U-Chart Analysis:MTG Co.,Ltd.:7806

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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 MTG Co.,Ltd. Go to web site 7806 Other products 東証グロース September 1, 2000 2018.
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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MTG Co.,Ltd. Balance Sheet(B/S)

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

MTG Co.,Ltd. Balance Sheet 2024年9月期 MTG Co.,Ltd. Balance Sheet 2023年9月期 MTG Co.,Ltd. Balance Sheet 2022年9月期 MTG Co.,Ltd. Balance Sheet 2021年9月期 MTG Co.,Ltd. Balance Sheet 2020年9月期

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

Accounting Date September 30, 2024 September 30, 2023 September 30, 2022 September 30, 2021 September 30, 2020
Cash and Cash Equivalents 12,960 16,137 16,529 15,651 13,470
Other Current AssetsHelp 25,246 20,354 18,071 16,457 15,822
Tangible Fixed AssetsHelp 12,702 10,335 9,788 9,852 9,841
Intangible Fixed AssetHelp 1,373 630 476 362 225
Investments and OthersHelp 6,158 6,993 5,034 4,617 2,264
Total AssetsHelp 58,439 54,449 49,942 46,939 41,622
Total Current LiabilitiesHelp 13,371 12,398 9,015 8,744 8,244
Total Long-term LiabilitiesHelp - 118 78 143 38
Shareholder's EquityHelp 45,068 41,933 40,849 38,052 33,340
Total LiabilitiesHelp 58,439 54,449 49,942 46,939 41,622

MTG Co.,Ltd. Profit and Loss Account(P/L)

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

MTG Co.,Ltd. Profit and Loss Account 2024年9月期 MTG Co.,Ltd. Profit and Loss Account 2023年9月期 MTG Co.,Ltd. Profit and Loss Account 2022年9月期 MTG Co.,Ltd. Profit and Loss Account 2021年9月期 MTG Co.,Ltd. Profit and Loss Account 2020年9月期

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

Accounting Date September 30, 2024 September 30, 2023 September 30, 2022 September 30, 2021 September 30, 2020
Amount of Sales 71,865 60,154 48,984 42,799 34,845
Total Sales 71,865 60,154 48,984 42,799 34,845
Cost of SalesHelp 28,764 23,295 17,552 12,608 9,882
Other Costs and RevenueHelp 40,214 34,876 28,747 24,600 23,438
Total CostsHelp 68,978 58,171 46,299 37,208 33,320
Net RevenueHelp 43,101 36,859 31,432 30,191 24,963
Earnings Before TaxHelp 3,925 3,049 3,935 4,279 1,844
Net IncomeHelp 2,887 1,983 2,685 5,591 1,525
Net Income 2,887 1,983 2,685 5,591 1,525

MTG Co.,Ltd. Cash Flow Statement(C/F)

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

MTG Co.,Ltd. Cash Flow Statement 2024年9月期 MTG Co.,Ltd. Cash Flow Statement 2023年9月期 MTG Co.,Ltd. Cash Flow Statement 2022年9月期 MTG Co.,Ltd. Cash Flow Statement 2021年9月期 MTG Co.,Ltd. Cash Flow Statement 2020年9月期

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

Accounting Date September 30, 2024 September 30, 2023 September 30, 2022 September 30, 2021 September 30, 2020
Operating Cash Flow(OFC)Help 1,127 2,686 1,878 3,926 1,535
Investing Cash Flow(ICF)Help -4,501 -2,788 -1,876 -750 -1,700
Financing Cash FlowHelp 195 195 1,052 -779 -183
Exchange Difference of Cash and Cash EquivalentsHelp 2 -484 -177 -216 -68
Net Increase and Decrease in Cash and Cash Equivalentsn -3,177 -391 877 2,181 -416

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