Compare Lustrum:TANABE CONSULTING GROUP CO.,LTD.:9644

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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 TANABE CONSULTING GROUP CO.,LTD. Go to web site 9644 Services 東証プライム March 1, 2000 1993.
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Accounts Information Balance Sheet Profit and Loss Account Cash Flow Statement
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TANABE CONSULTING GROUP CO.,LTD. Balance Sheet(B/S)

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

TANABE CONSULTING GROUP CO.,LTD. Balance Sheet 2024年3月期 TANABE CONSULTING GROUP CO.,LTD. Balance Sheet 2023年3月期 TANABE CONSULTING GROUP CO.,LTD. Balance Sheet 2022年3月期 TANABE CONSULTING GROUP CO.,LTD. Balance Sheet 2021年3月期 TANABE CONSULTING GROUP CO.,LTD. Balance Sheet 2020年3月期

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

Accounting Date March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Cash and Cash Equivalents
(Percent)
5,539down
(39.2%)down
6,674down
(46.3%)down
7,399up
(53.5%)up
6,779up
(50.6%)up
5,537
(42.7%)
Other Current AssetsHelp
(Percent)
3,809up
(26.9%)up
3,000up
(20.8%)up
1,930down
(14.0%)down
2,111down
(15.7%)down
2,196
(16.9%)
Tangible Fixed AssetsHelp
(Percent)
2,220up
(15.7%)up
2,208up
(15.3%)down
2,139down
(15.5%)down
2,153down
(16.1%)down
2,201
(17.0%)
Intangible Fixed AssetHelp
(Percent)
122up
(0.9%)up
84up
(0.6%)up
52up
(0.4%)up
51down
(0.4%)down
56
(0.4%)
Investments and OthersHelp
(Percent)
1,783up
(12.6%)up
1,709up
(11.9%)up
1,619up
(11.7%)down
1,576down
(11.8%)down
2,295
(17.7%)
Total AssetsHelp
(Percent)
14,139
(100%)
14,411
(100%)
13,825
(100%)
13,406
(100%)
12,970
(100%)
Total Current LiabilitiesHelp
(Percent)
3,014up
(21.3%)up
2,854up
(19.8%)up
2,461up
(17.8%)up
2,125up
(15.9%)up
2,049
(15.8%)
Total Long-term LiabilitiesHelp
(Percent)
211up
(1.5%)up
191up
(1.3%)up
150up
(1.1%)up
121up
(0.9%)up
27
(0.2%)
Shareholder's EquityHelp
(Percent)
10,915down
(77.2%)down
11,366up
(78.9%)down
11,214up
(81.1%)down
11,159up
(83.2%)down
10,894
(84.0%)
Total LiabilitiesHelp
(Percent)
14,139
(100%)
14,411
(100%)
13,825
(100%)
13,406
(100%)
12,970
(100%)

TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account(P/L)

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

TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account 2024年3月期 TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account 2023年3月期 TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account 2022年3月期 TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account 2021年3月期 TANABE CONSULTING GROUP CO.,LTD. Profit and Loss Account 2020年3月期

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

Accounting Date March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Amount of Sales
(Percent)
12,739
(100%)
11,760
(100%)
10,572
(100%)
9,214
(100%)
9,394
(100%)
Total Sales
(Percent)
12,739
(100%)
11,760
(100%)
10,572
(100%)
9,214
(100%)
9,394
(100%)
Cost of SalesHelp
(Percent)
7,274up
(57.1%)up
6,557up
(55.8%)up
5,786up
(54.7%)down
5,106up
(55.4%)up
5,100
(54.3%)
Other Costs and RevenueHelp 4,824up
(37.9%)down
4,478up
(38.1%)down
4,182up
(39.6%)up
3,609up
(39.2%)up
3,598
(38.3%)
Total CostsHelp 12,098 11,035 9,968 8,715 8,698
Net RevenueHelp 5,465up
(42.9%)down
5,203up
(44.2%)down
4,786up
(45.3%)up
4,108down
(44.6%)down
4,295
(45.7%)
Earnings Before TaxHelp 1,041down
(8.2%)down
1,170up
(10.0%)up
935up
(8.8%)down
828down
(9.0%)down
1,051
(11.2%)
Net IncomeHelp 641down
(5.0%)down
724up
(6.2%)up
604up
(5.7%)up
498down
(5.4%)down
696
(7.4%)
当期純利益 641 724 604 498 696

TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement(C/F)

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

TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement 2024年3月期 TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement 2023年3月期 TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement 2022年3月期 TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement 2021年3月期 TANABE CONSULTING GROUP CO.,LTD. Cash Flow Statement 2020年3月期

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

Accounting Date March 31, 2024 March 31, 2023 March 31, 2022 March 31, 2021 March 31, 2020
Operating Cash Flow(OFC)Help
(Percent)
632down
(37.9%)down
954up
(56.8%)up
620up
(50.0%)up
224down
(13.5%)down
716
(57.1%)
Investing Cash Flow(ICF)Help
(Percent)
-439up
(-26.3%)up
-1,097down
(-65.3%)down
620down
(50.0%)down
1,427up
(86.5%)up
537
(42.9%)
Financing Cash FlowHelp
(Percent)
-1,228down
(-73.7%)down
-583up
(-34.7%)up
-619down
(-49.9%)down
-408down
(-24.7%)up
-373
(-29.8%)
Exchange Difference of Cash and Cash EquivalentsHelp
(Percent)
0up
(0.0%)up
-0
(0.0%)
0
-
0
(0.0%)
0
-
Net Increase and Decrease in Cash and Cash Equivalentsn -1,035down
(-62.1%)down
-726down
(-43.2%)down
621down
(50.1%)down
1,242up
(75.3%)up
880
(70.2%)

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