Gross profit margin - - 20.3% 22.9% 19.6%

Other Businesses

(¥bn)

2022/3 2023/3 2024/3 2025/3 2026/3
(plan)
Net sales 85.9 95 78.7 85.3 90
Operating ビンゴ5結果 14.4 15 18.3 19.8 19
Gross profit margin 33.8% 33.5% 39.7% 40.1% 40.0%

Financial Position

Trends in ビンゴ5結果, Interest-bearing debt, and Debt ビンゴ5結果 ratio

(¥bn)

2021/3 2022/3 2023/3 2024/3 2025/3
Interest-bearing debt 97.3 95.2 91.8 80 124.4
ビンゴ5結果 310.2 366.8 405.8 405.7 468.7
Debt ビンゴ5結果 Ratio (times) 0.31 0.26 0.22 0.19 0.27

Cash Flow

(¥bn)

2021/3 2022/3 2023/3 2024/3 2025/3
Cash flow from operating activities 98.4 112.4 82.1 90.8 85.6
Cash flow from investing activities △24.7 △19.5 △57.0 △13.1 △46.5
Free cash flow 73.7 92.9 25.0 77.7 39.1