RNS Number : 7219W
Maruwa Co Ld
27 April 2021
 

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 Year Ended March 31, 2021

(Based on Japanese GAAP)





April 27, 2021

Company name:

MARUWA CO., LTD.


Stock exchange listing:

Tokyo, Nagoya

Stock code:

5344

URL  https://www.maruwa-g.com/

Representative:

President and Representative Director

Sei Kanbe

Inquiries:

Executive Officer

Kouichi Goto

TEL  0561-51-0841

Scheduled date of ordinary general meeting of shareholders:

June 25, 2021

Scheduled date to file Securities Report:

June 28, 2021

Scheduled date to commence dividend payments:

June 28, 2021

Preparation of supplementary material on financial results:

Yes


Holding of financial results meeting:

Yes


 


(Amounts less than one million yen are rounded down)

1. Consolidated financial results for the year ended March 31, 2021 (from April 1, 2020 to March 31, 2021)

(1) Consolidated operating results

Percentages indicate year-on-year changes

 


Net sales

Operating profit

Ordinary profit

Profit attributable to owners of parent


Millions of yen

%

Millions of yen

%

Millions of yen

%

Millions of yen

%

Year ended March 31, 2021

41,438

0.5

10,248

9.7

10,330

8.5

6,935

17.7

Year ended March 31, 2020

41,231

0.1

9,345

(2.2)

9,520

(4.1)

5,893

(12.9)

 


Earnings per share

Diluted earnings per share

Profit attributable to owners of parent/equity

Ordinary profit/total assets

Operating profit/net sales


Yen

Yen

%

%

%

Year ended March 31, 2021

562.30

-

11.0

13.9

24.7

Year ended March 31, 2020

477.88

-

10.3

14.1

22.7

 

(2) Consolidated financial position


Total assets

Net assets

Equity ratio

Net assets per share


Millions of yen

Millions of yen

%

Yen

As of March 31, 2021

78,059

66,344

85.0

5,378.23

As of March 31, 2020

70,681

59,453

84.1

4,821.14

 

(3) Consolidated cash flows


Cash flows from operating activities

Cash flows from investing activities

Cash flows from financing activities

Cash and cash equivalents at end of period


Millions of yen

Millions of yen

Millions of yen

Millions of yen

Year ended March 31, 2021

10,713

(5,376)

(801)

33,888

Year ended March 31, 2020

10,719

(5,272)

1,420

29,114

 

2. Cash dividends

 

 

Annual dividends per share

Total cash dividends (Total)

Dividend payout ratio (Consolidated)

Ratio of dividends to net assets (Consolidated)

1st quarter-end

2nd quarter-end

3rd quarter-end

Fiscal year-end

Total


Yen

Yen

Yen

Yen

Yen

Millions of yen

%

%

Year ended March 31, 2020

-

26.00

-

26.00

52.00

641

10.9

1.1

Year ended March 31, 2021

-

28.00

-

36.00

64.00

789

11.4

1.3

Year ending March 31, 2022

(Forecast)

-

30.00

-

38.00

68.00


11.2


 



3. Forecast of consolidated financial results for the year ending March 31, 2022 (from April 1, 2021 to March 31, 2022)


Percentages indicate year-on-year changes

 


Net sales

Operating profit

Ordinary profit

Profit attributable to owners of parent

Earnings per share


Millions of yen

%

Millions of yen

%

Millions of yen

%

Millions of yen

%

Yen

Six months ending

September 30, 2021

20,000

2.4

5,000

6.7

5,000

7.7

3,500

10.9

283.72

Full year

42,000

1.4

11,000

7.3

11,000

6.5

7,500

8.1

607.99

 

4. Notes

(1) Changes in significant subsidiaries during the year ended March 31, 2021

(changes in specified subsidiaries resulting in the change in scope of consolidation):

No

 

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

Changes in accounting policies due to revisions to accounting standards and other regulations:

No

Changes in accounting policies due to other reasons:

