AEON DELIGHT CO., LTD.JP:E04874

Market cap
P/E ratio
Feb 28,
2013
Feb 28,
2014
Feb 28,
2015
Feb 29,
2016
Feb 28,
2017
Feb 28,
2018
Feb 28,
2019
Feb 29,
2020
Feb 28,
2021
Feb 28,
2022
Feb 28,
2023
Feb 29,
2024
Feb 28,
2025
Profit (loss) before income taxes13,92014,59215,60016,52617,24916,18813,16615,54810,65116,35515,57715,57916,260
Depreciation1,1301,2941,3411,6992,1042,4522,6022,3522,4272,7552,4832,9183,063
Impairment losses--256-79391231751,65944177316302
Amortization of goodwill1,1071,1381,1251,162830798759815801722808880802
Increase (decrease) in provision for bonuses14927-4120669-53-111201-5322072249
Increase (decrease) in provision for retirement benefits for directors (and other officers)134191219-4221-20-64-29-9-176
Increase (decrease) in retirement benefit liability---849-22-154459-136-29-191-266714
Decrease (increase) in retirement benefit asset-------------1,091
Interest and dividend income-151-130-136-136-121-110-143-170-88-106-120-176-235
Interest expenses251613263022313829432736
Loss (gain) on sale of non-current assets----------1,225--467-6
Share of loss (profit) of entities accounted for using equity method----68-58-69-67-50-79-74-93-127-163
Loss (gain) on valuation of investment securities20-------144621-53-
Decrease (increase) in trade receivables-12,6127,846-2,4671,444-1,662438-1,057-2,470192-2,186-10,823-379-3,910
Decrease (increase) in inventories-----600422387-183-59-286-502-9
Increase (decrease) in trade payables-1,1162,0564,075-2,532293-3582-2,662-1,840-664,4193,873-365
Increase (decrease) in accounts payable - other-3141,0311,003552-529321-461613877-35750309603
Other, net-475331338282834426-26-1,658361-215881149706
Subtotal2,06027,35123,73016,45818,15719,54617,38513,71315,09015,01312,01022,15716,965
Interest and dividends received161128135194176164198201187207177277279
Interest paid-2-5-16-12-27-26-22-36-35-29-43-27-36
Income taxes paid-6,578-6,114-6,615-6,336-6,602-6,115-5,188-6,506-4,838-2,592-3,248-3,890-3,415
Net cash provided by (used in) operating activities-4,35821,35917,23410,30311,70313,56812,3737,37110,40312,5988,89518,51813,793
Payments into time deposits-640-77-320-154-762-854-915-1,251-935-780-165-76-
Proceeds from withdrawal of time deposits4302775532849628549408421,2948692799779
Purchase of short-term and long-term investment securities----------21-12,191-14,431-15,435
Proceeds from sale and redemption of short-term and long-term investment securities---------695,07213,50314,908
Purchase of property, plant and equipment and intangible assets-1,607-1,999-1,903-2,414-4,113-3,228-2,059-2,361-2,469-3,478-3,009-3,613-2,853
Proceeds from sale of property, plant and equipment and intangible assets1474118116241415-393,254169236
Purchase of shares of subsidiaries resulting in change in scope of consolidation-694-388--4,771---1,516---117-489-283-
Payments for sale of shares of subsidiaries resulting in change in scope of consolidation------------143-
Other, net-139-315-473-436-480663-285305-762-181-212-63-348
Net cash provided by (used in) investing activities7,086-16,632-11,365-3,2552,233-2,66612,25613,838-7,325-386-10,715-4,319-3,612
Net increase (decrease) in short-term borrowings-25---219-28179-14360-74-8540-142
Dividends paid-2,256-2,464-2,573-2,676-2,842-2,996-3,259-3,195-3,397-4,450-4,200-4,213-4,155
Purchase of treasury shares-----------1,850-2,602-2,790
Other, net28-67-58-160-72-314-300-49-118-46-45-146-120
Net cash provided by (used in) financing activities-2,257-2,475-2,594-2,821-2,400-3,264-19,686-3,392-5,324-4,572-6,181-6,922-7,208
Effect of exchange rate change on cash and cash equivalents2699172-229-680-228-9832925477441852
Net increase (decrease) in cash and cash equivalents4972,3513,4473,99711,5307,7184,71517,719-2,2148,564-7,5237,7173,824
Increase (decrease) in cash and cash equivalents resulting from change in scope of consolidation--------5-18---334