TIDMMAW

RNS Number : 9237T

Maruwa Co Ld

27 July 2022

 
Translation 
 
 
  Notice: This document is an excerpt translation of the original Japanese 
   document and is only for reference purposes. In the event of any discrepancy 
   between this translated document and the original Japanese document, the 
   latter shall prevail. 
 
 
                        Summary of Consolidated Financial Results 
                         for the Three Months Ended June 30, 2022 
                                 (Based on Japanese GAAP) 
                                                                             July 27, 2022 
Company name:       MARUWA CO., LTD. 
Stock exchange      Tokyo, Nagoya 
 listing: 
Stock code:         5344     URL https://www.maruwa-g.com/ 
Representative:     Chairman                     Sei Kanbe 
Inquiries:          Director                     Yukiko Morishita    TEL 0561-51-0841 
Scheduled date to file Quarterly Securities      August 9, 2022 
 Report: 
Scheduled date to commence dividend              - 
 payments: 
Preparation of supplementary material            Yes 
 on quarterly financial results: 
Holding of quarterly financial results           Yes    (for institutional investors and 
 meeting:                                                analysts) 
 
 
 
  (Amounts less than one million yen are 
                           rounded down) 
 

1. Consolidated financial results for the three months ended June 30, 2022 (from April 1, 2022 to June 30, 2022)

 
   (1) Consolidated operating results  Percentages indicate year-on-year changes 
    (cumulative) 
 
 
                             Net sales      Operating profit    Ordinary profit    Profit attributable 
                                                                                       to owners of 
                                                                                          parent 
                           Millions     %     Millions      %    Millions      %       Millions       % 
                             of yen             of yen             of yen                of yen 
 Three months ended June 
  30, 2022                   13,954  25.6        4,749   49.3       5,740   77.4          4,088    84.9 
 Three months ended June 
  30, 2021                   11,112  23.7        3,182   47.7       3,236   49.9          2,211    53.0 
                           --------  ----  -----------  -----  ----------  -----  -------------  ------ 
 
 
                           Earnings per share  Diluted earnings 
                                                   per share 
                                          Yen               Yen 
 Three months ended June 
  30, 2022                             331.41                 - 
 Three months ended June 
  30, 2021                             179.24                 - 
                           ------------------  ---------------- 
 

(2) Consolidated financial position

 
                        Total assets  Net assets   Equity ratio 
                         Millions of  Millions of             % 
                                 yen          yen 
 As of June 30, 2022          96,246       84,009          87.3 
 As of March 31, 2022         95,899       79,681          83.1 
                        ------------  -----------  ------------ 
 

2. Cash dividends

 
                                                Annual dividends per share 
                         1st quarter-end  2nd quarter-end  3rd quarter-end  Fiscal year-end  Total 
                         ---------------  ---------------  ---------------  ---------------  ----- 
                                     Yen              Yen              Yen              Yen    Yen 
 Year ended March 31, 
  2022                                 -            34.00                -            36.00  70.00 
 Year ending March 31,                 - 
  2023 
                         ---------------  ---------------  ---------------  ---------------  ----- 
 Year ending March 31, 
  2023 (Forecast)                                   38.00                -            38.00  76.00 
                         ---------------  ---------------  ---------------  ---------------  ----- 
 

3. Forecast of consolidated financial results for the year ending March 31, 2023 ( from April 1, 2022 to March 31, 2023)

 
  Percentages indicate year-on-year changes 
 
 
                      Net sales      Operating profit    Ordinary profit    Profit attributable    Earnings 
                                                                                to owners of       per share 
                                                                                   parent 
                    Millions     %      Millions     %    Millions      %      Millions        %         Yen 
                      of yen              of yen            of yen               of yen 
Six months ending 
   September 30, 
       2022           27,000   9.2         8,100   2.2       8,100  (0.2)         5,500    (1.2)      445.79 
    Full year         60,000  10.4        18,500   1.6      18,500  (3.6)        12,900    (3.4)    1,045.59 
                    --------  ----  ------------  ----  ----------  -----  ------------  -------  ---------- 
 

