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Summary of Pulstec
Historical Financial Data

  
Historical Financial Data

Consolidated Financial Highlights

(Years ended March 31) 2015 2016 2017
Net sales
(thousands of yen)
2,266,541 1,936,100 2,163,575
Ordinary income
(thousands of yen)
372,652 254,686 363,069
Net income
(thousands of yen)
336,016 346,966 339,116
Net assets
(thousands of yen)
1,576,518 1,920,123 2,259,657
Total assets
(thousands of yen)
2,725,752 2,891,436 3,201,369
Book value per share
(yen)
115.12 140.23 165.05
Earnings per share
(yen)
24.53 25.34 24.77
Capital Adequacy Ratio
(%)
57.8 66.4 70.6
Return on equity
(%)
24.0 19.8 16.2
Price earning ratio
(times)
9.0 5.2 6.7
Cash flow from operating activities
(thousands of yen)
530,466 314,127 185,985
Cash flow from investing activities
(thousands of yen)
Δ54,399 Δ120,166 Δ139,955
Cash flow from financing activities
(thousands of yen)
Δ158,207 Δ161,437 Δ83,502

Cash and cashe quivalents at end of period

(thousands of yen)
906,349 933,392 893,749
Number of employees
(persons)
123 126 130
Note:  Consolidate financial statement started from financial year ending on March 31, 2015.
Therefore, there is no statement before that.

 





Non-Consolidated Financial Highlights

(Years ended March 31) 2013 2014 2015 2016 2017
Net sales
(thousands of yen)
1,172,922 1,273,543 2,253,108 1,907,050 2,160,011
Ordinary income (loss)
(thousands of yen)
Δ254,756 Δ65,435 371,661 248,042 367,157
Net income (loss)
(thousands of yen)
Δ262,322 Δ70,441 334,740 340,419 340,041
Stock Capitalization
(thousands of yen)
1,491,375 1,491,375 1,491,375 1,491,375 1,491,375
Issued and outstanding
(shares)
13,934,592 13,934,592 13,934,592 13,934,592 13,934,592
Net assets
(thousands of yen)
1,316,854 1,245,881 1,583,789 1,924,687 2,265,201
Total assets
(thousands of yen)
2,595,276 2,479,384 2,717,482 2,895,094 3,209,519
Book value per share
(yen)
96.12 90.96 115.65 140.56 165.45
Cash dividends applicable to the year per share
(yen)
- - - - -
Earnings per share (loss)
(yen)
Δ19.15 Δ5.14 24.44 24.86 24.83
Capital Adequacy Ratio
(%)
50.7 50.2 58.3 66.5 70.6
Return on equity
(%)
Δ18.1 Δ5.5 23.7 19.4 16.2
Price earning ratio
(times)
- - 9.1 5.3 6.7
Payout ratio
(%)
- - - - -
Cash flow from operating activities
(thousands of yen)
Δ492,301 68,898 - - -
Cash flow from investing activities
(thousands of yen)
Δ48,698 Δ49,107 - - -
Cash flow from financing activities
(thousands of yen)
43,472 Δ134,087 - - -
Cash and cash equivalents at end of period
(thousands of yen)
653,470 557,038 - - -
Number of employees
(persons)
137 125 122 125 129
Note:  Consolidate financial statement started from financial year ending on March 31, 2015.
Therefore, there is no remark on cash flow from operating activities, investing activities, and financing activities and on cash and cash equivalents at the end of the period.


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