No

Changes in accounting estimates:

No

Restatement of prior period financial statements:

No

 

(3) Number of issued shares (common shares)

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


As of March 31, 2021

12,372,000

 shares

As of March 31, 2020

12,372,000

 shares

Number of treasury shares at the end of the period


As of March 31, 2021

36,327

 shares

As of March 31, 2020

40,163

 shares

Average number of shares during the period


Year ended March 31, 2021

12,333,994

 shares

Year ended March 31, 2020

12,333,398

 shares

 



Consolidated financial statements

Consolidated balance sheets



(Thousands of yen)


As of March 31, 2020

As of March 31, 2021

Assets



Current assets



Cash and deposits

29,334,349

34,088,967

Notes and accounts receivable - trade

9,542,199

9,834,869

Electronically recorded monetary claims - operating

1,295,434

1,267,548

Merchandise and finished goods

2,061,801

1,641,861

Work in process

2,393,622

2,277,590

Raw materials and supplies

2,756,758

2,463,698

Other

1,757,311

2,148,598

Allowance for doubtful accounts

(8,180)

(8,565)

Total current assets

49,133,297

53,714,567

Non-current assets



Property, plant and equipment



Buildings and structures

12,650,214

17,012,631

Accumulated depreciation

(6,505,584)

(6,967,852)

Buildings and structures, net

6,144,629

10,044,778

Machinery, equipment and vehicles

20,998,043

22,354,975

Accumulated depreciation

(16,567,320)

(17,149,994)

Machinery, equipment and vehicles, net

4,430,722

5,204,980

Land

4,421,234

4,544,075

Construction in progress

3,445,592

1,889,619

Other

3,499,670

3,887,023

Accumulated depreciation

(2,898,143)

(3,238,099)

Other, net

601,527

648,924

Total property, plant and equipment

19,043,706

22,332,378

Intangible assets



Goodwill

195,975

-

Other

254,672

260,512

Total intangible assets

450,648

260,512

Investments and other assets



Investment securities

239,134

248,510

Deferred tax assets

707,858

440,423

Investment property, net

980,003

963,836

Other

130,222

104,396

Allowance for doubtful accounts

(3,240)

(4,677)

Total investments and other assets

2,053,978

1,752,489

Total non-current assets

21,548,333

24,345,380

Total assets

70,681,631

78,059,947



 



(Thousands of yen)


As of March 31, 2020

As of March 31, 2021

Liabilities



Current liabilities



Notes and accounts payable - trade

1,898,714

2,404,868

Electronically recorded obligations - operating

1,619,355

1,931,969

Short-term borrowings

900,000

100,000

Current portion of long-term borrowings

-

266,688

Income taxes payable

827,864

1,986,715

Provision for bonuses

608,949

699,556

Provision for bonuses for directors (and other officers)

63,000

49,500

Other

3,382,929

2,172,822

Total current liabilities

9,300,813

9,612,119

Non-current liabilities



Long-term borrowings

1,200,000

1,599,968

Deferred tax liabilities

351,419

160,873

Other

375,829

342,809

Total non-current liabilities

1,927,248

2,103,651

Total liabilities

11,228,062

11,715,771

Net assets



Shareholders' equity



Share capital

8,646,720

8,646,720

Capital surplus

11,992,492

12,005,832

Retained earnings

40,526,723

46,796,211

Treasury shares

(239,524)

(217,648)

Total shareholders' equity

60,926,411

67,231,114

Accumulated other comprehensive income



Valuation difference on available-for-sale securities

70,521

119,673

Foreign currency translation adjustment

(1,543,364)

(1,006,611)

Total accumulated other comprehensive income

(1,472,842)

(886,937)

Total net assets

59,453,569

66,344,176

Total liabilities and net assets

70,681,631

78,059,947

 



Consolidated statements of income and consolidated statements of comprehensive income

Consolidated statements of income



(Thousands of yen)