4. Notes

 
    (1) Changes in significant subsidiaries during the three  Yes 
     months ended June 30, 2022 
     (changes in specified subsidiaries resulting in the 
     change in scope of consolidation): 
 
 
(2) Application of special accounting methods for preparing  No 
 quarterly consolidated financial statements: 
 

(3) Changes in accounting policies, changes in accounting estimates, and restatement of prior period financial statements

 
Changes in accounting policies due to revisions to    No 
 accounting standards and other regulations: 
Changes in accounting policies due to other reasons:  No 
Changes in accounting estimates:                      No 
Restatement of prior period financial statements:     No 
 

(4) Number of issued shares (common shares)

Total number of issued shares at the end of the period (including treasury shares)

 
  As of June 30, 2022   12,372,000   shares   As of March 31, 2022  12,372,000   shares 
 ---------------------  ----------           ---------------------  ---------- 
 

Number of treasury shares at the end of the period

 
  As of June 30, 2022   34,663   shares   As of March 31, 2022  34,492   shares 
 ---------------------  ------           ---------------------  ------ 
 

Average number of shares during the period (cumulative from the beginning of the fiscal year)

 
  Three months ended June                         Three months ended June 
   30, 2022                 12,337,461   shares    30, 2021                12,336,524   shares 
 -------------------------  ----------           ------------------------  ---------- 
 

Quarterly consolidated financial statements

Consolidated balance sheets

 
                                                                      (Millions of yen) 
---------------------------------------------------  ---------------  ----------------- 
                                                     As of March 31,   As of June 30, 
                                                           2022              2022 
---------------------------------------------------  ---------------  ----------------- 
  Assets 
      Current assets 
           Cash and deposits                                  44,621             44,319 
           Notes receivable - trade                              473                355 
           Accounts receivable - trade                        12,876             12,567 
           Electronically recorded monetary 
            claims - operating                                 1,810              1,727 
           Merchandise and finished goods                      1,632              1,989 
           Work in process                                     2,648              3,129 
           Raw materials and supplies                          3,706              3,820 
           Other                                               2,389                967 
           Allowance for doubtful accounts                       (9)                (9) 
           Total current assets                               70,149             68,866 
                                                     ---------------  ----------------- 
      Non-current assets 
           Property, plant and equipment 
               Buildings and structures, net                  10,101             10,308 
               Machinery, equipment and vehicles, 
                net                                            5,478              7,377 
               Land                                            4,699              4,704 
               Construction in progress                        2,653              2,479 
               Other, net                                        590                657 
               Total property, plant and equipment            23,524             25,527 
                                                     ---------------  ----------------- 
           Intangible assets 
               Other                                             298                307 
               Total intangible assets                           298                307 
                                                     ---------------  ----------------- 
           Investments and other assets                        1,927              1,545 
           Total non-current assets                           25,750             27,379 
                                                     ---------------  ----------------- 
      Total assets                                            95,899             96,246 
                                                     ---------------  ----------------- 
 
