228A
OPRO Co.,Ltd.
オプロ
- Industry
- Information & Communication
- Market
- Growth
- Accounting standards
- Japanese GAAP
- Consolidation basis
- Non-consolidated
Key metrics
Revenue(thousand JPY)
Nov 2024
2,104,685
Nov 2025
2,552,601
Operating profit(thousand JPY)
Nov 2024
214,215
Nov 2025
331,299
Operating profit margin(%)
Nov 2024
10.18
Nov 2025
12.98
Profit before tax(thousand JPY)
Nov 2024
210,741
Nov 2025
315,105
Profit(thousand JPY)
Nov 2024
150,872
Nov 2025
241,195
Total assets(thousand JPY)
Nov 2024
2,294,527
Nov 2025
2,783,103
Cash and cash equivalents(thousand JPY)
Nov 2024
1,766,770
Nov 2025
580,943
Cash flows from operating activities(thousand JPY)
Nov 2024
438,878
Nov 2025
440,396
Cash flows from investing activities(thousand JPY)
Nov 2024
-69,930
Nov 2025
-1,630,635
Cash flows from financing activities(thousand JPY)
Nov 2024
771,300
Nov 2025
4,422
Return on equity(%)
Nov 2024
24.4
Nov 2025
20.1
Equity ratio(%)
Nov 2024
47.04
Nov 2025
47.61
Earnings per share(JPY per share)
Nov 2024
83.16
Nov 2025
104.87
Net assets per share(JPY per share)
Nov 2024
472.33
Nov 2025
568.54
Dividend per share(-)
Nov 2024
-
Nov 2025
-
Payout ratio(-)
Nov 2024
-
Nov 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.