198A
PostPrime Inc.
PostPrime
- Industry
- Information & Communication
- Market
- Growth
- Accounting standards
- Japanese GAAP
- Consolidation basis
- Consolidated
Notes
- Consolidation basisConsolidated / Since May 2025
Key metrics
Revenue(thousand JPY)
May 2024
945,278
May 2025
897,378
Operating profit(thousand JPY)
May 2024
351,016
May 2025
183,175
Operating profit margin(%)
May 2024
37.13
May 2025
20.41
Profit before tax(thousand JPY)
May 2024
383,967
May 2025
175,797
Profit(thousand JPY)
May 2024
263,154
May 2025
87,339
Total assets(thousand JPY)
May 2024
1,279,535
May 2025
1,252,878
Cash and cash equivalents(thousand JPY)
May 2024
1,138,225
May 2025
1,119,007
Cash flows from operating activities(thousand JPY)
May 2024
320,310
May 2025
-43,856
Cash flows from investing activities(thousand JPY)
May 2024
109,476
May 2025
-2,892
Cash flows from financing activities(thousand JPY)
May 2024
260
May 2025
41,796
Return on equity(%)
May 2024
35.9
May 2025
8.8
Equity ratio(%)
May 2024
67.6
May 2025
79.4
Earnings per share(JPY per share)
May 2024
26.32
May 2025
8.65
Net assets per share(JPY per share)
May 2024
86.52
May 2025
98.44
Dividend per share(-)
May 2024
-
May 2025
-
Payout ratio(-)
May 2024
-
May 2025
-
Disclaimer
The financial information and metrics on this page are based on publicly available filings and other public sources. We do not guarantee their accuracy, completeness, or timeliness.
The information on this page is provided for reference purposes only and does not constitute a recommendation to buy or sell any security. Investment decisions should be made at your own responsibility.