 
                                                                         (Millions of yen) 
------------------------------------------------------  ---------------  ----------------- 
                                                        As of March 31,   As of June 30, 
                                                              2022              2022 
------------------------------------------------------  ---------------  ----------------- 
  Liabilities 
      Current liabilities 
           Notes and accounts payable - trade                     3,444              3,049 
           Electronically recorded obligations 
            - operating                                           2,419              2,333 
           Short-term borrowings                                    100                100 
           Current portion of long-term borrowings                  866                866 
           Income taxes payable                                   4,731              1,279 
           Provision for bonuses                                    866                425 
           Provision for bonuses for directors 
            (and other officers)                                     71                  3 
           Other                                                  2,455              2,976 
           Total current liabilities                             14,953             11,034 
                                                        ---------------  ----------------- 
      Non-current liabilities 
           Long-term borrowings                                     733                666 
           Deferred tax liabilities                                 153                175 
           Other                                                    377                359 
           Total non-current liabilities                          1,264              1,201 
                                                        ---------------  ----------------- 
      Total liabilities                                          16,218             12,236 
                                                        ---------------  ----------------- 
  Net assets 
      Shareholders' equity 
           Share capital                                          8,646              8,646 
           Capital surplus                                       12,017             12,017 
           Retained earnings                                     59,274             62,906 
           Treasury shares                                        (207)              (208) 
           Total shareholders' equity                            79,732             83,362 
                                                        ---------------  ----------------- 
      Accumulated other comprehensive income 
           Valuation difference on available-for-sale 
            securities                                              104                 98 
           Foreign currency translation adjustment                (155)                548 
           Total accumulated other comprehensive 
            income                                                 (51)                646 
                                                        ---------------  ----------------- 
      Total net assets                                           79,681             84,009 
                                                        ---------------  ----------------- 
  Total liabilities and net assets                               95,899             96,246 
                                                        ---------------  ----------------- 
 

Consolidated statements of income (cumulative) and consolidated statements of comprehensive income (cumulative)

Consolidated statements of income (cumulative)

 
                                                                        (Millions of yen) 
-------------------------------------------------  ------------------  ------------------ 
                                                   Three months ended  Three months ended 
                                                      June 30, 2021       June 30, 2022 
-------------------------------------------------  ------------------  ------------------ 
  Net sales                                                    11,112              13,954 
  Cost of sales                                                 5,743               6,742 
  Gross profit                                                  5,368               7,212 
                                                   ------------------  ------------------ 
  Selling, general and administrative 
   expenses                                                     2,186               2,462 
  Operating profit                                              3,182               4,749 
                                                   ------------------  ------------------ 
  Non-operating income 
      Interest income                                              11                  13 
      Rental income                                                25                  25 
      Foreign exchange gains                                       26                 960 
      Other                                                        11                  14 
      Total non-operating income                                   75               1,013 
                                                   ------------------  ------------------ 
  Non-operating expenses 
      Interest expenses                                             2                   1 
      Rent expenses on real estate for 
       investments                                                 10                  12 
      Other                                                         8                   8 
      Total non-operating expenses                                 21                  22 
                                                   ------------------  ------------------ 
  Ordinary profit                                               3,236               5,740 
                                                   ------------------  ------------------ 
  Extraordinary income 
      Gain on sale of non-current assets                            0                   0 
      Gain on liquidation of subsidiaries                           -                   3 
      Total extraordinary income                                    0                   3 
                                                   ------------------  ------------------ 
  Extraordinary losses 
      Loss on sale and retirement of non-current 
       assets                                                       1                   1 
      Total extraordinary losses                                    1                   1 
                                                   ------------------  ------------------ 
  Profit before income taxes                                    3,234               5,743 
                                                   ------------------  ------------------ 
  Income taxes - current                                          859               1,262 
  Income taxes - deferred                                         163                 391 
  Total income taxes                                            1,023               1,654 
                                                   ------------------  ------------------ 
  Profit                                                        2,211               4,088 
                                                   ------------------  ------------------ 
  Profit attributable to owners of 
   parent                                                       2,211               4,088 
                                                   ------------------  ------------------ 
 

Consolidated statements of comprehensive income (cumulative)

 
                                                                        (Millions of yen) 
-------------------------------------------------  ------------------  ------------------ 
                                                   Three months ended  Three months ended 
                                                      June 30, 2021       June 30, 2022 
-------------------------------------------------  ------------------  ------------------ 
  Profit                                                        2,211               4,088 
  Other comprehensive income 
      Valuation difference on available-for-sale 
       securities                                                 (8)                 (5) 
      Foreign currency translation adjustment                      13                 703 
      Total other comprehensive income                              5                 697 
                                                   ------------------  ------------------ 
  Comprehensive income                                          2,216               4,786 
                                                   ------------------  ------------------ 
  Comprehensive income attributable 
   to 
      Comprehensive income attributable 
       to owners of parent                                      2,216               4,786 
 

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