Fiscal year ended

March 31, 2020

Fiscal year ended

March 31, 2021

Net sales

41,231,431

41,438,018

Cost of sales

23,685,411

23,074,815

Gross profit

17,546,020

18,363,202

Selling, general and administrative expenses

8,200,209

8,114,991

Operating profit

9,345,810

10,248,211

Non-operating income



Interest income

65,785

51,944

Rental income

94,361

88,098

Foreign exchange gains

45,346

-

Other

34,405

57,585

Total non-operating income

239,899

197,628

Non-operating expenses



Interest expenses

305

6,954

Foreign exchange losses

-

50,765

Rent expenses on real estate for investments

49,924

46,930

Bad debt expenses

6,636

-

Other

8,576

11,160

Total non-operating expenses

65,443

115,810

Ordinary profit

9,520,266

10,330,028

Extraordinary income



Gain on sale of non-current assets

29,529

2,383

Gain on sale of investment securities

11,986

65,414

Gain on liquidation of subsidiaries

-

11,887

Settlement received

100,000

-

Total extraordinary income

141,515

79,685

Extraordinary losses



Loss on sale and retirement of non-current assets

77,797

258,622

Impairment losses

-

169,251

Loss on valuation of investment securities

27,510

-

Loss related to infectious disease

61,025

68,805

Loss on liquidation of business

773,648

-

Other

25,436

28,737

Total extraordinary losses

965,418

525,416

Profit before income taxes

8,696,363

9,884,297

Income taxes - current

2,928,470

2,905,073

Income taxes - deferred

(126,034)

43,762

Total income taxes

2,802,435

2,948,836

Profit

5,893,928

6,935,461

Profit attributable to owners of parent

5,893,928

6,935,461

 



Consolidated statements of comprehensive income



(Thousands of yen)


Fiscal year ended

March 31, 2020

Fiscal year ended

March 31, 2021

Profit

5,893,928

6,935,461

Other comprehensive income



Valuation difference on available-for-sale securities

(47,101)

49,152

Foreign currency translation adjustment

(678,378)

536,752

Total other comprehensive income

(725,479)

585,905

Comprehensive income

5,168,449

7,521,366

Comprehensive income attributable to



Comprehensive income attributable to owners of parent

5,168,449

7,521,366

 



Consolidated statements of changes in equity

Fiscal year ended March 31, 2020





(Thousands of yen)


Shareholders' equity


Share capital

Capital surplus

Retained earnings

Treasury shares

Total shareholders' equity

Balance at beginning of period

8,646,720

11,994,350

35,249,658

(188,864)

55,701,864

Changes during period






Dividends of surplus



(616,862)


(616,862)

Profit attributable to owners of parent



5,893,928


5,893,928

Purchase of treasury shares




(62,577)

(62,577)

Disposal of treasury shares


(1,857)


11,917

10,060

Net changes in items other than shareholders' equity






Total changes during period

-

(1,857)

5,277,065

(50,660)

5,224,547

Balance at end of period

8,646,720

11,992,492

40,526,723

(239,524)

60,926,411

 


Accumulated other comprehensive income

Total net assets


Valuation difference on available-for-sale securities

Foreign currency translation adjustment

Total accumulated other comprehensive income

Balance at beginning of period

117,622

(864,986)

(747,363)

54,954,500

Changes during period





Dividends of surplus




(616,862)

Profit attributable to owners of parent




5,893,928

Purchase of treasury shares




(62,577)

Disposal of treasury shares




10,060

Net changes in items other than shareholders' equity

(47,101)

(678,378)

(725,479)

(725,479)

Total changes during period

(47,101)

(678,378)

(725,479)

4,499,068

Balance at end of period

70,521

(1,543,364)

(1,472,842)

59,453,569

 



Fiscal year ended March 31, 2021





(Thousands of yen)


Shareholders' equity


Share capital

Capital surplus

Retained earnings

Treasury shares

Total shareholders' equity

Balance at beginning of period

8,646,720

11,992,492

40,526,723

(239,524)

