Ullet index:YOZAN Inc.:6830

※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 YOZAN Inc. Go to web site 6830 Information and Communication JASDAQ March 1, 2000 2000.
Analysis u.gifU-Chart AnalysisHelp hikaku.gifAdd to 'Companies Comparison' listHelp u2.gifCompare LustrumHelp mark.gifUllet indexHelp

YOZAN Inc. mark.gifUllet indexHelp  (Unit:Millions of Yen)

Accounting Date March 31, 2007 March 31, 2006 March 31, 2005 March 31, 2004 March 31, 2003
Shareholder's EquityHelp - - - - -
Shareholder's EquityHelp (*include Wire-Down) 27
plusdown
10,181
plusup
3,053
plusup
2,086
plusdown
7,310
plus
Increase and decrease in current net earnings(*include Wire-Down) - - - - -
Net IncomeHelp -15,513
plusdown
-7,356
plusdown
-6,663
plusdown
-5,281
plusdown
1,323
plus
Operating Cash Flow(OFC)Help -4,978
plusup
-7,160
plusdown
-6,048
plusdown
-4,356
plusdown
4,531
plus
Free Cash Flow(FCF)Help -8,469
plusup
-14,654
plusdown
-2,255
plusup
-4,862
plusdown
2,876
plus
OFC - Net IncomeHelp -59
plusup
-84
plusdown
10
plusdown
22
plusup
2
plus
Current AssetsHelp -197
plusup
-517
plusdown
-262
plusdown
-203
plusdown
-144
plus
FCF / Current AssetsHelp -716.26%
plusdown
-105.82%
plusup
-1,429.79%
plusdown
-208.82%
plusdown
95.17%
plus
Current Assets / Amount of SalesHelp -39.67%
plusdown
288.04%
plusup
7.54%
plusdown
24.51%
plusdown
85.86%
plus
Free Cash Revenue RatioHelp -483.39%
plusup
-623.84%
plusdown
-40.20%
plusup
-57.12%
plusdown
51.87%
plus

他社比較Help

Companies in 'Companies Comparison' list

Browsing historyHelp

Your reecently viewed companies

YOZAN Inc.

Company where related level is highHelp

Excite Japan Co.,Ltd.
Ad-Sol Nissin Corporation
KYCOM HOLDINGS CO., LTD.
AGREX INC.
ALBERT Inc.
TV TOKYO Corporation
VeriSign Japan K.K.
Showcase Inc.
TOEI ANIMATION CO.,LTD.
Avex Inc.