Ullet index:KUSURI NO AOKI HOLDINGS CO.,LTD.:3549

※The values of financial statements might be different from the actual ones. Please confirm the original. [instructions]

Main FunctionHelp Company NameHelp CodeHelp Types of IndustryHelp Market Name Fiscal Year End Year of Listing
Browse U-Chart Add to 'Companies Comparison' list Compare Lustrum Ullet index KUSURI NO AOKI HOLDINGS CO.,LTD. 3549 Retail 東証プライム May 1, 2000 2016.
Analysis u.gifU-Chart AnalysisHelp hikaku.gifAdd to 'Companies Comparison' listHelp u2.gifCompare LustrumHelp mark.gifUllet indexHelp

KUSURI NO AOKI HOLDINGS CO.,LTD. mark.gifUllet indexHelp  (Unit:Millions of Yen)

Accounting Date May 20, 2023 May 20, 2022 May 20, 2021 May 20, 2020 May 20, 2019
Shareholder's EquityHelp - - - - -
Shareholder's EquityHelp (*include Wire-Down) 98,546
plusup
86,930
plusup
77,669
plusup
66,224
plusup
54,443
plus
Increase and decrease in current net earnings(*include Wire-Down) - - - - -
Net IncomeHelp 12,326
plusup
9,840
plusdown
12,063
plusdown
12,416
plusup
10,648
plus
Operating Cash Flow(OFC)Help 31,248
plusup
20,286
plusup
13,851
plusdown
21,492
plusup
11,143
plus
Free Cash Flow(FCF)Help 8,988
plusup
-7,485
plusup
-11,676
plusdown
3,413
plusup
-6,724
plus
OFC - Net IncomeHelp 28
plusup
27
plusdown
29
plusup
28
plusdown
29
plus
Current AssetsHelp - - - - -
FCF / Current AssetsHelp 222.04%
plusdown
360.32%
plusup
-1,497.41%
plusdown
1,826.00%
plusup
-202.27%
plus
Current Assets / Amount of SalesHelp 3.71%
plusup
1.71%
plusup
-0.30%
plusdown
0.39%
plusup
-2.20%
plus
Free Cash Revenue RatioHelp 2.37%
plusup
-2.28%
plusup
-3.82%
plusdown
1.14%
plusup
-2.68%
plus

他社比較Help

Companies in 'Companies Comparison' list

Browsing historyHelp

Your reecently viewed companies

Shin Nippon Air Technologies Co.,Ltd.
KUSURI NO AOKI HOLDINGS CO.,LTD.
eAccess Ltd.

Company where related level is highHelp

YAMANAKA CO.,LTD.
Radishbo-ya Co.,Ltd.
KUSURI NO AOKI CO.,LTD.
Jolly-Pasta CO.,LTD.
CVS Bay Area Inc.
Hamee Corp.
HOTMAN Co.,Ltd.
ANAP INC.
Ain Medical Systems Inc.
DD GROUP Co., Ltd.