291A
Reskill Corp.
リスキル
- Industry
- Services
- Market
- Growth
- Accounting standards
- Japanese GAAP
- Consolidation basis
- Non-consolidated
Key metrics
Revenue(thousand JPY)
Mar 2025
1,958,771
Operating profit(thousand JPY)
Mar 2025
683,436
Operating profit margin(%)
Mar 2025
34.89
Profit before tax(thousand JPY)
Mar 2025
671,806
Profit(thousand JPY)
Mar 2025
473,789
Total assets(thousand JPY)
Mar 2025
1,760,669
Cash and cash equivalents(thousand JPY)
Mar 2025
1,461,863
Cash flows from operating activities(thousand JPY)
Mar 2025
552,081
Cash flows from investing activities(thousand JPY)
Mar 2025
-106,138
Cash flows from financing activities(thousand JPY)
Mar 2025
277,616
Return on equity(%)
Mar 2025
45.73
Equity ratio(%)
Mar 2025
80.16
Earnings per share(JPY per share)
Mar 2025
234.17
Net assets per share(JPY per share)
Mar 2025
678.22
Dividend per share(-)
Mar 2025
-
Payout ratio(-)
Mar 2025
-
Disclaimer
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