U-Chart Analysis:KAPPA・CREATE CO.,LTD.:7421

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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 KAPPA・CREATE CO.,LTD. Go to web site 7421 Retail 東証プライム March 1, 2000 1994.
Analysis u.gifU-Chart AnalysisHelp hikaku.gifAdd to 'Companies Comparison' listHelp u2.gifCompare LustrumHelp mark.gifUllet indexHelp
Accounts Information Balance Sheet Profit and Loss Account Cash Flow Statement
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KAPPA・CREATE CO.,LTD. Balance Sheet(B/S)

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【Left:Outgoing Money】 【Right:Incoming Money】

KAPPA・CREATE CO.,LTD. Balance Sheet 2025年3月期 KAPPA・CREATE CO.,LTD. Balance Sheet 2024年3月期 KAPPA・CREATE CO.,LTD. Balance Sheet 2023年3月期 KAPPA・CREATE CO.,LTD. Balance Sheet 2022年3月期 KAPPA・CREATE CO.,LTD. Balance Sheet 2021年3月期

[Show - Hide] Balance Sheet (B/S)Help  ※Unit:Millions of Yen

Accounting Date March 31, 2025 March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021
Cash and Cash Equivalents 7,940 7,937 7,518 9,407 7,924
Other Current AssetsHelp 5,505 5,267 4,996 5,278 5,825
Tangible Fixed AssetsHelp 12,299 11,912 11,049 11,015 12,164
Intangible Fixed AssetHelp 102 143 172 251 263
Investments and OthersHelp 5,226 4,932 5,203 5,697 5,831
Total AssetsHelp 31,072 30,191 28,938 31,648 32,007
Total Current LiabilitiesHelp 15,571 15,169 15,554 13,279 18,081
Total Long-term LiabilitiesHelp 4,655 4,990 4,760 6,735 2,996
Shareholder's EquityHelp 10,846 10,032 8,624 11,634 10,930
Total LiabilitiesHelp 31,072 30,191 28,938 31,648 32,007

KAPPA・CREATE CO.,LTD. Profit and Loss Account(P/L)

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【Left:Outgoing Money】 【Right:Incoming Money】

KAPPA・CREATE CO.,LTD. Profit and Loss Account 2025年3月期 KAPPA・CREATE CO.,LTD. Profit and Loss Account 2024年3月期 KAPPA・CREATE CO.,LTD. Profit and Loss Account 2023年3月期 KAPPA・CREATE CO.,LTD. Profit and Loss Account 2022年3月期 KAPPA・CREATE CO.,LTD. Profit and Loss Account 2021年3月期

[Show - Hide] Profit and Loss Account (P/L)Help  ※Unit:Millions of Yen

Accounting Date March 31, 2025 March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021
Amount of Sales 73,208 72,196 70,437 67,206 64,881
Total Sales 73,208 72,196 70,437 67,206 64,881
Cost of SalesHelp 34,951 34,664 34,714 33,683 31,491
Other Costs and RevenueHelp 37,224 36,136 38,764 32,786 34,539
Total CostsHelp 72,175 70,800 73,478 66,469 66,030
Net RevenueHelp 38,257 37,532 35,723 33,523 33,390
Earnings Before TaxHelp 1,161 1,578 -2,829 836 -1,406
Net IncomeHelp 1,033 1,396 -3,041 737 -1,149
Net Income 1,033 1,396 -3,041 737 -1,149

KAPPA・CREATE CO.,LTD. Cash Flow Statement(C/F)

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【Left:Outgoing Money】 【Right:Incoming Money】

KAPPA・CREATE CO.,LTD. Cash Flow Statement 2025年3月期 KAPPA・CREATE CO.,LTD. Cash Flow Statement 2024年3月期 KAPPA・CREATE CO.,LTD. Cash Flow Statement 2023年3月期 KAPPA・CREATE CO.,LTD. Cash Flow Statement 2022年3月期 KAPPA・CREATE CO.,LTD. Cash Flow Statement 2021年3月期

[Show - Hide] Cash Flow Statement (C/F)Help  ※Unit:Millions of Yen

Accounting Date March 31, 2025 March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021
Operating Cash Flow(OFC)Help 3,842 3,554 2,522 2,576 -540
Investing Cash Flow(ICF)Help -1,945 -2,489 -1,146 306 -604
Financing Cash FlowHelp -1,910 -644 -3,265 -1,400 3,127
Exchange Difference of Cash and Cash EquivalentsHelp 16 -2 0 0 0
Net Increase and Decrease in Cash and Cash Equivalentsn 3 419 -1,889 1,482 1,983

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