Tonami Holdings Co.,Ltd.JP:E04185

Market cap
P/E ratio
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Mar 31,
2025
Profit (loss) before income taxes3,1153,8965,2695,5305,2065,2687,2576,4417,2287,6938,0506,5486,523
Depreciation4,2864,3614,3654,6874,9395,0895,1345,1914,9724,8944,9945,2015,285
Impairment losses61449-36561633471,1293575551391248
Loss (gain) on sale and retirement of property, plant and equipment-70-101-44-47-54-87-54-123-58-82-34-80-151
Loss (gain) on sale of investment securities---------413-8-129-23
Loss (gain) on valuation of investment securities54-912812011432826060125115
Gain on step acquisitions------------66-
Amortization of goodwill---31032036074798234129416
Share of loss (profit) of entities accounted for using equity method-59-68-78-87-19-123-103-107-128-98-151-142-153
Increase (decrease) in allowance for doubtful accounts54149-22198334-91930-573110-827
Increase (decrease) in provision for loss on guarantees--------4213-4910-38
Increase (decrease) in provision for retirement benefits for directors (and other officers)-37-36-1740-16-16172-16-44-1
Increase (decrease) in retirement benefit liability--562-3321451101727-190-45-92-115-179-197
Decrease (increase) in retirement benefit asset----------406-9615
Increase (decrease) in provision for bonuses-9109171177868157-50-918-4-962
Interest and dividend income-326-296-325-343-313-348-356-389-390-442-491-526-621
Interest expenses487361283279237219216227247232234238291
Decrease (increase) in trade receivables-172-1,074916-57-102-1,114-729655-92-47183530384
Decrease (increase) in inventories59-6642466118-134-9993-196-432-411
Increase (decrease) in trade payables413387-468-113741342158-670-143-15751-73999
Increase (decrease) in accrued consumption taxes28731,286-990-9597-62525-215-228415-560-77
Decrease (increase) in other current assets-----------5862298
Increase (decrease) in other current liabilities-----------90384-1,142
Other, net-85353-166-561-101418474229-61334781,166729
Subtotal6,6387,07110,7228,57211,12811,03012,51512,85311,52112,20713,83012,78511,536
Interest and dividends received326297324343313348375410407463512563645
Interest paid-516-358-276-279-236-219-215-211-252-232-234-237-290
Income taxes paid-811-987-1,483-2,208-2,298-2,312-2,208-2,995-2,095-2,612-2,529-2,388-2,136
Net cash provided by (used in) operating activities5,6376,0239,2866,4288,9078,84610,46610,0579,5819,82611,57810,7229,756
Payments into time deposits-34-42-62-32-22-22-30-35-31-41-216-241-150
Proceeds from withdrawal of time deposits2240687723222213357104186379147
Purchase of property, plant and equipment-3,310-2,602-2,619-1,918-1,781-2,775-3,517-2,851-4,516-2,900-2,317-2,946-5,924
Proceeds from sale of property, plant and equipment7172621,188423164184155325162206331339877
Purchase of investment securities-173-167-245-36-54-21-751-28-624-23-248-477-34
Proceeds from sale of investment securities1---221--29612233-8
Proceeds from purchase of shares of subsidiaries resulting in change in scope of consolidation-6---------326-
Purchase of shares of subsidiaries resulting in change in scope of consolidation---141--1,544-198-409--404-347--2,660-1,622
Loan advances-199-209-298-244-280-314-457-365-572-358-455-584-2,971
Proceeds from collection of loans receivable240191238241297275277404548336366497645
Other, net2514-399-189-60-57-99-83-33-199-341-260
Net cash provided by (used in) investing activities-2,911-2,517-1,881-1,469-3,388-2,888-4,768-2,516-5,435-3,050-2,539-5,475-9,301
Net increase (decrease) in short-term borrowings-3,1002,550-2,170-180-1,00010--1,440-440-50-50-350-2,500
Proceeds from long-term borrowings1652,2004,0702003,5001006005,0001,6002,100-502,000
Repayments of long-term borrowings-1,240-3,104-3,786-1,065-2,699-829-711-4,017-1,710-2,762-711-756-3,712
Repayments of lease liabilities-2,127-2,096-2,105-2,083-2,464-2,800-2,847-2,827-2,695-2,605-2,838-2,906-3,001
Purchase of shares of subsidiaries not resulting in change in scope of consolidation----56-----56-8--155-
Purchase of treasury shares-2-3-7-6-2-17-8-2-5-4-2-3-14
Dividends paid-363-453-453-589-634-725-725-906-906-997-1,087-1,359-1,360
Dividends paid to non-controlling interests---6-2-4-4-6-7-11----
Net cash provided by (used in) financing activities-1,671-3,912-4,459-3,784-3,305-4,266-3,6985,797-9,227-4,328-4,691-5,482-8,551
Net increase (decrease) in cash and cash equivalents1,053-4062,9461,1742,2121,6902,00013,338-5,0822,4474,347-235-8,097
Increase in cash and cash equivalents resulting from merger with unconsolidated subsidiaries-------7-12-246