60,926,411

Changes during period






Dividends of surplus



(665,974)


(665,974)

Profit attributable to owners of parent



6,935,461


6,935,461

Purchase of treasury shares




(2,600)

(2,600)

Disposal of treasury shares


13,339


24,476

37,816

Net changes in items other than shareholders' equity






Total changes during period

-

13,339

6,269,487

21,875

6,304,702

Balance at end of period

8,646,720

12,005,832

46,796,211

(217,648)

67,231,114

 


Accumulated other comprehensive income

Total net assets


Valuation difference on available-for-sale securities

Foreign currency translation adjustment

Total accumulated other comprehensive income

Balance at beginning of period

70,521

(1,543,364)

(1,472,842)

59,453,569

Changes during period





Dividends of surplus




(665,974)

Profit attributable to owners of parent




6,935,461

Purchase of treasury shares




(2,600)

Disposal of treasury shares




37,816

Net changes in items other than shareholders' equity

49,152

536,752

585,905

585,905

Total changes during period

49,152

536,752

585,905

6,890,607

Balance at end of period

119,673

(1,006,611)

(886,937)

66,344,176

 



Consolidated statements of cash flows



(Thousands of yen)


Fiscal year ended

March 31, 2020

Fiscal year ended

March 31, 2021

Cash flows from operating activities



Profit before income taxes

8,696,363

9,884,297

Loss on liquidation of business

773,648

-

Impairment losses

-

169,251

Depreciation

2,319,896

2,169,165

Amortization of goodwill

53,447

26,723

Increase (decrease) in allowance for doubtful accounts

(2,015)

1,822

Loss (gain) on liquidation of subsidiaries

-

(11,887)

Loss (gain) on sale of investment securities

(11,986)

(65,414)

Loss (gain) on valuation of investment securities

27,510

-

Loss (gain) on sale and retirement of non-current assets

48,268

256,238

Interest and dividend income

(71,699)

(56,960)

Interest expenses

305

6,954

Foreign exchange losses (gains)

(7,174)

(655)

Decrease (increase) in trade receivables

762,701

(168,693)

Decrease (increase) in inventories

2,084,047

872,189

Increase (decrease) in trade payables

(1,016,862)

664,553

Other, net

716,742

(1,307,844)

Subtotal

14,373,193

12,439,742

Interest and dividends received

71,695

56,962

Interest paid

(305)

(7,044)

Income taxes refund (paid)

(3,725,511)

(1,776,035)

Net cash provided by (used in) operating activities

10,719,072

10,713,625

Cash flows from investing activities



Net decrease (increase) in time deposits

(40,710)

32,896

Purchase of property, plant and equipment

(5,408,367)

(5,536,867)

Proceeds from sale of property, plant and equipment

156,643

4,676

Purchase of intangible assets

(32,104)

(40,732)

Purchase of investment securities

(4,043)

(3,321)

Proceeds from sale of investment securities

32,504

109,450

Proceeds from liquidation of subsidiaries

-

34,582

Other, net

23,591

22,827

Net cash provided by (used in) investing activities

(5,272,485)

(5,376,488)

Cash flows from financing activities



Proceeds from short-term borrowings

900,000

100,000

Repayments of short-term borrowings

-

(900,000)

Proceeds from long-term borrowings

1,200,000

800,000

Repayments of long-term borrowings

-

(133,344)

Purchase of treasury shares

(62,577)

(2,600)

Dividends paid

(616,862)

(665,974)

Net cash provided by (used in) financing activities

1,420,559

(801,918)

Effect of exchange rate change on cash and cash equivalents

(200,924)

238,514

Net increase (decrease) in cash and cash equivalents

6,666,221

4,773,732

Cash and cash equivalents at beginning of period

22,448,368

29,114,590

Cash and cash equivalents at end of period

29,114,590

33,888,322

 

 

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